The agreement between Becky and Ben, where Becky promises not to drink apple juice for three years in exchange for Ben's promise of $1,100, is a bilateral contract.
A bilateral contract is a type of agreement where both parties make promises to each other and are legally obligated to fulfill those promises. In this case, Becky is promising not to drink apple juice for three years, while Ben is promising to provide $1,100 in return for Becky's promise.
For this agreement to be valid and enforceable, certain elements must be present, including offer, acceptance, consideration, and legal capacity. In this scenario, Becky's promise not to drink apple juice serves as the consideration for Ben's promise of $1,100. Both parties have voluntarily entered into the agreement, and assuming they have the legal capacity to make such promises, the agreement is considered valid.
It's worth noting that the enforceability of such agreements may vary based on jurisdiction and any specific laws or regulations that may apply.
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Production Possibilities for Footville Shoes Socks 800 400 700 200 1000 Refer to Table 2-3. What is the opportunity cost to Footville of increasing the production of shoes from 400 to 600? 400 socks 300 socks 200 socks 100 socks
The opportunity cost to Footville of increasing the production of shoes from 400 to 600 is 400 socks. So, correct option is A.
The production possibilities table shows the different combinations of shoes and socks that Footville can produce with its available resources. To calculate the opportunity cost of increasing the production of shoes from 400 to 600, we need to compare the output of shoes and socks before and after the change.
Before the change, Footville produces 600 shoes and 400 socks. After the change, it produces 800 shoes and 0 socks. The increase in shoe production of 200 comes at the cost of reducing sock production from 400 to 0.
Therefore, the opportunity cost of increasing shoe production by 200 is the amount of socks that Footville could have produced instead. This is calculated as the difference in sock production before and after the change, which is 400 socks.
This means that for every 200 additional shoes produced, Footville gives up the production of 400 socks.
Therefore, correct option is A.
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Complete question is:
Production Possibilities for Footville
Shoes Socks
800 0
600 400
400 700
200 900
0 1000
Refer to above table.
What is the opportunity cost to Footville of increasing the production of shoes from 400 to 600?
choices:
A) 400 socks
B) 300 socks
C) 200 socks
D) 100 socks
The best reason to record income at the top of a budget is
a. to easily add expenses to it.
b. to know how much money is available.
c. to avoid spending too much money.
d. to see that is is more important than expenses.
B) To know how much money is available.
You can clearly see how much money you have available to spend or save by listing revenue at the top of a budget.
Making judgments on how to divide your money and prioritize your expenses requires knowledge of this information.
You may see how much money is available to cover your bills, pay off debts, and save for the future by putting revenue at the top of your budget.
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When Kelsey decreases her price of lipstick from $7 to $5, she finds that her sales increase from 6 to 7. She faces ________ demand for her product, and this price change will ________ her total revenue.
Answer:
elastic; rise
Explanation:
in the boston consulting group (bcg) business portfolio model for analysis of a firm's strategic business units, or sbus, the horizontal axis represents
The market growth rate is represented by the horizontal axis of the business portfolio model for the study of a company's strategic business units, or sbus, created by Boston Consulting Group (BCG).
What is the Market growth rate?The anticipated percentage growth for your industry over a predetermined time period is known as the market growth rate. We might anticipate that the COVID-19 epidemic has dramatically increased the market growth rate for cleaning products.The horizontal axis of the business portfolio model for analysis of a company's strategic business units, or bus, developed by Boston Consulting Group (BCG), represents the pace of market growth.Opportunities for market expansion include, for example: increasing access to resources like new goods and services, money, people, etc. greater productivity in the workplace. Improved customer service and a change in the consumer experience. We would divide the increase by the initial market share and multiply the result by 100 to determine the growth rate.Therefore, the rate of market expansion is represented by the horizontal axis of the business portfolio model for the study of a company's strategic business units, or sbus, created by Boston Consulting Group (BCG).
