If an individual wishes to have a fixed portion of their portfolio liquidated each month, they should elect a fixed dollar withdrawal plan. This type of withdrawal plan allows the individual to specify the exact amount they want to withdraw from their portfolio each month, regardless of any fluctuations in the portfolio's value. The correct option is d.
With a fixed dollar withdrawal plan, the individual can maintain a steady income stream and have greater control over their spending. This type of plan is particularly useful for retirees or individuals who are relying on their portfolio for income, as it allows them to budget and plan accordingly.
It's important to note that while a fixed dollar withdrawal plan can provide a steady income stream, it does come with some risks. If the portfolio experiences significant losses, the fixed dollar withdrawals may deplete the portfolio more quickly than anticipated. To mitigate this risk, individuals may want to consider setting a maximum withdrawal rate as a percentage of the portfolio value or adjusting the fixed dollar amount periodically based on the portfolio's performance.
Overall, a fixed dollar withdrawal plan can be a useful strategy for individuals who want a consistent income stream from their portfolio, but it's important to consider the risks and adjust the plan as necessary to ensure long-term sustainability.The correct option is d.
for more such questions on portfolio .
https://brainly.com/question/30615485
#SPJ11
Which set of accounts below would have a normal debit balance? Multiple choice question. Expenses; Dividends; Cash Dividends; Expenses; Unearned rent Expenses, Dividends; Common Stock Revenues; Dividends, Prepaid rent
The set of accounts that will have a normal debit balance are : Expenses; Dividends; Cash.
What are Expenses , Dividends and Cash ?An expense is the cost of operations that a company incurs to generate revenue. Hence an expense would have a debit balance.
A dividend is the distribution of corporate profits to eligible shareholders. Dividend payments and amounts are determined by a company's board of directors hence would have a debit balance.
Cash include other currencies as well as undeposited cheques and amounts in a current account hence have a debit balance.
It therefore means that Expenses, Dividends and Cash all have debit balance in line with accounting rule which states that all expenses and cash must be debited.
Learn more about debit balance here : https://brainly.com/question/13669524
Which of the following marketing fundamentals applies solely to the hospitality and tourism industry? A.interdependence of organizations B.sequential steps in marketing C.key role of marketing research D.continuous nature of marketing
Answer:
key role of marketing research
Answer:
interdependence of organizations
Explanation:
Edge 2021 :)
Target’s all in motion clothing line provides higher-quality apparel at target-level pricing, enhancing the product’s.
Clothing line provides higher-quality apparel at target-level pricing, enhancing the product’s are perceived value
Perceived value refers to a customer's assessment of the benefits or attractiveness of a good or service, particularly in comparison to a competitor. The cost that consumers are prepared to pay for a commodity or service serves as a proxy for perceived value. Price level targeting is a technique used by central banks to implement monetary policy in which a particular level of a price index, such as the CPI, is targeted. Price level targeting adjusts depending on recent events, much like inflation targeting with a forward-looking perspective.
To learn more about perceived value visit: https://brainly.com/question/18590518
#SPJ4
Suppose the market price of chicken wings in a university town recently increased. Economics students studying at the university are discussing potential causes of the price increase. One group of students theorize that the price increased because several wing joints in the area have recently gone out of business. Others claim the increase in the price of chicken wings is because of a recent decrease in the price of beer.
Everyone agrees that the decrease in the price of beer was caused by a recent decrease in the price of hops, which are not generally used in making chicken wings.
The first group of students claim the increase in the price of chicken wings can be attributed to the fact that several wing joints in the area have recently gone out of business.
This may explain the price increase, as the decreased competition in the economics market could lead to an increase in price.
What is economics market?Economics market is an environment where buyers and sellers interact in order to exchange goods and services for money. It is the basis for the study of economics, which is the study of the production, distribution, and consumption of goods and services. Markets can be divided into different types depending on the nature of the product or service being exchanged. The two primary types of markets are the perfect competition market and the imperfect competition market. Perfect competition markets are those in which all buyers and sellers are equal and have access to the same information.
