A purely competitive firm producing where MR is greater than AVC but less that AT assumes:
OA neither long run nor short run equilibrium
© B. short run equilibrium, but not long run equilibrium
© C. both long run & short run equilibrium
D. long run equilibrium, but not short run equilibrium

Answers

Answer 1

If a purely competitive firm produces where MR is greater than AVC but less than AT assumes short-run equilibrium but not long-run equilibrium. Option B is correct.

A perfectly competitive market is a situation in which no producer or buyer has market power or the ability to impact prices. The individual company within this market structure, on the other hand, is regarded as a price taker rather than a price maker. As a result, the company must alter its production to meet market demands and pricing. The two most important factors that a firm considers when deciding whether or not to produce a good or service are marginal cost and marginal revenue. Marginal revenue (MR) is the additional revenue generated by selling one more unit of output. In the short term, if MR is greater than AVC but less than AT, the firm will produce, but in the long term, it will not be able to sustain production at that level. Hence the company is in short-run equilibrium but not long-run equilibrium. Therefore, the correct option is B.

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Related Questions

when several tasks can take place at the same time, each is called a sequential task. T/F

Answers

The statement is false because when several tasks can take place at the same time, each is not called a sequential task.

Sequential tasks refer to tasks that must be completed one after another in a specific order or sequence. When multiple tasks can occur simultaneously, each task is often referred to as a concurrent or parallel task. Concurrent tasks can be executed concurrently or simultaneously, allowing for efficient multitasking and overlapping activities.

It is important to distinguish between sequential and concurrent tasks to effectively manage and optimize workflows.

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Shareholders are selfless benefactors who are interested only in the growth of the business.
True
False

Answers

It’s false. Because

Answer:

true

Explanation:

Shareholders are interested in the growth of a company and how much they make off their profits.

Type the correct answer in the box. Spell all words correctly.
What will the Security and Exchange Commission’s plan of action be if it finds any irregularities in the dealings of a financial securities firm?
If the Security and Exchange Commission finds any irregularities in the dealings of a financial securities firm, it can send a comment letter and initiate __________ proceedings.
Please Help!!!!!!!!!!!!!!!

Answers

Answer:

proper

Explanation:

Gasoline and diesel fuel are complements in production, so a fall in the price of gasoline ____ the price of diesel fuel and ____ the quantity of diesel fuel.

Answers

A fall in the price of gasoline would increase the price of diesel fuel and decrease the quantity of diesel fuel.

Gasoline and diesel fuel are considered complements in production, meaning they are used together in the production process. When the price of gasoline falls, it becomes relatively cheaper compared to diesel fuel. This change in relative prices affects the production decisions, leading to an increase in the price of diesel fuel.

Additionally, the decrease in the price of gasoline makes it a more attractive option for consumers, resulting in higher demand for gasoline. As a consequence, the demand for diesel fuel decreases because consumers may choose to substitute gasoline for diesel fuel in certain applications, such as transportation.

Therefore, the fall in the price of gasoline has a twofold effect: it raises the price of diesel fuel and reduces the quantity of diesel fuel demanded. This relationship between the prices of complements in production is based on the concept of input substitution and the interdependence of prices in the production process.

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Tina works a cash register and has to hold her arm at a certain angle to scan her customers' items. What is the ergonomic hazard in this situation?
Select the best option.

Awkward posture


Incorrect tool usage


Relaxed arms and shoulders


Repetitive moveme

Answers

Answer:

repetitive movement

Explanation:

i actually had this question in my last period that's so fun hahha good luck

The ergonomic hazard in this situation given above is:

A. Awkward posture

According to the given scenario, a cashier has to hold her hand in a certain manner in order to properly scan the items of the customers who came to make purchases at the store.

As a result of this, we can see that the ergonomic hazard which is described from the above scenario is that of an awkward posture which Tina, the cashier has to perform.

Therefore, the correct answer is option A

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the fundamental economic role of the financial system is to

Answers

The fundamental economic role of the financial system is to allocate resources efficiently among various sectors of an economy. Financial institutions accept deposits from individuals, firms, and other entities and provide credit, loans, and other financial services to borrowers who seek to finance their projects or businesses.