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A critique of modernization theory suggests that neocolonialism causes underdevelopment, and that poor countries stay underdeveloped because the global economic system extracts and transfers ________ to developed nations. a. resources b. energy c. people d. culture
Answer:
a. resources
Explanation:
Migration refers to the movement of a group of people from one geographical region (location) to another geographical destination in search of better living conditions, work or social amenities.
Migration selectivity can be defined as the likelihood or tendency that a subset (part) of a group of people are going to move (migrate) out of a particular geographical location or area.
Some of the factors that influence migration selectivity are income level, age, education, gender etc.
A critique of modernization theory suggests that neocolonialism causes underdevelopment, and that poor countries stay underdeveloped because the global economic system extracts and transfers resources to developed nations.
Poor countries stay underdeveloped because the global economic system extracts and transfers resources to developed nations.
The answer to this question is option a. A lot of countries are blessed with a lot of natural resources yet they remain very poor and dependent on other first world nations.
Neo colonialism means that some of these nations are still heavily influenced by the nations that they are highly dependent on.
The continent of Africa is blessed with a lot of natural resources. Crude oil for instance, but most of these resources are transported abroad and the continent remains underdeveloped.
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if you deposit $100 into a savings account which compound interest every month at a 5 % yearly interest rate, what is the expression for the amount of
The interest earned after two years $70.28177.
This is the foremost basic variety of account you'll be able to open at any bank. A savings account, by definition, permits you to deposit your cash, safe with the bank, thus you do not have to be compelled to carry it around with you or hide it in this rusty recent steel safe reception. don't fret, you'll be able to withdraw these funds after you want them.
The interest rate is that the quantity a loaner charges a receiver and could be a share of the principal—the quantity loaned. The charge per unit on a loan is usually noted on an annual basis referred to as the annual share rate (APR).
The question is incomplete, find the complete question here
if you deposit $100 into a savings account which compound interest every month at a 5 % yearly interest rate, what is the expression for the amount of the interest earned after two years?
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HELP PLZ NO DOWNLOADS OR LINKS IT WILL BE REPORTED AND ANY UNHELPFUL ANSWERS
far left = top left
middle left = top right
left middle = bottom right
far left = bottom left
how much would you cost to have a good night
Answer:
as much as i need
Explanation:
employees' weekly gross earnings were $6,000, and their federal income tax withholding was $1,151.50. assuming the social security tax rate is 6% and the medicare tax rate is 1.5%, what is the net amount to be paid to employees?
The net amount to be paid to employees is $4,398.50.To calculate the net amount to be paid to employees, we need to subtract the federal income tax withholding, social security tax, and medicare tax from the weekly gross earnings.
The social security tax rate of 6% would be $360 (6% of $6,000) and the medicare tax rate of 1.5% would be $90 (1.5% of $6,000). So, the total amount deducted from the gross earnings for taxes would be $1,601.50 ($1,151.50 + $360 + $90).
To calculate the net amount, we subtract the total tax deduction from the gross earnings, which gives us $4,398.50 ($6,000 - $1,601.50). Therefore, the net amount to be paid to employees is $4,398.50.
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Leopardstown Fitness Centre in Dublin is considering the purchase of some new training equipment which has a retail price of €8,600. The club has only €600 available to fund the purchase at this time. Following discussions with its local bank, as well as a sales representative from the suppliers, the centre is faced with the following possibilities.
Rental: Pay a monthly rental of €140 for five years, plus an annual maintenance payment of €150.
Hire purchase: Pay a deposit of €600, plus 60 monthly instalments of €150.
A final payment of €480 must then be paid.
Bank loan: Borrow the amount needed for five years on which interest is charged at a flat rate of 7% per annum.
Calculate the total cost of each option over a five-year period.
Answer:
The cost of each option is as below
Explanation:
Option A: Rental
monthly rental for five years: each month €140
Each year has a maintenance fee of €150.
The total of the rental will be monthly rent plus yearly charges.