To learn more about economics market
https://brainly.com/question/27993595
#SPJ1
GDP is defined as:
A. Gross Domestic Product
B. Sum of consumer purchases over a period of time
C. Business Investment
D. Government investment
E. all of the above
Answer:
Gross Domestic Product.
Answer:
Gross domestic product
suppose you have developed a new product for you business.outlineany five steps in developing a rematch instrument
Answer:
But I am too young to start a new business
Question in attachment
when a u.s. company purchases $1 million worth of french cheese, the value of that transaction is recorded in the
A. Transfer account
B. Goods account
C. Capital account
D. Current account
E. Investment account
When a u.s. company purchases $1 million worth of french cheese, the value of that transaction is recorded in the Current account.
Option D is correct.
Current account:The current account represents a country's imports and exports of goods and services, payments to foreign investors, and remittances such as foreign aid credit cards. His checking account has been heavily debited. A country's current account balance is the difference in the value of its exports and imports over a period of time.
What are the advantages of a checking account?His one of the most important features of a current account is the fact that it does not accrue interest. The money in the checking account is made available to the account holder whenever they need it, and to compensate for this extra liquidity provided by the bank, the checking account is free of interest.
Learn more about current account:
brainly.com/question/29796923
#SPJ1
All questions utilize the multivariate demand function for Smooth Sailing sailboats Compute to three decimal places.
Initial values are: PX = $9500 PY = $10000 I = $15000 A = $170000 W = 160
This function is: Qs = 89830 -40PS +20PX +15PY +2I +.001A +10W
1.(a) Use the above to calculate the arc price elasticity of demand between PS = $5000 decreasing to PS = $4000. The arc elasticity formula is:
Ep = ΔQΔP•P1+P2Q1+Q2
(b). Judging from the computation in (a), do you expect the revenue resulting from the decrease in Ps to $4000 to increase, remain the same, or decrease relative to the revenue at Ps = $5000. (Hint: see the table on page 65 of Truett). Explain your choice.
2.(a). Calculate the point elasticity of demand for Smooth Sailing sailboats at PS = $5000 (which should make Qs = 261600). The formula is:
EP=∂QS∂PS•PSQS
2.(b). Does this elasticity value indicate that Smooth Sailing demand is relatively responsive to changes in the price of these sailboats? Explain why or why not.
3.(a). Calculate the point "motorboat" price elasticity of demand when Py = $10000. Use Qs corresponding to PS = $5000. Other variables and their values are given at the top, before question #1. The formula is:
ESY=∂QS∂PY•&&PYQS
3(b). Does this elasticity indicate that the demand for Smooth Sailing’s boats is relatively responsive to changes in the price of Company Y’s motorboats? Explain why or why not.
4.(a).. Marketing wants an increase in their advertising budget, because "everyone" knows that advertising is a highly effective way to increase demand for a product. Calculate the point advertising elasticity of demand assuming that Ps = $4500 (this should make QS = 281,600) and that the other variables are as given at the top before #1. The formula is:
EA=∂QS∂A•AQS
4.(b). Does this elasticity coefficient indicate that the demand for Smooth Sailing boats is relatively responsive to changes in advertising expenditures? Explain why or why not.
5.(a). Weather forecasters point out that the number of favorable weather days is an important determinant of sailboat sales. Calculate the point elasticity of demand for Smooth Sailing boats assuming Ps = $4000 (thus Qs = 301600 boats) and W = 160. The other variables and their values are as given at the top before #1. The formula is:
EA=∂QS∂W•WQS
5, Does this elasticity coefficient indicate that the demand for Smooth Sailing boats is relatively responsive to changes in the number of favorable weather days? Explain why or why not
The multivariate demand function for Smooth Sailing sailboats is used to calculate elasticity of demand and responsiveness to different variables.
