The combined market share of the top four firms in a monopolistically competitive industry will typically be in the range of Group of answer choices Zero to 2 percent. Zero to 5 percent. 70 to 100 percent. 20 to 40 percent. None of the Answers are Correct.

Answers

Answer 1

Option C. The combined market share of the top four firms in a monopolistically competitive industry will typically be 70 to 100 percent.

What is combined market share?

This is the calculation that is done by taking a person's total sales and dividing by the total sales of a particular market sector.

This would be 70 to 100 percent in a market that has 4 firms combined together.

Read more on market share here:

https://brainly.com/question/15530466

#SPJ1


Related Questions

Moss County Bank agrees to lend the Sadowski Brick Company $500,000 on January 1. Sadowski Brick Company signs a $500,000, 6%, 9-month note. The entry made by Sadowski Brick Company on January 1 to record the proceeds and issuance of the note is

Answers

Moss County Bank agrees to lend the Sadowski Brick Company $500,000 on January 1. Sadowski Brick Company signs a $500,000, 6%, 9-month note. The entry made by Sadowski Brick Company on January 1 to record the proceeds and issuance of the note is

Cash 500,000

Notes Payable 500,000

Deposits are not "lent out" by banks. When they lend, they "make fresh money out of nothing." Each loan's total value is equal to the quantity of newly minted money. The only people to whom banks "lend out" reserves are one another.

As a means of raising money, your lender might also sell your debt. Banks really sell the servicing rights to borrowers when they sell loans. This releases credit lines and enables lenders to disperse funds to additional borrowers (and make money on the fees for originating a mortgage).

Learn more about banks process here

https://brainly.com/question/14151382

#SPJ4

Expansionary fiscal policy includes: decreasing government spending. increasing taxes. increasing government spending. increasing the money supply.

Answers

Answer:

extensary fiscal policy tools including increasing government spending discreasing taxing or increasing government transfer doing any of these things will increase aggregate demand leading to higher output higher employment and higher price level

Illegal subsidies offered by the eu to airplane manufacturer, airbus, resulted in making products like french wine and european cheeses more expensive to purchase in the united states. In retaliation, the united states planned to introduce new _______ on eu products.

Answers

Illegal subsidies offered by the EU to airplane manufacturer, Airbus, resulted in making products like french wine and European cheeses more expensive to purchase in the united states. In retaliation, the united states planned to introduce new Tariffs on EU products.

Tariffs are taxes imposed by means one u . s . on items or services imported from another u . s a., tariffs are alternate boundaries that improve fees and reduce available portions of products and offerings for U.S. organizations and customers.

A tariff is a tax imposed by using a government on goods and offerings imported from different countries that serve to grow the charge and make imports less proper, or at the least less aggressive, than domestic goods and offerings.

Price lists especially advantage the uploading international locations, as they're the ones putting the coverage and receiving the money. The primary gain is that price lists produce sales on items and services delivered to us a. Price lists also can function as an opening factor for negotiations between two nations.

Learn more about Tariffs here https://brainly.com/question/7141880

#SPJ4

Unbiased cash flow forecasts are often difficult to obtain due to ________, which, despite causing higher projected cash flows, can also increase effort, commitment, and persistence from employees.

Answers

The answer us overoptimism.

Corporate investment policies can be distorted by managerial optimism, which makes it reliant on internal cash flow. Managers are optimistic when they consistently overestimate the chance of excellent company performance while underestimating the probability of poor firm performance.

Being too optimistic might lead to impracticality and arrogance. Optimists overestimate returns and generate overly optimistic cash flow estimates, which leads to higher investment levels and increased sensitivity of investment decisions to cash flow.

Therefore, the blank will be filled by overoptimism since it makes the cash forecast difficult to obtain. This becomes a hinderance in reliable forecasting.

To know more about overoptimism click here:

https://brainly.com/question/15004580

#SPJ4

Answer:

Unbiased cash flow forecasts are often difficult to obtain due to optimism bias, which, despite causing higher projected cash flows, can also increase effort, commitment, and persistence from employees.