One year has 12 months; five years will have = 12 x 5 = 60 months
For 60 months, rental payments will total 60 x €140= €8,400
Yearly charges = €140 x 5 = €700
Total for rental = €700 + €8,400
Total cost for rental = €99, 1100
Option B: Hire purchase
Total for hire purchase will be the deposit plus the total of monthly installments plus the final payment.
The deposit is €600
Total for monthly installments: 60 x €160= €9,600
the final payment is €480
Total for hire purchase= €600 + €9,600, + €480
Total cost for hire purchase=€10,680
Option Bank loan:
cost of the loan will be the principal amount plus the interest charged. Interest is 7% per year for five years. Principal amount is
€8,600
Interest = P x r x t,, since interest on a flat rate
=8600 x 7/100 x 5
=8600 x 0.07 x 5
=€3,010
The cost of the loan is €3,010+€8,600
=€11,610
Which of the following techniques is NOT a technique for dealing with a bottleneck?
A. Schedule throughput to match the capacity of the bottleneck.
B.Have cross-trained employees available to keep the constraint at full operation.
C. Develop alternate routings.
D. Increase the capacity of the constraint.
E. All are techniques for dealing with bottlenecks.
D. Increase the capacity of the constraint is not a technique for dealing with a bottleneck.
When dealing with a bottleneck, it is important to remember that increasing the capacity of the constraint is not necessarily the best solution.
There are other, more effective techniques to help manage bottlenecks and optimize a system’s performance, such as re-balancing workloads, reorganizing processes, and utilizing automation.
The right solution will depend on the specific bottleneck and the system dynamics, but it is important to consider all of the options before committing to a strategy.
One way to address a bottleneck in your business is to increase the capacity of the constraint.
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Reinvesting cash flow allows a firm produce additional products and generate additional sales.
O True
O False
Potter plc is a diversified firm with 3 divisions in operations i.e. A,B and C. The operating characteristics of A is 60% more risky compared to B,C is 35% less risky compared to B. With respect to valuation, B has twice the market value of A. A's market capitalisation is equivalent to C. Potter is financed by only equity capital with a beta value of 1.16. The market portfolio return is 35%,σ value of 26%. The risk-free rate is 10%. Recently, B is not performing and the management of Potter ple intend to divest B and utilise the whole proceeds from this sale to acquire D, an unlisted firm. D is financed by only equity. Potter's financial strategists found that D is operating in similar industries and markets as B. Its revenue is 1.5 times more sensitive than that of B, and its operating gearing ratio is 1.7 in comparison with B which is 2.1. Assuming there is no synergy from the sell-off of assets and purchases. Assume no corporate taxes. Required: (a) Find out the betas of the asset for A, B, and C divisions of Potter. Explain the assumptions behind it. (3 marks) (b) Calculate the beta for asset D. () (c) Find out the beta for Potter plc after the sale of assets and purchase. (3 marks) (d) Find out the cost of capital for the new projects in division D. () (e) Critically discuss the problems related to "customised" project cost of capital as per the calculations in part (d). ()
Potter plc, a diversified firm, evaluates the betas of its divisions, plans to divest a struggling division, acquire another, and calculates the beta and cost of capital for the new division. The limitations of customized project cost of capital are discussed.
(a) To find out the betas of the assets for divisions A, B, and C, we can use the market value-based beta formula. The formula is:
Beta = (Asset Market Value / Total Market Value) * Beta of the firm
Given that B has twice the market value of A, and A's market capitalization is equivalent to C, we can assign the following weights:
Weight of A = 1/4
Weight of B = 1/2
Weight of C = 1/4
Assuming the beta of the firm (Potter) is 1.16, calculate the betas for each division:
Beta of A = (1/4) * 1.16 = 0.29
Beta of B = (1/2) * 1.16 = 0.58
Beta of C = (1/4) * 1.16 = 0.29
The assumption behind this calculation is that the beta of the firm represents the overall riskiness of the company, and the betas of the divisions are proportional to their market values relative to the total market value.