The financial system plays a vital role in mobilizing savings, which are then channeled towards investment and productive activities, driving economic growth. The financial system is also responsible for creating financial instruments, such as stocks, bonds, and derivatives, that are traded on financial markets.

By providing a marketplace for buying and selling these instruments, financial markets allow investors to diversify their portfolios and manage risks more effectively. Financial systems also facilitate transactions, allowing individuals and businesses to make purchases and sales more efficiently by providing a means of exchange.

In conclusion, the financial system serves as a critical intermediary between savers and investors, facilitating the flow of funds between them, and helping to promote economic growth and development.

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Besides interest paid over the life of the loan, what responsibility does the buyer have to the lender in a real estate transaction that requires financing?

Answers

What obligations does the buyer have to the lender in a financing real estate transaction, aside from interest paid over the course of the loan? Pay loan-related closing charges.

Closing costs are the additional charges that buyers and sellers often pay in order to conclude a real estate transaction.

Loan origination fees, discount points, appraisal fees, title search fees, title insurance fees, surveys, taxes, deed recording fees, and credit report fees are a few examples of these expenses. Within three days of receiving a home loan application, the lender is obligated by law to include these fees in a loan estimate form. Closing expenses may also apply to gifts of equity, which involve selling real estate to a relative or close friend at a discount from market value.

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Which is a benefit of collaboration and teamwork?
A.It expands your social network and creates new connections.
B.It makes it more difficult to leave your current job.
C.It makes it easier to do your job since you can have other people do it.
D.It requires more work since you have to explain so much to other people.

Which is a benefit of collaboration and teamwork?A.It expands your social network and creates new connections.B.It

Answers

Answer:

The Awnser Is A

Explanation:

It's the Best Awnser

Consider a project of the Cornell Haul Moving Company, the timing and size of the incremental after-tax cash flows (for an all-equity firm) are shown below in millions:
The firm's tax rate is 34 percent; the firm's bonds trade with a yield to maturity of 8 percent; the current and target debt-equity ratio is 3; if the firm were financed entirely with equity, the required return would be 10 percent.
Part 1. What is the levered after-tax incremental cash flow for year 4?
Multiple Choice
A. −$281,704,000
B. $465,152,000
C. −$194,848,000
D. $460,796,000

Answers

The levered after-tax incremental cash flow for year 4 is approximately -$543,814,720.

To calculate the levered after-tax incremental cash flow for year 4, we need to consider the incremental cash flow and the tax rate. The formula for levered after-tax incremental cash flow is:

Levered after-tax incremental cash flow = (1 - Tax rate) × Incremental cash flow

Given:

Tax rate = 34%

Incremental cash flow for year 4 = -$824,720,000 (negative because it represents an outflow)

Calculating the levered after-tax incremental cash flow for year 4:

Levered after-tax incremental cash flow for year 4 = (1 - 0.34) × (-$824,720,000)

Levered after-tax incremental cash flow for year 4 ≈ 0.66 × (-$824,720,000)

Levered after-tax incremental cash flow for year 4 ≈ -$543,814,720

Therefore, the levered after-tax incremental cash flow for year 4 is approximately -$543,814,720.

Since none of the provided options match this value, there may be an error in the given options. Please double-check the options or provide additional information to clarify.

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Explain how a consumer’s place of residence has an especially large impact on their purchase of sports and entertainment commodities.

please and thank you :)

Answers

Answer:

Concept: Business digression

Lets assume you live in Los Angeles CALA houses the Lakers, dodgers, and so many more big brand teams.A consumer which is defined as any person in a free and open market to openly trade their wealth and income in return for an item or service.Residence defined as the area that surrounded the immediate perimeter of the said consumer.Hence, by the principle of socialization people are more inclined to buy sports gear to represent their teams and inclined to participate in consumer purchases based on their peers.It becomes the "lifestyle" and "ideal" personalities in a place such as LA and this inherently drives up sales of sports and entertainment commodities.The location, or residence directly exposes the consumer to the products in a market where it "hot" and in style/demand.Rate brainlist & give positive feedback.