Optimism bias is a cognitive bias that leads individuals to believe that they are less likely to experience negative events and more likely to experience positive events than others.

In the context of forecasting, optimism bias can lead individuals to overestimate the likelihood of success and underestimate the potential for negative outcomes.

This can result in forecasts that are overly optimistic and not reflective of the true risks and uncertainties associated with a project or investment.

To know more about Unbiased cash flow refer here

https://brainly.com/question/28026208#

#SPJ11

Political stability and property rights protection Group of answer choices guarantees low unemployment. ensure income equality. promote economic growth.

Answers

Promote economic growth

Political stability and property rights protection promote economic growth.

What are the effects of political stability and property rights?

Political stability:

Investment drops when people can't rely on reliable returns on their investments in human or physical capital, which inhibits future growth.

After all, investing only makes sense if the final result is reasonably assured. Political unpredictability eliminates any motivation to invest in either physical or human capital because there is no guarantee of a return.

Property rights:

Individuals can own property (including homes, land, and other resources), and when they use their property in production, they own the resulting output. This is the single biggest incentive for voluntary production.

Learn more about political stability and property rights here:

https://brainly.com/question/14530348

#SPJ4

OnSpec, Inc., and its officers, directors, and shareholders, buy and sell securities. Section 16(b) of the Securities Exchange Act of 1934 covers purchases and sales of securities involving Group of answer choices short-swing profits. tippers and tippees. corporate insiders. misappropriation

Answers

OnSpec, Inc., and its officers, directors, and shareholders, buy and sell securities. Section 16(b) of the Securities Exchange Act of 1934 covers purchases and sales of securities involving "short-swing profits".

What is Securities Exchange Act of 1934 Section 16(b)?

An act to prohibit unfair and unethical practices on such exchanges and markets, and for other objectives, to provide for the regulation of securities exchanges and over-the-counter markets operating in domestic, international, and postal commerce.

A buy and sale, or sale and purchase, within six months is referred to in Section 16(b) as a "short-swing transaction." To deter insider trading, Congress incorporated the clause into the Original Exchange Act.

Key features of 1934 section(b) act -

The restriction was put in place to stop insiders from exploiting information for the goal of generating quick money since they had more access to key corporate information.The term "insider" refers to any officers, directors, or stockholders who hold stock that, directly or indirectly, results in beneficial ownership of more than 10% of the company's ordinary stock or other class of equity. Section 16 imposes registration requirements for insiders.

To know more about Securities Exchange Act of 1934, here

https://brainly.com/question/13522021

#SPJ4

Sensitivity analysis: Group of answer choices indicates which variable(s) need to be most closely monitored. provides its user with the rate of return that corresponds to the project's IRR. provides limited information and therefore is rarely used in practice. is affected primarily by the interrelationships between project variables. is more difficult to conduct than simulation analysis.

Answers

Sensitivity analysis (4) is affected primarily by the interrelationships between project variables.

What is sensitivity analysis?The study of how the uncertainty in the output of a mathematical model or system might be partitioned and assigned to different sources of uncertainty in its inputs is known as sensitivity analysis.Under a given set of assumptions, sensitivity analysis evaluates how different values of an independent variable affect a specific dependent variable. In other words, sensitivity analyses investigate how different sources of uncertainty in a mathematical model contribute to the total uncertainty of the model.Sensitivity analysis is a financial model that determines how changes in other factors, known as input variables, affect target variables. This model is also known as what-if analysis or simulation analysis.

As is clearly mentioned in the definition that sensitivity analysis is a financial model that determines how changes in other factors, known as input variables, affect target variables.

Therefore, Sensitivity analysis (4) is affected primarily by the interrelationships between project variables.