(b) To calculate the beta for asset D, we can use the information provided. The revenue sensitivity of D is 1.5 times more than that of B, and the operating gearing ratio of D is 1.7 compared to B's 2.1.
Beta of D = Beta of B * (Revenue Sensitivity of D / Revenue Sensitivity of B) * (Operating Gearing Ratio of D / Operating Gearing Ratio of B)
= 0.58 * (1.5) * (1.7 / 2.1)
= 0.70
(c) After the sale of assets and the purchase of D, the beta for Potter plc can be calculated by adjusting the weights and betas based on the new market values.
New Weight of A = 0 (since it's divested)
New Weight of B = (Market Value of B - Proceeds from Sale of B) / (Total Market Value - Proceeds from Sale of B)
New Weight of C = Market Value of C / (Total Market Value - Proceeds from Sale of B)
New Weight of D = Proceeds from Sale of B / (Total Market Value - Proceeds from Sale of B)
New Beta of Potter plc = (New Weight of B * Beta of B) + (New Weight of C * Beta of C) + (New Weight of D * Beta of D)
(d) The cost of capital for the new projects in division D can be determined using the asset beta of D and the CAPM (Capital Asset Pricing Model) formula:
Cost of Capital for Division D = Risk-Free Rate + Beta of D * (Market Portfolio Return - Risk-Free Rate)
(e) The problems related to a "customized" project cost of capital, as calculated in part (d), arise from the assumptions and limitations of using beta as a measure of risk. Beta is based on historical data and may not fully capture the specific risks and uncertainties associated with a new project or division. It assumes that the project's risk profile is similar to the overall market, which may not always be the case. Additionally, using a single discount rate for all projects may not consider the project-specific risk factors and may lead to misallocation of capital or incorrect valuation. It's important to carefully assess and adjust the cost of capital based on the specific characteristics and risks of the project.
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FCCLA's central focus is on the ________.
Answer:
variety of youth concerns
Answer:
To promote personal growth and leadership development through Family and Consumer Sciences education
"Bringing Manufacturing Back to the U.S. is Easier Said Than Done", which one is the greatest obstacle to reshoring in your opinion?
The greatest obstacle to reshoring in my opinion is the complex global supply chain.
Reshoring, or bringing manufacturing back to the U.S., is a challenging endeavor due to the intricate nature of the global supply chain. Over the past few decades, companies have increasingly relied on outsourcing their manufacturing processes to countries with lower labor costs and less stringent regulations. This has resulted in complex networks of suppliers and partners across multiple countries, making it difficult to untangle and relocate production back to the U.S.
One major issue is the extensive supplier network that has been established overseas. Manufacturers often rely on a multitude of suppliers for various components and raw materials, and these suppliers may be scattered across different countries. Disrupting this established network and finding suitable domestic alternatives can be a time-consuming and costly process. Moreover, it may be challenging to match the cost-effectiveness and efficiency of the existing offshore suppliers, particularly in industries where economies of scale play a significant role.
Additionally, the infrastructure and capabilities necessary to support domestic manufacturing may have declined over the years as production shifted overseas. Rebuilding the necessary infrastructure, such as skilled labor, specialized facilities, and robust supply chains, takes time and investment. In some cases, specific industries may require unique expertise and technology that has been lost or diminished domestically, further complicating the process of bringing manufacturing back.
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Sunland Enterprises' total assets decreased by $10340 during the year. Its stockholders' equity increased by $11280 during the same period. Net income totaled $7520 during the year. What occurred to the company's total liabilities during the year?
$14100 decrease
$29140 decrease
$21620 decrease
$940 increase
During the year , the company's total liabilities decreased by $21,620.
How to find?
During the year, Sunland Enterprises' total assets decreased by $10,340. This means that the value of the company's assets went down.
On the other hand, the stockholders' equity increased by $11,280. Stockholders' equity represents the portion of the company's assets that is owned by the shareholders. An increase in stockholders' equity indicates that the value of the shareholders' ownership in the company has increased.