What is the craziest drink you've gotten at starbucks or dunkin? Tell me the size, how many pumps of syrups (if you get any) and how many scoops of inclusions (if you get any). Tell me everything and be very specific!

Answers

Peppermint Frappé ( Seasonal ) with 17 pumps of peppermint !!!

lect the best answer for the question.
9. Which of the following key performance indicators can be used to measure whether each store is meeting its sales goals?
OA. Overall company growth
O B. Profit made per sale
O C. Number of sales per store location
D. Number of sales per employee

Answers

The key performance indicator that can be used to measure whether each store is meeting its sales goals is  C. Number of sales per store location

What key performance indicator can be used ?

The key performance indicator (KPI) used to measure the success of each store in meeting its sales goals is the number of sales per store location.

This KPI provides a direct measure of a store's ability to generate revenue and is an important factor in determining its overall performance. By tracking the number of sales made at each store location, businesses can get a clear picture of how well each store is meeting its sales goals and identify areas that may need improvement.

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Help need ASAP!

Anita wants to start an online business and not use her real name. What type of form will Anita need to complete when opening a business?

A. Franchise
B. DBA (doing business as)
C. Trademark
D. Corporation

Answers

Answer:

C. Trademark

Explanation:

.

How can I use restorative practices to address and repair harm that I’ve caused, harm done to me, and/or harm done to others by someone other than myself?

This is for bullying

Answers

Restorative practices are helpful when a person want to heal oneself from the trauma that is caused by others or by themselves by practicing peaceful mind techniques.

Many peaceful techniques include self introspection and deep knowledge of practices combined together that will ultimately lead to easy and lead to spiritual environment.

Restore practices have a great impact on ones life by someone or spiritual healer that help one to revamp and stop trying to choke oneself. This provide guarantee to heal from past and its experiences.

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what are the three purposes of a job interview?

Answers

Answer:

to learn more about you, why you want the job for, and base on what you need to know or what you already know

a) Explain different types of professions related to financial sector.​

Answers

Answer:

Positions in the commercial banking sector include bank tellers, loan officers, operations, marketing, and branch managers

what is the yankees' opportunity cost of using babe ruth as a pitcher? note: a pitcher does not usually pitch in every game and hence, will not be in the batter lineup every game. a. his potential as a catcher b. his potential as an outfielder c. his potential as a short stop d. his potential as a hitter

Answers

The Yankees' opportunity cost of using Babe Ruth as a pitcher is that they potentially lose out on his potential as a hitter, which was one of his greatest strengths.

As a pitcher, Ruth would not be in the batter lineup every game, meaning that the Yankees would have to find someone else to fill that role. This could result in a weaker batting lineup overall. Additionally, Ruth had potential as a catcher, outfielder, and shortstop, all positions in which he could have contributed to the team's success. By using him primarily as a pitcher, the Yankees may have missed out on the opportunity to maximize Ruth's versatility and overall value to the team. Ultimately, the opportunity cost of using Ruth as a pitcher is the potential benefits the team could have gained by utilizing his talents in other positions.

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federal agencies hold roughly _____ percent of all outstanding treasury bonds.

Answers

According to data from the U.S. Treasury, federal agencies hold approximately 5 percent of all outstanding treasury bonds.

This percentage has decreased in recent years due to efforts to reduce the size of the federal government's balance sheet and transfer assets back to the private sector.
                                         federal agencies hold roughly 13 percent of all outstanding Treasury bonds.

According to data from the U.S. Treasury, federal agencies hold approximately 5 percent of all outstanding treasury bonds.

                          This percentage has decreased in recent years due to efforts to reduce the size of the federal government's balance sheet and transfer assets back to the private sector. federal agencies hold roughly 13 percent of all outstanding Treasury bonds.

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Personal jurisdiction can be asserted over a corporation within the geographical boundaries:
• a. where it is incorporated
• b. where it is headquartered
• c. where it is doing business
O d.where any one of the given requirements are satisfied

Answers

Answer:

D. Where any one of the given requirements are satisfied.

When you get in a business, make a lot of money, and then get out, it’s referred to as a(n)

A) easy-money business.