Know more about sensitivity analysis here:

https://brainly.com/question/14472410

#SPJ4

Complete question:

Sensitivity analysis:

variable(s) need to be most closely monitoredprovides its user with the rate of return that corresponds to the project's IRRprovides limited information and therefore is rarely used in practiceis affected primarily by the interrelationships between project variablesis more difficult to conduct than simulation analysis.

________ refer to collaborative relationships between independent firms, though the partnering firms do not create an equity partnership; that is, they do not invest in one another.

Answers

Strategic alliances refer to collaborative relationships between independent firms, though the partnering firms do not create an equity partnership; that is, they do not invest in one another.

A strategic alliance is an arrangement among corporations to undertake a mutually useful challenge even as each retains its independence. The agreement is much less complex and much less binding than a joint project, in which businesses pool resources to create a separate enterprise entity.

A strategic alliance is a joint collaboration between or more entities on a way to acquire common objectives. This technique can result in greater fast attainment of targets, probable at a lower price.

There are organizational, economic, strategic, and political blessings in pursuing a strategic alliance. However, risks consist of the fact you'll have to proportion earnings and probably reveal change secrets and techniques. you could additionally create a potential competitor and have to give up different opportunities.

Learn more about strategic alliances here https://brainly.com/question/13710961

#SPJ4

Rather than having employees do only one part of the assembly process for one of your toys, you want to change the process so that they each assemble an entire product. What type of change would you initiate

Answers

the correct answer is task redesign

Work redesign (also known as job redesign) is the process of reorganizing these obligations and responsibilities to suit the changing reality of work.

There are three ways managers can change the work of their employees: enriching the work, expanding the work, and rotating the work. Job enrichment provides employees with the tasks they need to complete as part of their job and the responsibilities and privileges they need to complete those additional tasks.

For example, if an employer decides to hire an older employee (aged 55 or older) as a customer service representative because he believes that older employees are more patient and manage disputes better.

Learn more about work redesign here:https://brainly.com/question/9926264

#SPJ4

A firm has common stock of {cs}, paid-in surplus of {pds}, total liabilities of 2703. current assets of 314, and fixed assets of 36367. What is the amount of the shareholder's equity

Answers

The amount of the shareholder's equity is $33,978

Shareholder's equity = ta - tl

⇒ (314+36367)-2703

33,978

Shareholders' equity is the quantity that the proprietors of a corporation have invested in their enterprise.

This includes the money they've without delay invested and the accumulation of profits the corporation has earned and that has been reinvested for the reason that inception.

You could calculate shareholder fairness by adding collectively all property and all liabilities from an organization's balance sheet. tremendous shareholder equity means the business enterprise has enough assets to cowl its liabilities, however, the company's liabilities exceed its property if it's miles poor.

Learn more about shareholder equity here: https://brainly.com/question/23266567

#SPJ4

Central Supply purchased a new printer for $30,000. The printer is expected to operate for eight (8) years, after which it will be sold for salvage value (estimated to be $3,000). How much is the first and second year's depreciation expense if the company uses the double-declining-balance method

Answers

Central supply:

Life = 8 years. Depreciation rate = 100*2/8 = 25%

Book value at the start of year 1 = 30,000. Depreciation amount = 25% of 30,000 = 7,500

BV at the start of year 2 = 30,000-7,500 = 22,500. Depreciation amount = 25% of 22,500 = 5,625

Thus depreciation for 1st year is 7,500 and for 2nd year is 5,625

Legget & Plat:

a. % of asset being used up in 2011 is:

Depreciation in 2011/gross value of assets, excluding land, in 2011

Depreciation in 2011 = 98.1

Net value of property and plant - land = 580.6-45.2 = 535.4

This is the net value i.e gross value - depreciation for the year

Thus gross value of the assets = 535.4+98.1 (net value +depreciation for 2011)

= 633.5

Thus % of assets used up = 98.1/633.5 = 15.49%

b. If 15.49% of asset is being used up, then useful life = 100%/15.49% = 6.5 years

Thus this is the answer.