To find out what happened to the company's total liabilities during the year, we need to consider the accounting equation:
Assets = Liabilities + Stockholders' Equity.
Since total assets decreased and stockholders' equity increased, it means that liabilities must have decreased. This is because the decrease in total assets is greater than the increase in stockholders' equity, resulting in a decrease in liabilities.
Therefore, the correct answer is: $21,620 decrease
During the year, Sunland Enterprises' total liabilities decreased by $21,620.
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Five hair stylists at a salon perform 12 haircuts in two hours. One of the stylists,
Francesca, is leaving the salon after 10 years. Francesca usually performs 2
haircuts per hour. Which of the answer choices is correct?
The salon's average product of labor will decrease when Francesca leaves the salon in the given circumstances.
How is the average product of labor determined?The average product of labor (APL) gauges the typical output of each employee. The total product is simply divided by the workforce. The total output of labor divided by the quantity of workers employed, or Q/L, yields the average product of labor (APL). A popular metric for assessing labor productivity is the average product of labor.
The form of the AP curve on the left suggests that as more workers are hired, AP initially increases to a maximum before decreasing. The average output (or products) that each input produces is referred to as an "average product", factors of production like labor and land.
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he chloroplast ATP synthaseGroup of answer choicesis found in the stromacouples the flow of H to the adding phosphate to ADPis a nucleic acid complexhelps transport H against the gradient
The chloroplast ATP synthase is found in the stroma and couples the flow of H+ ions to the addition of phosphate to ADP, resulting in the synthesis of ATP.
Chloroplasts are specialized organelles found in plant cells responsible for photosynthesis. Within the chloroplast, ATP synthase is located in the stroma, which is the fluid-filled region surrounding the thylakoid membranes. ATP synthase is a complex enzyme involved in the production of ATP (adenosine triphosphate), the energy currency of cells.
The primary function of ATP synthase is to couple the flow of H+ ions (protons) across the thylakoid membrane to the process of ATP synthesis. During photosynthesis, light energy is captured and used to drive the electron transport chain, which creates a proton gradient across the thylakoid membrane. This gradient is formed by the accumulation of H+ ions on one side of the membrane, creating a concentration difference.
The ATP synthase complex consists of two main components: the proton channel (Fo) embedded in the thylakoid membrane and the catalytic headpiece (F1) located in the stroma. As H+ ions flow down their concentration gradient through the proton channel, the energy released is utilized by ATP synthase to convert ADP (adenosine diphosphate) to ATP. The flow of H+ ions causes conformational changes in the ATP synthase, allowing the catalytic headpiece to add a phosphate group to ADP, forming ATP.
This process, known as chemiosmosis, links the flow of protons with the synthesis of ATP. It represents an important mechanism for storing and utilizing the energy derived from light during photosynthesis. The ATP generated in the stroma can then be utilized by the plant cell for various energy-requiring processes, such as biosynthesis, active transport, and cellular metabolism.
In summary, the chloroplast ATP synthase is located in the stroma and functions by coupling the flow of H+ ions to the addition of phosphate to ADP, resulting in the synthesis of ATP. This process harnesses the energy from the proton gradient across the thylakoid membrane and plays a crucial role in energy production during photosynthesis in chloroplasts.
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what are sources of cash to an investor from owning stock?
Answer:
Cash flow from investing activities is the cash that has been generated (or spent) on non-current assets that are intended to produce a profit in the future. Types of activities that this may include are capital expenditures, lending money, and sale of investment securities.
Cash From Operations. Cash from operations consists of cash collected from sales revenue after payments for costs of goods, taxes, interest on loans and other expenses are subtracted.
Answer:
A Sources and Uses of Cash schedule gives a summary of where capital will come from (the “Sources”) and what the capital will be spent on (the “Uses”) in a corporate finance transaction. When computing their total amounts, the sources and uses accounts should equal each other.