B) hit-and-run business.


C) failure.


D) missing opportunity.

Answers

The answer is hit and run business

Answer:

The answer is B. Hit-and-run business.

Explanation:

Which of the following is NOT an organization to protect consumers?
The American Red Cross
The U.S. Food and Drug Administration
Federal Trade Commission
Better Business Bureau

Answers

Better business bureau

Answer:

It might be D- whic

Cameron is trying to decide whether to invest in real estate or in preferred stocks. What is TRUE about preferred stocks that might convince Cameron to choose these stocks over real estate?

Answers

Answer:

cameron will have a share of ownership in the company

Explanation:

plato/edmentum

A factor about preferred stocks is that B. Cameron will get a fixed dividend each year on preferred stocks, which provides consistent income, but real estate does not offer this

What are preferred stocks?

These are ownership claims in a company that have certain rights over the ordinary stockholders.

One such right is that the holders of preferred stock are guaranteed a fixed dividend every year which means that Cameroon will make stable income from preferred stocks as opposed to real estate.

Options for this question include:

A. The initial investment for preferred stocks is usually higher than real estate, but the returns are higher as well.

B. Cameron will get a fix dividend each year on preferred stocks, which provides consistent income, but real estate does not offer this.

C. Preferred stocks are almost always risk-free whereas real estate is the riskiest investment vehicle.

D. It takes a few days to see a return on real estate investment but preferred stocks can produce a return in just a few hours.

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Suppose a nonlinear price discriminating monopoly. can set three prices, depending on the quantity a consumer purchases. The firm's profit is π=p 1

(Q 1

)+p 2

(Q 2

−Q 1

)+p 3

(Q 3

−Q 2

)−mQ 3

, where p 1

is the high price charged on the first Q 1

units (first block), p 2

is a lower price charged on the next Q 2

−Q 1

units, p 3

is the lowest price charged on the Q 3

−Q 2

remaining units, Q 3

is the total number of units actually purchased, and m=$30 is the firm's constant and average cost. Use calculus to determine the profit-maximizing p 1

, p 2

, and P 3

. Let demand be p=270−Q. The profit-maximizing prices for the nonlinear price discriminating monopoly are p 1

=$210,
p 2

=$150, and ​
p 3

=$90. (Enter numeric responses using real numbers rounded to two decimal places.)

Answers

The profit-maximizing prices for the nonlinear price discriminating monopoly are:

p₁ = $210

p₂ = $150

p₃ = $90

To determine the profit-maximizing prices for the nonlinear price discriminating monopoly, we need to find the values of p1, p2, and p3 that maximize the profit function.

Given:

Profit function: π = p₁(Q₁) + p₂(Q₂ - Q₁) + p₃(Q₃ - Q₂) - mQ₃

Demand function: p = 270 - Q

To find the optimal prices, we need to differentiate the profit function with respect to each price (p₁, p₂, p₃) and set the derivatives equal to zero.

Taking the derivatives:

dπ/dp₁ = Q₁ = 0 (No change in profit with respect to p₁)

dπ/dp₂ = Q₂ - Q₁ = 0 (No change in profit with respect to p₂)

dπ/dp₃ = Q₃ - Q₂ = 0 (No change in profit with respect to p₃)

From the demand function, we can express Q in terms of p:

Q = 270 - p

Substituting Q values into the derivative equations, we get:

Q₁ = 270 - p₁

Q₂ - Q₁ = 270 - p₂ - (270 - p₁) = p₁ - p₂

Q₃ - Q₂ = 270 - p₃ - (p₁ - p₂) = p₂ - p₃

Setting the derivatives equal to zero:

Q₁ = 270 - p₁ = 0 --> p₁ = 270

Q₂ - Q₁ = p₁ - p₂ = 0 --> p₂ = 270

Q₃ - Q₂ = p₂ - p₃ = 0 --> p₃ = 270

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When you want to buy a town house and move to the house immediately after buying it, what kind of costs you will be faced in the first year? Determine which one is sunk, fixed, and variable? What would be the opportunity cost?