To learn more about depreciation, refer: https://brainly.com/question/25785586

#SPJ4

A manufacturer of paper bags had a contract with a retail grocer to supply the grocer with paper bags on a quarterly basis. The grocer had always complied with the payment terms of the contract, which give the grocer a month after receipt of the paper bags to pay for them. The manufacturer heard a rumor that the grocer had consistently failed during the past several months to timely pay a frozen food company for merchandise delivered to the grocer. The rumor was false, but led the manufacturer, as well as other companies that supplied goods to the grocer, to reasonably question the retailer's ability to pay for their goods.
Forty-five days before the next shipment of paper bags was due, the president of the manufacturer called the grocer and demanded that the grocer provide assurances that it could pay for the paper bags. The grocer did not give the manufacturer assurances before the next shipment of paper bags was due.
If the manufacturer fails to make the next shipment, which of the following provides the grocer with the best argument that the manufacturer is in breach of the contract?
A. The manufacturer cannot demand assurances because the grocer has not breached the contract.
B. The manufacturer has not given the grocer sufficient time in which to provide assurances.
C. The manufacturer's demand for assurances was not in writing.
D. The rumor about the grocer's inability to pay for goods on time was false.

Answers

Can’t see where the question is

Marshall suggested that the cause of a downward-sloping long-run supply curve is a. The absence of fixed cost in the long run. B. The increased number of firms in the industry. C. Reduced input prices. D. Reduced output prices.

Answers

Marshall suggested that the cause of a downward-sloping long-run supply curve is a) The absence of fixed cost in the long run.

A fixed cost tends to increase the marginal cost curve in the short run but due to the fact that the fixed cost is not viable in the long run, the marginal cost declines and so the long-run supply curve is falling in the long run.

In a lowering value industry, the long-run deliver curve is downward sloping due to the fact that as output will increase and new corporations input, production costs decline. The computer enterprise is an instance of a downward sloping supply curve, considering the fact that as the range of computers produced multiplied, the charge of inputs, consisting of chips, decline.

The lengthy-run deliver curve for an industry in which production fees boom as output rises (a growing-value industry) is upward sloping. The long-run deliver curve for an enterprise wherein manufacturing costs lower as output rises (a reducing-price enterprise) is downward sloping.

The long-run delivery is the delivery of goods to be had whilst all inputs are variable. The lengthy-run supply curve is always extra elastic than the short-run delivery curve. The lengthy-run average value curve envelopes the fast-run average fee curves in a u-shaped curve.

Learn more about the supply curve here https://brainly.com/question/23364227

#SPJ4

When Chevy drew inspiration from Tesla to develop its electric vehicle, the Bolt, it was an example of using Blank______ for new product-ideas.

Answers

When Chevy drew inspiration from Tesla to develop its electric vehicle, the Bolt, it was an example of using competitive product ideas for new product-ideas.

Competitive items are those that your target market may prefer to yours over. How close a competing product's features and solutions are to your own can help you spot it. Competitive goods may consist of: things that are tangible, like clothing and toys.A product idea is a design or strategy for a brand-new good that a business can create and sell in a specific market. It describes the item's function, features, and certain important design components. A manufacturer will employ the final design to construct the product, therefore many product concepts will include mechanical or engineering components.A competitive strategy is a long-term marketing plan created by businesses to protect their position in the market and obtain a competitive edge.

Thus this is the answer.

To learn more about Competitive Products, refer:https://brainly.com/question/25754149

#SPJ4

From a value chain perspective, _____ are the actions a firm takes to directly provide a product or service to customers, whereas, ______ are actions required to sustain the firm that are not directly part of product or service creation.

Answers

From a value chain perspective, Primary activities are the actions a firm takes to directly provide a product or service to customers, whereas, Support activities are actions required to sustain the firm that is not directly part of product or service creation.

What does value chain mean?

The value chain depicts the entire spectrum of tasks performed by businesses and employees to move a product from its inception to its ultimate use and beyond. This covers tasks including design, production, marketing, distribution, and customer service.