Explanation:
sources and uses of cash schedule
given that beginning inventory level is 3,200 units, total forecasted demand over the net 12 months is 53,800 units, and desired ending inventory level at the end of the 12th month is 2,400 units, what is the cost of production per month if a level strategy is used and per unit cost of production is $24? (round to the nearest integer)
To calculate the cost of production per month using a level strategy, we need to determine the average monthly production required to meet the forecasted demand and desired ending inventory level.
First, let's calculate the average monthly demand by dividing the total forecasted demand over the net 12 months (53,800 units) by 12:
Average Monthly Demand = Total Forecasted Demand / Number of Months
Average Monthly Demand = 53,800 units / 12 months
Average Monthly Demand = 4,483.33 units (rounded to the nearest unit)
Next, let's calculate the average monthly production required, which is the average monthly demand minus the desired ending inventory level:
Average Monthly Production = Average Monthly Demand - Desired Ending Inventory Level
Average Monthly Production = 4,483.33 units - 2,400 units
Average Monthly Production = 2,083.33 units (rounded to the nearest unit)
Finally, let's calculate the cost of production per month by multiplying the average monthly production by the per unit cost of production:
Cost of Production per Month = Average Monthly Production * Per Unit Cost of Production
Cost of Production per Month = 2,083.33 units * $24 per unit
Cost of Production per Month = $50,000 (rounded to the nearest dollar)
Therefore, the cost of production per month, when a level strategy is used and the per unit cost of production is $24, is approximately $50,000.
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Somebody help I'll give 30 points
Answer:
1. Salesforce helps their people feel good by giving back to the community. They also offer great challenges and rewards, and have open communication culture.
2. Cisco offers good benefits that focus on family and enabling people to combine parenthood with their jobs. It’s also a great place to learn and develop professionally.
3. Admiral allows people to give back to the community through charity. They have built a strong sense of belonging and believe in the importance of having fun so people bring their best to work.
Explanation:
Answer:
Happy meal wih a mcdoobale
Explanation:
What does the phrase "like animals escaped from their caves" imply about the sun's impact on the children?
which wheel settings change when you mount the subframe incorrectly in the transverse direction? Check all that apply
TOE
CAMBER
STEERING AXIS INCLINATION (SAI)
CASTER
The wheel settings that change when you mount the subframe incorrectly in the transverse direction is "CASTER" (Option D)
What is Caster?Caster is the process of aligning a wheel with the direction of travel, which can be performed by caster displacement or caster angle. As with the front wheels of a shopping cart, caster displacement shifts the steering axis forward of the axis of wheel rotation. The steering axis is moved away from the vertical by the caster angle.
The caster angle, also known as the castor angle, is the angular displacement of the steering axis from the vertical axis of a steered wheel of a car, motorbike, bicycle, another vehicle, or watercraft as seen from the side.
Positive caster enhances the responsiveness of your vehicle while negotiating bends and the stability of your car when going at greater speeds. The sole disadvantage of a positive caster is that it increases the amount of effort required to steer your car.
Turning plates and a digital or bubble camber/caster gauge are the two most common methods for measuring caster angles. Measuring the upper and lower wishbone mounting points or the MacPherson strut angle.
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brendan is struggling to understand how to use the new reporting software his company has adopted. rather than asking the it director for help, brendan keeps doing searches to try to answer his questions. he does not want to be perceived as weak and incompetent. brendan is exhibiting what stereotype of men in the workplace?
Brendan is exhibiting the stereotype of men in the workplace known as "masculine norms." These norms dictate that men should be self-reliant, independent, and avoid showing vulnerability or weakness. Brendan's reluctance to ask for help and instead relying on his own efforts to solve the problem is a reflection of these norms.
However, it is important for Brendan to recognize that seeking help and admitting his struggles is not a sign of weakness, but rather a sign of strength and a willingness to learn and improve. By breaking free from these stereotypes and seeking help when needed, Brendan can become a more effective and efficient employee. It is crucial for companies to create a culture where seeking help is encouraged and celebrated, regardless of gender or perceived gender norms.