1. (a) Using the arc elasticity formula, we have:
ΔQ = (Q2 - Q1) = (89830 - 40(5000) + 20(9500) + 15(10000) + 2(15000) + 0.001(170000) + 10(160)) - (89830 - 40(4000) + 20(9500) + 15(10000) + 2(15000) + 0.001(170000) + 10(160)) = 28900
ΔP = (P2 - P1) = (4000 - 5000) = -1000
Q1 = 89830 - 40(5000) + 20(9500) + 15(10000) + 2(15000) + 0.001(170000) + 10(160) = 261600
Q2 = 89830 - 40(4000) + 20(9500) + 15(10000) + 2(15000) + 0.001(170000) + 10(160) = 290500
Plugging these values into the arc elasticity formula, we get:
Ep = (ΔQ/ΔP) \* ((P1+P2)/(Q1+Q2)) = (28900/-1000) \* ((5000+4000)/(261600+290500)) = -1.77
(b) The table on page 65 of Truett shows that if the price elasticity of demand is greater than 1, a decrease in price will lead to an increase in revenue. Since the calculated elasticity is -1.77, which is greater than 1, we can expect the revenue resulting from the decrease in Ps to $4000 to increase relative to the revenue at Ps = $5000. This is because the percentage increase in quantity demanded is greater than the percentage decrease in price.
2. (a) Using the point elasticity formula, we have:
EP = (∂Qs/∂Ps) \* (Ps/Qs) = (-40/261600) \* (5000/1) = -0.0769
(b) The elasticity value of -0.0769 indicates that the demand for Smooth Sailing sailboats is relatively inelastic with respect to changes in the price of these sailboats. This means that a change in price will result in a proportionally smaller change in quantity demanded.
3. (a) Using the point elasticity formula, we have:
ESY = (∂Qs/∂Py) \* (Py/Qs) = (15/261600) \* (10000/1) = 0.0574
(b) The elasticity value of 0.0574 indicates that the demand for Smooth Sailing sailboats is relatively inelastic with respect to changes in the price of Company Y's motorboats. This means that a change in price of Company Y's motorboats will result in a proportionally smaller change in the quantity demanded of Smooth Sailing sailboats.
4. (a) Using the point elasticity formula, we have:
EA = (∂Qs/∂A) \* (A/Qs) = (0.001/281600) \* (170000/1) = 0.0603
(b) The elasticity coefficient of 0.0603 indicates that the demand for Smooth Sailing sailboats is relatively inelastic with respect to changes in advertising expenditures. This means that a change in advertising expenditures will result in a proportionally smaller change in the quantity demanded of Smooth Sailing sailboats.
5. (a) Using the point elasticity formula, we have:
EA = (∂Qs/∂W) \* (W/Qs) = (10/301600) \* (160/1) = 0.0053
(b) The elasticity coefficient of 0.0053 indicates that the demand for Smooth Sailing sailboats is relatively inelastic with respect to changes in the number of favorable weather days. This means that a change in the number of favorable weather days will result in a proportionally smaller change in the quantity demanded of Smooth Sailing sailboats.
To know more about elasticity, click here:
brainly.com/question/30999432
#SPJ11
28
NPV analysis is a method for making equal comparisons between
cash flows from multiples year.
Group of answer choices
True
False
The given statement "NPV analysis is a method for making equal comparisons between cash flows from multiples year" is not true. Therefore, the correct answer is False.
Net Present Value (NPV) is the present value of the future cash flows of a project. Net Present Value (NPV) is the difference between the total present value of future cash inflows and the total present value of future cash outflows. Net present value is calculated as follows:
NPV = Present Value of Cash Inflows – Present Value of Cash OutflowsUses of NPV analysis NPV is used to determine if a project is profitable or not. It is one of the most widely used financial metrics. It is used in investment decision making, capital budgeting, and project management. It is also used to evaluate mergers and acquisitions (M&A) and other investments.
To know more about investment : https://brainly.com/question/29547577
#SPJ11
In a _____ plant strategy, plants have the flexibility and capability to produce a range of products. This leads to greater responsiveness to market changes, though at slightly lower levels of productivity.
Answer:
The correct answer is general-purpose.
Explanation:
When it comes to general-purpose plant strategies, it allows plants to be more flexible than usual and produce a whole variety of products, instead of just focusing on one or few products. This way, plants can diversify easily and cater to their clients' needs and be far more productive and successful.