The value chain improves business efficiency so that customers can buy the highest value product for the least amount of money. The value chain management objective is to give the organization a competitive edge by raising the overall margin.

Inbound logistics, operation outbound logistics, marketing and sales, and service are the primary activities in the value chain. Infrastructure management, human resource management, and purchasing are examples of secondary or support tasks.

To know more about value chain refer to:https://brainly.com/question/14636505

#SPJ4

The local fire department wants to buy some new equipment at a cost of $300,000. If a human life is worth $10 million, the equipment is worth buying if it reduces the risk of someone dying in a fire over the life of the equipment by at least Group of answer choices 1 percentage point. 30 percentage points. 3 percentage points. 5 percentage points.

Answers

The local fire department wants to buy some new equipment at a cost of $300,000. If a human life is worth $10 million, the equipment is worth buying if it reduces the risk of someone dying in a fire over the life of the equipment by at least 3 percentage points.

What does the fire department do?

Putting out fires in their neighborhood. Preserving property and life in the event of localized flames. saving and safeguarding individuals in the event of a car accident, as well as in the event of other catastrophes.

What are the four categories of fire departments?State and federal government fire departments, contract fire departments, private or industrial fire brigades, and transportation authority or airport fire departments make up 4% of the registered departments.

What is local fire authority?A local fire authority is, in essence, a controlling body that makes sure that a local fire service operates effectively and in the best interests of the people and community it protects. It follows that the public is held accountable for the fire service's performance and activities.

Learn more about local fire department here:

https://brainly.com/question/4278858

#SPJ4

Capacity planning requires demand forecasts for an extended period of time. Forecast accuracy tends to​ _______ as the forecasting horizon​ _______.

Answers

Forecast accuracy tends to decrease as the forecasting horizon increases.
Explanation—It is harder to forecast for a long time in the future…accuracy would be worse in long term.

Secure is a financial services and insurance company. The company's most profitable division is one that sells the Secure Future Plan. The Secure Future Plan targets customers who are entering retirement and want long-term savings so they can remain financially independent in the later years of their life. The marketing team at Secure has most likely targeted the plan to ________.

Answers

The marketing team at Secure has most likely targeted the plan to Baby Boomers.

What does having a secure future mean?

According to Section 3(a)(55)(A) of the Securities Exchange Act of 1934, a "Security Future" is a contract of sale for the future delivery of a single security or of a narrow-based security index, including any interest therein or based on the value thereof.

What percentage of baby boomers have they saved for retirement?

The Trans america Center for Retirement Studies estimates that the average Baby Boomer has $202,000 saved for retirement. This would result in an annual retirement income of $8,000 based on the 4 percent Rule.

learn more about baby boomers here https://brainly.com/question/1121972

#SPJ4

A forecasting technique consistently produces a negative tracking signal. This means that.

Answers

A forecasting technique consistently produces a negative tracking signal. This means that the forecasting technique consistently underpredicts.

A monitoring sign (T.S.) is a tool used to continually monitor the quality of our forecasting approach as we develop through time. A monitoring signal cost is calculated each duration and a dedication is made as to whether or not it falls into an appropriate range.

In records and management technology, a tracking signal monitors any forecasts that have been made in contrast with actuals and warn when there are surprising departures of the results from the forecasts. Forecasts can relate to sales, inventory, or anything touching on an employer's destiny demand.

A monitoring signal is an automatic indication of the version of the real forecasts on the subject of income, inventory, or something bearing on an employer's future call for. It monitors and warns when there are unexpected departures of the results from the forecasts.

Learn more about the forecasting technique here: https://brainly.com/question/13309384

#SPJ4

Anyone who knows how to properly label a supply and demand graph please help! Draw a supply and demand graph for the given scenario

Answers

The factor that would shift demand is the reduction in the price of laptops.

The equilibrium price  and quantity would decrease.

What is the result of the policy?

When the price of laptops are reduced, the quantity demand for laptops would increase while the demand for computers would fall. This is because computers and laptops are substitute goods.