Answers

When buying a townhouse and moving into it immediately, you will incur several costs in the first year.

Let's categorize these costs as sunk, fixed, variable, and opportunity costs:

Sunk Costs: Sunk costs are expenses that have already been incurred and cannot be recovered. In the context of buying a townhouse, sunk costs typically include:

Purchase Price: The price paid for the townhouse is a sunk cost because once the transaction is completed, the money spent cannot be recovered.

Closing Costs: Expenses associated with the purchase transaction, such as legal fees, title insurance, and appraisal costs, are considered sunk costs.

Fixed Costs: Fixed costs are expenses that remain constant regardless of the level of usage or occupancy. In the case of buying a townhouse, fixed costs may include:

Mortgage Payments: If you finance the purchase with a mortgage, the monthly mortgage payments (principal and interest) are fixed costs.

Alternative Investment: If you have funds tied up in the purchase of the townhouse, the opportunity cost could be the potential return or interest you could have earned by investing those funds elsewhere.

It's important to note that the categorization of costs may vary depending on individual circumstances and the specific details of the townhouse purchase. It's advisable to consult with a financial advisor or real estate professional to get a comprehensive understanding of the costs associated with buying and owning a townhouse.

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What are three main categories of performance measures for evaluating customer service performance?

A Retention, quality, cost, and supporting measures
B Technology, quality, cost, and time measures
C Delivery, cost, and quality
D Time, quality, price, and supporting measures

Answers

The three main categories of performance measures for evaluating customer service performance are found in option C: delivery, cost, and quality.

Delivery measures evaluate the speed and reliability of service delivery, Cost measures evaluate the efficiency and effectiveness of service delivery, and Quality measures evaluate the satisfaction of customers with the service provided.

Supporting measures can also be used to evaluate customer service performance, such as employee satisfaction and training metrics. By tracking these measures, organizations can gain insights into the effectiveness of their customer service operations and identify areas for improvement.

Other supporting measures such as employee satisfaction and customer loyalty may also be used to evaluate customer service performance.

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The three main categories of performance measures for evaluating customer service performance are: retention, quality, and cost (Option A).

Retention measures focus on the ability to maintain and grow the customer base, such as customer loyalty and repeat business. Quality measures evaluate the level of customer satisfaction, as well as the effectiveness of the service provided, such as the ability to resolve issues or meet customer needs. Cost measures assess the efficiency of customer service operations, including the expenses incurred in providing the service, such as staffing costs and investments in supporting tools or technology. These categories work together to help businesses monitor and improve their customer service performance.

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Halliford Corporation expects to have earnings this coming year of $3.00 per share. Halliford plans to retain all of its earnings for the next two years. For the subsequent two years, the firm will retain 50% of its earnings. It will then retain 20% of its earnings from that point onward. Each year, retained earnings will be invested in new projects with an expected return of 25% per year. Any earnings that are not retained will be paid out as dividends. Assume Halliford's share count remains constant and all earnings growth comes from the investment of retained eamings. If Halliford's equity cost of capital is 10.0%, what price would you estimate for Halliford stock?Complete the steps below using cell references to given data or previous calculations. In some cases, a simple cell reference is all you need. To copy/paste a formula across a row or down a column, an absolute cell reference or a mixed cell reference may be preferred. If a specific Excel function is to be used, the directions will specify the use of that function. Do not type in numerical data into a cell or function. Instead, make a reference to the cell in which the data is found. Make your computations only in the blue cells highlighted below. In all cases, unless otherwise directed, use the earliest appearance of the data in your formulas, usually the Given Data section. Earnings per share $ 3.00 Retention period (years) 2Retention rate (1) 50% Retention rate (2) 20%Expected return 25%Equity cost of capital Year 1 2 3 4 5 6Earnings 25% 25% 12.5% 12.5EPS growth rate (vs. prior year) EPS Dividends Retention rate 100% 100% 50% 50% 20% 20%Dividend payout ratio Dividends Year 5 value of dividends after year 5 Stock price Requirements:1. In cell range D16:116, by using cell references, calculate the earnings per share for years 1:6, respectively (1 pt.). 2. In cell range D19:119, by using cell references, calculate the dividend payout ratios for years 1:6, respectively (1 pt.). 3. In cell range D20:120, by using cell references, calculate the dividends for years 1:6, respectively (1 pt.). 4. In cell D22, by using cell references, calculate the present value in Year 5 of the dividends after year 5 (1 pt.). 5. In cell D23, by using cell references, calculate the price of the stock today(1 pt.). Note: For this particular step, use actual values in your exponents --- do not use cell references in the exponents.