World trade has both benefits and costs. Which of the following statements best attests to this fact?
International trade is regulated and facilitated by the World Trade Body, an intergovernmental organization. Governments use the United Nations System with effective cooperation to create, update, and enforce the laws that regulate international trade.
Which of the following statements regarding how business affects society is most true?
Businesses can have a positive effect on a society's quality of life and level of living.
Both large and small businesses concur that going green is important.
A company's ability to make a profit determines whether it can obtain bank financing, draw in investors to finance its operations, and expand. All business dealings involving two or more nations are included.
To learn more about International trade refer to:
https://brainly.com/question/14926566
#SPJ13
What is the importance of using local materials from the community for production of goods.
Please help me. l need it to today. ❤❤❣
Answer: Sourcing your products and materials locally has benefits in all three areas. Planet: Buying from local vendors and manufacturers cuts down on fuel emissions because it takes less fuel to transport goods than it would to transport them across the country or across continents.
Hope this helps........ Stay safe and have a Merry Christmas!!!!!!!!!!! :D
Explanation:
What is a major advantage of real estate investment over other types of investment?
The major advantage of real estate investment over other types of investment actual estate consists of a hedge in opposition to inflation, tax blessings, cash going with the flow, appreciation, and passive income. -threat, illiquidity, changes in local markets, and the want for expert assistance and control are all negative aspects of making an investment in real property.
Assets lack liquidity. belongings are not usually smooth to promote in a quick fashion so if the market is not proper on the market or the assets haven't been liked enough, the investor might not be capable of promoting as rapid and on the fee, he seeks.
People spend money on apartment property for a number of motives, inclusive of diversifying a funding portfolio, generating condominium income, and featuring greater direct management over their investments. capability drawbacks to owning apartment belongings encompass loss of liquidity, handling tenants, and deteriorating neighborhoods.
The charges of stocks can flow up and down a whole lot quicker than actual estate fees. That volatility may be stomach-churning except you take a protracted view on the stocks and funds you buy in your portfolio, which means you intend to shop for and preserve no matter volatility. selling stocks may also bring about a capital gains tax
Learn more about real state here:
https://brainly.com/question/26052885
#SPJ4
.
Consider the daily market for shoes. For years Bill has sold shoes in his small town. Before Jackson started selling shoes, Bill sold 12 pairs each day at a price of $36 per pair, generating $144 in producer surplus each day. Now Jackson sells 27 pairs of shoes at $6 per pair and Bill is out of business, costing Bill $144 per day. Has Jackson created a negative externality?
Given Jackson's detailed sale of shoes, it can be said that he has created a negative externality.
Externality is a market outcome where the cost or benefit of the transaction affects an individual or third party who did not choose to incur that cost or benefit. Jackson has created a negative externality because he entered into the market and started to sell shoes at a lower price which led to Bill's loss of $144 producer surplus per day.
As a result, Jackson has driven Bill out of the market, which in turn caused a loss of Bill's income and his business. Therefore, Jackson has created a negative externality by decreasing the revenue of Bill which is $144 per day.
To learn more about negative externality, https://brainly.com/question/13901028
#SPJ11
After 160 customer reviews for the hotel, 65% were Excellent
e. How many reviews of the 160 were Excellent?
Answer: 104 reviews
Explanation:
Number of customers reviews = 160
Percentage of customer reviews that were excellent= 65%
.
Number of customer reviews that were excellent will be:
= 65% × 160
= 65/100 × 160
= 0.65 × 160
= 104
104 reviews were excellent.
Help ASAP!!!! What is the most-possible answer?
Answer:
Community and junior colleges.
Explanation:
I don't know if im too correct but if i am, mark me brainliest?:)
Answer:
D - Collages
Explanation:
That is the only thing I know that gives degrees
Greg and Jerry are depositing money into savings accounts. Greg deposits $500 into an account
for 2 years with 2% interest. Jerry despots $700 into a different account for 1 year with 3% interest.
Who eams the greatest overall percent interest? Show your work and explain.