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Suppose the economy is at a short-run equilibrium GDP that lies above potential GDP. Which of the following will occur because of the automatic mechanism adjusting the economy back to potential GDP?
A) Output will increase.
B) Prices will decline.
C) Unemployment will decline.
D) Short-run aggregate supply will shift to the left.
D) Short-run aggregate supply will shift to the left which will occur because of the automatic mechanism adjusting the economy back to potential GDP?
When the economy is at a short-run equilibrium GDP that lies above potential GDP, it means that there is an excess demand for goods and services, which leads to upward pressure on prices. As prices increase, firms will increase their production in the short-run, leading to an increase in output and employment. However, this increase in output and employment is not sustainable in the long run because it is not supported by an increase in potential GDP.
Therefore, the automatic mechanism that adjusts the economy back to potential GDP is a decrease in short-run aggregate supply. This occurs as input prices increase due to the increase in production, leading to a decrease in profits and a decrease in the willingness of firms to supply goods and services. As a result, the short-run aggregate supply curve shifts to the left, reducing output and employment back to potential GDP levels. Prices may also decline as a result of this adjustment.
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Rashid wants to try his luck at high-risk investments for good returns. However, he is worried that he may wind up losing money in the process. Which investment would be a best bet for Rashid?
A. mutual funds
B. stocks
C. money market account
D. certificates of deposit
E. saving account
Answer:
Explanation:
a. mutual funds for high risk n good returns
Answer:
Explanation:
The best bet as compromise between high-risk and good returns will be an investment in A. mutual funds.
In 2-5 paragraphs, discuss the process you would use to determine whether Internet resources are suitable and reliable sources of information.
standardizing job tasks to introduce new work methods is an outcome of:
Standardizing job tasks to introduce new work methods is an outcome of a process called "Job Design." This process involves systematically organizing and structuring job tasks, responsibilities, and functions to optimize efficiency and productivity. In essence, job design aims to improve the overall performance of an organization by aligning employee tasks with company goals.
To standardize job tasks, organizations may adopt several approaches, such as:
1. Job Simplification: Breaking down complex tasks into simpler, smaller tasks that are easier to perform and manage.
2. Job Rotation: Periodically rotating employees among different tasks or roles to promote skill development and reduce monotony.
3. Job Enrichment: Adding variety, responsibility, and decision-making authority to job tasks, leading to increased employee satisfaction and motivation.
4. Job Expansion: Broadening the scope of job tasks by combining multiple tasks into one larger, more comprehensive role.
In conclusion, standardizing job tasks to introduce new work methods is an outcome of Job Design, which aims to enhance organizational performance by aligning tasks with company objectives. This can be achieved through various approaches like job simplification, job rotation, job enrichment, and job expansion.
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______ Is a market in which a large number of suppliers compete with each other to satisfy the needs and wants of a large numbers of consumers at a competitive price.???
Answer : Monopolistic competition
Answer:
Monopolistic Competition
Explanation:
In a monopolistic competitive market, there are large numbers of sellers who do not sell identical products instead they sell differential products. They compete with each other at a competitive price. The products could be differentiated in many ways including quality, style, location and even brand name. Since they compete at a competitive price, if there is a substantial rise in the price of any of the products, the buyers could quickly shift from one product to another. The most crucial factor behind product differentiation is because of geographical factors. Under a monopolistic competitive market, the sellers do not have any influence over customer loyalty and limited control over the price.
investment a has 30 payments. investment b has 25 payments. all else equal, which one has the higher present value?
Keeping all else equal Investment B has the higher present value as the payments for investment A are higher.
Given a certain rate of return, present value (PV) is the current value of a future financial asset or stream of cash flows. A discount rate or the interest rate that could be obtained through investment is applied to the future value to get the present value. The difference between present value and future value is that the former shows you how much money you'd need in today's dollars to earn a certain amount in the future.
Amounts of money or streams of cash flows that are anticipated in the future are measured by their present value (PV), which expresses their value now. Since time itself impacts value, this value will be different from the nominal value of the cash flows.
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