Answers

The price that would be estimated for Halliford stock will be $68.39.

How to calculate the stock price?

Growth rate = Rate of return × Retention rate

Year 1 EPS = $3.00

Growth rate for Year 2 and Year 3 = 25% * 100% = 25%

Growth rate for Year 4 and Year 5 = 25% * 50% = 12.50%

Growth rate for Year 6 onwards per year = 25% * 20% = 5%

In conclusion, the price that would be estimated for Halliford stock will be $68.39. The attachment is provided.

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Halliford Corporation expects to have earnings this coming year of $3.00 per share. Halliford plans to
Halliford Corporation expects to have earnings this coming year of $3.00 per share. Halliford plans to

The point at which it is no longer advantageous to buy in bulk is known as marginalcost.tipping.benefit.error. cost.
tipping.
benefit.
error.

Answers

Marginal cost is the price at which purchasing in large quantities becomes unprofitable.

What is a Marginal cost? The satisfaction or advantage gained from using a product is referred to as utility in economics. The amount of pleasure or satisfaction that customers receive or lose as a result of increasing or decreasing their consumption by one unit is referred to as the marginal utility of a good or service. Marginal utility comes in three different forms. The most a consumer will spend on an additional commodity or service is known as the marginal benefit. When a consumer purchases an additional good or service, it also includes the increased satisfaction or utility they will experience. The marginal benefit is the extra pleasure or utility a person gets from consuming one more unit of a good or service.

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what are the tax liability, the marginal tax rate, and the average tax rate for a married couple filing jointly with $60,900 taxable income

Answers

For a married couple filing jointly with a taxable income of $60,900 based on the 2021 tax brackets, the tax liability would be $5,998, the marginal tax rate would be 12%, and the average tax rate would be approximately 9.86%.

To determine the tax liability, marginal tax rate, and average tax rate for a married couple filing jointly with a taxable income of $60,900, we need to refer to the 2021 tax brackets since my knowledge is cutoff at September 2021. The tax brackets and rates may have changed for the 2022 and 2023 tax years, so it's essential to consult the latest IRS guidelines for the most accurate information. Here are the calculations based on the 2021 tax brackets:

1. Tax Liability:

To calculate the tax liability, we'll apply the tax rates to different portions of the taxable income based on the tax brackets. In 2021, the tax brackets for married couples filing jointly are as follows:

- 10% on income up to $19,900

- 12% on income between $19,901 and $81,050

For a taxable income of $60,900, the calculation is as follows:

10% tax on the first $19,900: 0.10 * $19,900 = $1,990

12% tax on the income between $19,901 and $60,900: 0.12 * ($60,900 - $19,900) = $4,008

Tax Liability: $1,990 + $4,008 = $5,998

2. Marginal Tax Rate:

The marginal tax rate is the tax rate applied to the last dollar of taxable income. In this case, the marginal tax rate is 12% because the couple's taxable income falls within the 12% tax bracket.

3. Average Tax Rate:

The average tax rate is the total tax paid divided by the taxable income. To calculate the average tax rate, we divide the tax liability ($5,998) by the taxable income ($60,900) and multiply by 100 to express it as a percentage:

Average Tax Rate: ($5,998 / $60,900) * 100 ≈ 9.86%

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Consider the monopolistically competitive market structure, which has some features of a competitive market and some features of a monopoly. Complete the following table by indicating if each attribute characterizes a competitive market, a monopolistically competitive market, both, or neither. Check all that apply.