Answer: Jerry
Explanation:
Greg deposits $500 into an account for 2 years with 2% interest, the interest gotten will be:
= $500 × 2 × 2%
= $500 × 2 × 0.02
= $20
Jerry despots $700 into a different account for 1 year with 3% interest, the interest gotten will be:
= $700 × 1 × 3%
= $700 × 1 × 0.03
= $21
Based on the calculation, Jerry makes a greater interest.
In July of 2002, which musical group released their album in response to 9/11?
The song 'The Rising' tells the story of a New York City Fire Department firefighter, climbing one of the World Trade Center towers after the hijacked planes had hit them during the September 11 attacks.
Fifteen years ago, July 23 thru August 2 2002, Asbury Park was the center of the Bruce Springsteen universe with the release of "The Rising". For a 10-day period during that summer of 2002, Bruce was all over Asbury Park with private rehearsals, three public rehearsal shows, two guest appearances at a small Cookman Avenue restaurant, driving NBC's Matt Lauer around town for a tour and a live appearance on "Today" from Convention Hall marking the release of the album, his response to 9/11.
The hoopla began on Tuesday, July 23 with a private rehearsal by Bruce and the E Street Band at Convention Hall. Tuesday, July 30 was the main event. It began at the stroke of midnight at the very hot Stone Pony. A packed crowd of Springsteen fans from all over the world were on hand as Jack's Music in Red Bank brought its midnight sale of "The Rising" to Asbury Park. The evening began with nonstop Bruce music and a trivia contest. The whirlwind of Springsteen fever in Asbury Park ended on Friday, August 2, with a 2 p.m. rehearsal show at Convention Hall. Legendary photographer Legendary Annie Leibovitz shot the show from behind the stage. A 20-song set list features the first performance of "Jackson Cage" in more than 20 years.
The musical group that released their album in response to 9/11 in July of 2002 was Bruce Springsteen and the E Street Band.
The album was titled "The Rising" and it told the story of a New York City firefighter who climbed one of the World Trade Center towers after the attacks on September 11th. During the summer of 2002, Asbury Park, New Jersey was the center of the Bruce Springsteen universe, with private rehearsals, three public rehearsal shows, and two guest appearances at a small Cookman Avenue restaurant. The album release was marked with a live appearance on "Today" from Convention Hall. The main event was a midnight sale of the album at the Stone Pony on July 30th, where a packed crowd of Springsteen fans from all over the world were on hand. The whirlwind of Springsteen fever in Asbury Park ended on August 2nd, with a 2 p.m. rehearsal show at Convention Hall, where a 20-song setlist was performed, including the first performance of "Jackson Cage" in more than 20 years.
Learn more about rehearsals here:
https://brainly.com/question/32309687
#SPJ11
Suppose you are thinking about purchasing a small office building for $1,500,000. The 30 year fixed rate mortgage that you have arranged covers 80% of the purchase price and has an interest rate of 8%. Assume you were to default and go into foreclosure in year 10 of this loan. If the lender was able to sell this property for $700,000, how much does the lender stand to lose in the absence of pmi?.
In finance, a mortgage is the lending of money via way of means of one or extra individuals, organizations, or different entities to different individuals, organizations, etc.
The required details for mortgage in given paragraph
Amount of mortgage = 80% * 1,500,000 = 1,200,000
Interest = 8% i.e. (8%/12) month-to-month
Term = 30 years i.e. 360 months
By the usage of the formulation of PV, we get
1,200,000 = Monthly Payment * ((1-(1+(8%/12))^-360)/(8%/12))
Monthly Payment = 1,200,000 * (8%/12) /((1-(1+(8%/12))^-360))
Monthly Payment = $8,805.17
Since mortgage has been paid for 10 years, we want to decide the quantity of mortgage exquisite on the cease of 12 months 10. Amount of mortgage exquisite on the cease of 12 months 10 may be the prevailing fee of final bills i.e. PV of month-to-month bills for 240 months
Loan exquisite on the cease of 12 months 10 = $8805.17 * ((1-(1+(8%/12))^-240)/(8%/12))
Loan exquisite on the cease of 12 months 10 = $1,052,696
Amount recovered from sale of Property = $700,000
Hence quantity of loss = quantity now no longer recovered
= Loan exquisite on the cease of 12 months 10 – quantity recovered from sale of property
= $1,052,696 - $700,000
= $352,696
Hence, quantity of loss is $352,696
The recipient incurs a debt and is normally vulnerable to pay hobby on that debt till it's far repaid in addition to to pay off the essential quantity borrowed. The record evidencing the debt will commonly specify, amongst different things, the essential amount of cash borrowed, the hobby price the lender is charging, and the date of repayment.