As a result of a fall in the demand for computers, the demand curve would shift to the left. Equilibrium price and quantity would fall.

Please find attached the required diagram. To learn more about the demand curve, please check: https://brainly.com/question/25140811

#SPJ1

a company has total current assets of $250,000 and accounts payable of $100,000. if their bank has imposed a covenant requiring a current ratio of 1.25 or better, what is the maximum level of notes payable allowable

Answers

Here the maximum level of notes payable allowable will be $100000.

Long-term obligations known as notes payable represent the sums that a firm owes its financiers, including banks and other financial institutions as well as alternative funding sources like friends and family. They are considered long-term since they are due after a year, albeit often within five years.

Calculation of Notes payable is done as follows:

Current Ratio=[tex]\frac{Current Asset}{Current liabilities}[/tex]

Now let current liabilities be 'z'

Therefore:

1.25=250000/z

Thus z=200000

Current liabilities=$200000

Here Current liabilities=Account Payable + Notes payable +

200000=100000+Notes Payable

Notes Payable=200000-100000

=$100000

Therefore the maximum level of notes payable allowable is $100000.

To know more about Notes payable click here:

https://brainly.com/question/25148915

#SPJ4

When the effective-interest method of amortization is used for a bond premium, the amount of interest expense for an interest period is calculated multiplying the:.

Answers

The amount of interest expense for an interesting period is calculated by multiplying the carrying value of the bonds at the beginning of the period by the effective interest rate.

Amortization is an accounting approach used to periodically decrease the ebook value of a loan or an intangible asset over a fixed time frame. Concerning a mortgage, amortization focuses on spreading out mortgage bills through the years. When applied to an asset, amortization is similar to depreciation.

Amortized price is an accounting approach in which all economic properties need to be suggested on a stability sheet at their amortized fee that is identical to their acquisition general minus their essential payments and any reductions or charges minus any impairment losses and change variations.

Input the corresponding values in cells B1 thru B3. In cellular B4, input the components "=-PMT(B2/1200, B3*12, B1)" to have Excel routinely calculate the monthly charge. As an example, in case you had a $25,000 mortgage at 6.5 percent annual hobby for 10 years, the month-to-month fee could be $283.87.

Learn more about the method of amortization here https://brainly.com/question/10561878

#SPJ4

Mott Company's sales mix is 3 units of A, 2 units of B, and 1 unit of C. Selling prices for each product are $34, $44, and $54, respectively. Variable costs per unit are $24, $29, and $32, respectively. Fixed costs are $533,000. What is the break-even point in composite units

Answers

The break even point in composite units is 5000 units.

Break even point

The Break-even point  is calculated by dividing the fixed cost by the contribution margin per unit.

For this sales mix, the contribution margin per unit is the aggregate of each contribution margin. Contribution margin is calculated by subtracting variable cost from the selling price  

Contribution margin  for A is $20- $12 = $8  x 3 units

Contribution margin for B is  $ 30 - $18 = $12 x 2 units

Contribution margin for C is $40 -$24= $16  x 1 unit

Total contribution margin per unit will be

(8 x 3) x (12 x 2 ) x( $16 x 1)= $64

Break-even point = $320,000 /64

Learn more about break even point here :

https://brainly.com/question/15356272

#SPJ4

A beneficial rule to follow is to set the firm's capital structure so that Blank______. Multiple choice question. the firm's value is minimized the firm's bondholders are satisfied the firm's value is maximized dividends are maximized

Answers

A beneficial rule to follow is to set the firm's capital structure so that the firm's value is minimized.

Firm's Optimal capital structureIn corporate finance, capital structure refers to the combination of several external funding sources, also known as capital, utilized to finance a company. It is listed on the balance sheet of the company and comprises equity owned by shareholders, debt, and preferred shares.The best combination of debt and equity financing for a company's capital structure optimizes market value while lowering the cost of capital. Theoretically, because debt financing is tax deductible, it has the lowest cost of capital.The best combination of debt and equity financing that increases market value while lowering a company's cost of capital is known as an optimal capital structure.One strategy to optimize for the lowest cost mix of financing is to reduce the average cost of capital.