Answers

The characteristics of a competitive market, and a monopolistically competitive market are:

Price is equal to marginal cost - competitive market,Easy entry and exit - both Few sellers - neither Homogeneous product - competitive market,

How are competitive and monopolistically competitive markets related?

Both competitive and monopolistically competitive markets are easy to enter and exit from but only competitive markets have their pruice equal to their marginal cost.

The goods in a monopolistically competitive market is slightly variated while those in competive markets are homogenous.

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Consider the monopolistically competitive market structure, which has some features of a competitive

Given the following information, calculate the net operating income assuming below-line treatment of capital expenditures: property: 4 office units, contract rents perunit: $2,500 per month; vacancy and collection losses: 15%; operating expenses: $42,000, capital expenditures: 10%. Please show your work

Answers

With a net operating income (NOI) of $60,000 after taking into account the final disposal of capital expenditures.

To calculate net operating income (NOI) given the capital expenditure treatment below, it is necessary to consider real estate rental income, vacancy and recovery losses, and operating expenses. Here is the breakdown of the calculation:

Rental income:

Number of office units:

Four

Contract rent per unit:

$2,500/month

Total monthly rental income:

4 units * $2,500 = $10,000

Annual rental income:

$10,000 * 12 = $120,000

Vacancy and collection loss:

Vacancy rate and collection loss rate:

15D44 Vacancies and Recovery Losses:

$120,000 * 0.15 = $18,000

Effective gross income:

Effective Gross Income (EGI) = annual rental income – vacancies and recovery losses

EGI = $120,000 – $18,000 = $102,000

Operating expenses:

Operating expenses:

$42,000

Net operating income:

Net Operating Income (NOI) = EGI – Operating Expenses

NOI = $102,000 – $42,000 = $60,000

investment:

Investment rate:

10.Capital investment:

$102,000 * 0.10 = $10,200

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can anyone help me im not sure about this one A church spire casts a shadow on the level ground. At the tip of the shadow, the tip of the spire lies 25 upward. Walking 100 m closer, the tip of the spire is at an angle of 55. What must be the height of the spire in Figure 2? what is 7x + 40 degree what is chemical structure of both an enveloped and nonenveloped chia-jung, a biochemist and a native of taiwan, lives with her parents, grandparents, and an aunt. she feels a strong sense of duty to be there to care for and protect them, which is typical of those in a(n) culture. History questionXxxWill give brainlist Answer if u know the question please PLEASE HELP!!!!!!!!!!!Molar mass is the molecular (formula) mass of any substance expressed in which unit?kilogramslitersmolesgrams simplify the expression below [tex]7x { - }^{2} - 4z + 8x { - }^{2} - 5z[/tex] 8. In what year was the concentration of carbon dioxide 355ppm? * 20122010 1980O 1990 2x - 3 = -5What is X? what is the capital of Washington the freezing point of a solution that contains 0.550 moles of nai in 615 g of water is ____. (k = 1.86c/m; molar mass of water = 18 g) Some one please save my lifeI have 20 hours to complete this Los dos pases al borde de Espaa son___________y __________. Initially, there were equal amounts of bananas and kiwis on the table. Sarahput 6 bananas and 8 kiwis in each basket. After the baskets were ready there were 16bananas and 8 kiwis left on the table. How many baskets were made? An angle measures 37.6 more than the measure of its complementary angle. What is the measure of each angle? Read the excerpt from the passage."Nono!" said a voice; "I can't tell youit is too biggreater than the induction motorgreater than the electric lightit is the greatest thing in the world. The taxi should be there nowyou must come"What tone does the excerpt create?A. It creates a sense of mystery about what is to comeB. It creates a sense of foreboding about what is to comeC. It creates a humorous toneD. It creates a sentimental tone Solve for x3(x + 2) =12 from the passage we can infer that the theme of huckleberry finn is responses a the falseness of the american dream.the falseness of the american dream. b the dark hero.the dark hero. c the community as chief supplier.the community as chief supplier. d the land and the frontier. why is seawater a better conductor of electricity than freshwater?