To know about mortgage click here
https://brainly.com/question/26011426
#SPJ4
The buyer of an industrial complex wants the broker to place the earnest money in an interest bearing account. The broker does this, clearly identifying all parties who are to receive the interest and the date the earned interest is to be disbursed. With only the verbal consent of the buyer, he places the money in an insured account in a depository in Florida. When the time comes to disburse the account, the broker will write a check to the buyer for the interest as the buyer agreed. Which statement describing this situation applies?
Answer:
Explanation:
In this situation, the statement that would best apply would be that the broker does not have the right to ever use an interest-bearing account under Florida Real Estate laws. Since Florida Real Estate laws specifically prohibit a broker from placing a clients money in an interest account then the broker in this scenario is breaking the law and can have his real estate license taken away as well as being fined.
Sadie is a freelance social media specialist. Companies can hire her to improve their social media presence. Why is it particularly important that Sadie, and other freelancers like her, have an emergency fund? * 2 points Freelancers charge a very low hourly rate, so Sadie probably doesn't get paid much Sadie doesn't have guaranteed work every day, so she needs money in case she goes a while between clients Sadie will need a large emergency fund in order to make her monthly insurance payments Sadie's job requires a lot of expensive specialty equipment that will always need replacing
It is particularly important that Sadie, and other freelancers like her, have an emergency fund as Sadie doesn't have guaranteed work every day, so she needs money in case she goes a while between clients. The right answer is b.
Being a freelancer can make you considerably more susceptible to significant monetary changes, such as an unexpected loss of income. According to experts, you should keep three to six months' worth of spending in an untouchable savings account. An emergency fund might assist you in overcoming everyday challenges like the unexpected loss of a customer or late payments.
The goal of an emergency fund is to have enough money set aside to cover all of your monthly needs for at least six months, including your rent or mortgage, car payments, food bills, debt repayments, and any other monthly expenses that may arise.
The correct answer is option b.
Know more about freelancers here
https://brainly.com/question/27934761
#SPJ1
because leaders need to devise effective solutions in short time spans with limited information, they need to have group of answer choices interpersonal abilities. business skills. cognitive abilities. conceptual skills. strategic skills.
Cognitive abilities because leaders need to devise effective solutions in short time spans with limited information.
Hence, option c is correct.
What do you mean by cognitive abilities?
Knowledge acquisition, information manipulation, and reasoning all require cognitive skills, sometimes known as cognitive functions, cognitive talents, or cognitive capacities.For humans to adapt and survive, cognitive ability, often known as general intelligence (g), is crucial. The ability to "reason, plan, solve problems, think abstractly, absorb complicated ideas, learn quickly, and learn from experience" are all included in this skill.The term "IQ tests" has gone out of favor because the measures were originally calculated as the ratio of mental age to chronological age multiplied by 100. Instead, these assessments are now frequently referred to as cognitive ability tests.To know more about Cognitive abilities here
https://brainly.com/question/28233401
#SPJ4
An examplepf a cost would be
O profit
revenue
Ofire
O salaries
When an excise tax is imposed on sellers, this will cause the ________ curve to shift __________.
When an excise tax is imposed on sellers, this will cause the supply curve to shift left.
Specifically, the supply curve will shift to the left, meaning that the quantity supplied at each price level will decrease.
This occurs because the tax increases the costs for sellers, reducing their incentive to supply the good or service. To understand this, let's consider an example.
Imagine a market for cigarettes. If the government imposes an excise tax on cigarette sellers, they will now have to pay an additional cost per pack of cigarettes they sell. This increased cost will lead to a decrease in the quantity supplied at each price level. As a result, the supply curve will shift to the left.