To learn more about the Firm's Optimal capital structure refer to:

https://brainly.com/question/15041466

#SPJ4

Shawn will pay Craig with a negotiable instrument, and Shawn plans to involve a third party in that process. What instrument should he use

Answers

The instrument that Shawn must use is “payable to the order of” before the name of the payee.

Requirements of Negotiability The first of the four major considerations is whether or not a paper is negotiable, and it is one that nonlawyers must address.Auditors, retailers, and financial institutions frequently handle notes and checks and must make quick decisions about negotiability.In a negotiable instrument, the only permissible promise or direction is to pay a particular sum of money. Any other promise or command renders negotiability null and voidThis restriction exists to prohibit an instrument from having an uncertain value.If the bearer of a negotiable instrument had to examine whether a provision or condition had been met before the thing had any value, the utility of the object as a substitute for money would be severely diminished.

Hence, the instrument that Shawn must use is “payable to the order of” before the name of the payee.

To learn more about the Negotiation instrument refer to:

https://brainly.com/question/9312091

#SPJ4

Wanda Workout stopped at the local store to purchase a new pair of running shoes after her strenuous jog that morning. The salesman noticed Wanda looking at a pair of shoes and stated, "Those will look great with your outfit." The salesman's statement is an example of __________________. Group of answer choices a full warranty puffery an implied warranty an express warranty a limited warranty

Answers

a full warranty puffery

As we can see, the seller made a statement for the shoes only by seeing the women is looking at them. This is the example of puffery.

What is a Puffery ?

Puffery is a form of advertising in which a product or service is praised as being superior to all others like it, without any evidence to back up the claim.

Puffery can normally be found in advertising or promotional materials about a specific product or service, though it is often employed by politicians and other people attempting to gain favor.

Learn more about Puffery here:

https://brainly.com/question/15306518

#SPJ2

finds loads and dispatches truck to pick them up are called

Answers

Answer:

What is a freight truck?

A freight truck transports things from one place to another. The truck's body is built around a strong chassis and a powerful engine to easily carry heavier loads. Usually, they transport cargo between warehouses, factories, wholesalers, and retailers.

Explanation:

What is a freight truck?

A freight truck transports things from one place to another. The truck's body is built around a strong chassis and a powerful engine to easily carry heavier loads. Usually, they transport cargo between warehouses, factories, wholesalers, and retailers.

In 2012, former Chief Financial Officer (CFO), Jennifer Cue, returned to Jones Soda as Chief Executive Officer, with a mandate to turn the company around. Part of the new strategy to save the company was to establish B2B partnerships with companies such as 7-Eleven and Fiat, in order to tap into the robust ___________.

Answers

Part of the new strategy to save the company was to establish B2B partnerships with companies such as 7-Eleven and Fiat, in order to tap into the robust reseller market.

What is the B2B partnership?A B2B partnership is a collaboration between two or more businesses with the aim of creating a win-win situation that will sustain growth and provide substantial value to all parties. This might take the form of opportunities for product development, marketing, or general corporate growth.What is the reseller market?The market is made up of wholesalers and merchants that purchase goods to resell.A reseller purchases goods with the intention of reselling them for a profit later. Since resellers buy products and services in bulk from suppliers, they frequently get deals. Then, through the process of resale, resellers establish a connection between producers and customers, delivering goods and services to customers.These include supermarkets, department stores, and specialist shops like those that provide pet supplies or home improvement products.

Therefore, part of the new strategy to save the company was to establish B2B partnerships with companies such as 7-Eleven and Fiat, in order to tap into the robust reseller market.

Know more about wholesalers here:

https://brainly.com/question/7062667

#SPJ4

A 10-year term life policy will cost ____ a 5-year renewable term policy during the early years of the 10-year period, other factors being equal.