This shift in the supply curve has several implications. First, it leads to a higher equilibrium price for the consumers. Second, the quantity demanded and quantity supplied will both decrease. Finally, the burden of the tax will be shared between the buyers and the sellers, depending on the relative elasticities of demand and supply.
In summary, when an excise tax is imposed on sellers, the supply curve shifts to the left, resulting in a decrease in quantity supplied and potentially higher prices for consumers. The burden of the tax is shared between buyers and sellers.
Know more about excise tax
https://brainly.com/question/29614992
#SPJ11
advertising expenses occupy approximately what percentage of global economic activity?
The advertising expenses occupies an approximate of one percentage of the global economic activity.
The global economic activity implies that total worldwide economic activities that took place between multiple countries.
The advertising expenses entails various advertisement cost incurred for the promotion of brand, entity, industry, product, service etc all over the globe.The advertising expenses accounts for an approximate of 2% of economic output in U.SHowever, In global scale, the advertising expenses occupies the approximate of 1% of the global economic activity.
Read more about economic activity:
brainly.com/question/17069597
An international business is a firm that
Part 2
A. hires non-U.S. citizens.
B. produces a wide range of products.
C. is not from the United States.
D. engages in international trade or investment.
Option D: An international business is a firm that engages in international trade or investment.
Therefore, the correct answer is option D. An international business is a company that conducts business across national borders. This can include importing and exporting goods, investing in foreign markets, and operating in multiple countries.
It is not necessarily defined by the nationality of its employees, the range of products it produces, or the country in which it is headquartered. International business refers to the trade of goods, services, technology, capital and/or knowledge across national borders and at a global or transnational scale. It involves cross-border transactions of goods and services between two or more countries.
For such more questions on international business:
brainly.com/question/14690606
#SPJ11
In business terms, what does I.T. stand for?
A. Insurance Trading
B. Independent Theory
C. Item Trading
D. Information Technology
Suppose at an output level of 150 units a firm's average fixed cost is $25 and average variable cost is $50. Then the average total cost of the firm is ______.
$75
$100
$10
Answer:
The average total cost (ATC) of the firm can be calculated as the sum of the average fixed cost (AFC) and average variable cost (AVC).
ATC = AFC + AVC
Given that the AFC is $25 and the AVC is $50, we can substitute these values in the above formula to get:
ATC = $25 + $50 = $75
Therefore, the average total cost of the firm is $75.
The answer is $75.
At an output level of 150 units, with an average fixed cost of $25 and an average variable cost of $50, the average total cost of the firm is $75.
Variable cost refers to a cost that varies with the level of production or sales of a company. This means that as a company produces or sells more of its products or services, the variable costs associated with producing or selling those products or services also increase.
Variable costs are expenses that are directly related to the production or sale of goods or services and can include costs such as labor, raw materials, packaging, and shipping. Variable costs are different from fixed costs, which remain the same regardless of the level of production or sales. Understanding variable costs is important for businesses as it helps in calculating the break-even point and making pricing decisions.
Visit here to learn more about variable cost brainly.com/question/27853679
#SPJ11
from 1981 to 2001, which change was most likely happening in the us economy? a decrease in spending by consumers an increase in the number of workers an increase in spending by consumers an increase in government intervention in the economy
Answer:
C
An increase in spending by consumers
Explanation:
From 1981 to 2001, The change that was most likely happening in the US economy is an increase in spending by consumers. Thus, option third is correct.
What is a kind of economy in U.S.?The United States has a mixed economy, which includes components of the command and market economic models. In terms of consumer products and corporate services, the US economy is a free market.
Although the US economy is currently one of the most stable in the world, consumer spending increased between 1981 and 2001. There are several economic systems in operation around the world. Socialism, communism, and capitalism are a few instances. The United States operates under a capitalist framework.
And in economics, when there is public spending, there is a positive impact in the economy. Therefore, it can be concluded that option third is correct.
Learn more about US economy here:
https://brainly.com/question/9296500
#SPJ6