Answers

Answer:

10 year term policy will cost more then a 5 year renewable term policy

Country X has a high unemployment rate. It follows that country X is operating a. inside (below) its PPF. b. at a productive efficient point. c. beyond its production possibilities frontier (PPF). d. on its PPF.

Answers

Based on the fact that this country is having a high rate of unemployment, then it is  inside (below) its PPF.

What is the Production possibility frontier?

This is the graphical illustration that shows the way a nation produces goods and services based on the resources that it has available.

It shows the mix of goods that would efficient use the allocated resources. A country is at unemployment if they are inside the PPF.

Read more on the Production possibility frontier here:

https://brainly.com/question/6571859

#SPJ1

Other Questions
angle sum theory find Y 10.A uniform cord has a mass of 0.300 kg and a length of 6.00 m. The cord passes over a pulley and supports a 2.00 kg object. Find the speed of a pulse traveling along this cord. (1+sinA+cosA)^2 = 2(1+sinA) (1+cosA) What does the net income tell thebusiness?A. Whether or not they made a profit.B. Whether or not they have too many employees.C. Whether or not their financing is too high. Which descriptions about simple interest and yearly compounded interest are true? Check all that apply.Only compound interest has an exponent in its formula.Simple interest is earned on principal and interest.Compound interest earns more money than simple interest at the same rate for the same amount of time.Simple interest earns more money than compound interest at the same rate for the same amount of time.Simple interest is only earned on the original principal investment.Only compound interest earns the same interest amount every year.Only simple interest uses time in its formula.Compound interest is earned on principal and interest. 5. How did Pennsylvania avoid conflict with theIndians? In an energy pyramid, the amount of energy at the producer level is 475,650 kilocalories. the pyramid has four trophic levels, including the producer level. assuming that 10% of the energy is retained at every level, how much energy is available for the second-level consumers? the energy available for the second-level consumers is kilocalories. Society gains advantages through trade because of its ability to: Read the excerpt relating to Hester Prynne from Chapter 3 of The Scarlet Letter.She had borne, that morning, all that nature could endure; and as her temperament was not of the order thatescapes from too intense suffering by a swoon, her spirit could only shelter itself beneath a stony crust ofinsensibility, while the faculties of animal life remained entire.Which character trait of Hester Prynne does Hawthorne develop in this excerpt from the chapter?O weakness of spiritO inner strength carelessnessdesire for revengelark this and returnSave and ExitHextSubmit Solve the quadratic equation 8x-5x-4=0Give your answer to 3 significant figures John.................(live) in Miami for one year when his parents came to visit. The shaded region under a Normal distribution with mean 100 and standard deviation 5 is shown. Which of the following is the best choice that corresponds to the shaded region? Select one. mean The shaded region under a Normal distribution with mean 100 and standard deviation 5 is shown . Which of the following is the best choice that corresponds to the shaded region ? Select one . If Jules is in class and listens carefully to his interpersonal communication professor lecture, actively takes notes and tries to understand the information, he is what is the product? (7x^2)(2x^3+6)(x^2-4x=9) Which Event is an example of engineering helping science? (Please help) Documents Leading to the ConstitutionUnder the Petition of Right, whencould the king have someoneimprisoned?2 of 6Please choose the correct answer.When the person hadcommitted a crimeO Whenever the king felt like itO When the person disagreedwith the king You have to fill a can of gasoline with a capacity of 12 liters.The gas pump indicates that gasoline is selling for $1.15/litre.Which equation allows you to calculate the cost of gasoline C according to the quantity of gasoline in liters n ?Please choose an answer.C = 1,15n + 12C= -1,15n + 12C = 0,12n - 1,15C = 1,15n Which inequality represents Three times a number is greater than 15. a. 3x > 15 b. 3x = 15 c. 3x + 15 d.15 + 3x What circuit element, an inductor or a capacitor, should be placed in series with the circuit to raise its power factor kinetic energy is proportional to what