To imagine a product that does not exist and that is useful to humanity, it is necessary to think about the greatest needs and challenges facing humanity today.
Let's suppose that we have developed a prototype of a chemical capable of transforming seawater into fresh water for human consumption.
The product would be a chemical solution sold in pharmacies in a controlled manner and through compliance with requirements for individuals, at a popular price, capable of making 10 liters of water potable for each bottle of the solution.
The product would work through water desalination technology through electrodialysis and reverse osmosis and could be useful to solve the problems of the lack of clean and potable water that already affects more than 2 billion people in the world.
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What effect do consumer expectations have on the demand for a good?
Answer:
A. They reduce the demand for products expected to become cheaper in the future.
Explanation:
Consumer expectations of what the price of a good would be in the future, can significantly determine the extent to which the demand of such good would be demanded.
Hypothetically, if consumers expect the price of electronics products to be cheaper by the end of this year, the current demand for electronics products would decrease for now, as consumers would rather hold on purchasing such products till end of the year, when the prices would be cheaper.
Therefore, the effect that consumer expectations have on the demand for a good is:
A. "They reduce the demand for products expected to become cheaper in the future."
they reduce demand for products expected to become cheaper in the future
Explanation:
A business sells goods to customers value Gh¢3,240
plus VAT at 17.5%. How much will the customer pay
for the goods including VAT?
The amount paid by the customer when a business sells goods to customers value Gh¢3,240 plus VAT at 17.5% is Ghc3807.
How to calculate the amount?From the information given, a business sells goods to customers value Gh¢3,240
plus VAT at 17.5%.
The amount paid by the customer will be:
= 3240 + (17.5% × 3240)
= 3240 + 567
= 3807
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How does the opportunity cost principle explain the relationship between the real interest rate and investment spending?
As the interest rate rises,
the more spending businesses want to do.
the less attractive it is to leave money in the bank instead of spending on investments.
the more attractive it is to leave money in the bank instead of spending on investments.
it has no effect on investment spending. If firms need to expand, they will invest regardless of the interest rate.
b. The investment line is
because of the relationship between real interest rates and investment
spending
perfectly elastic
vertical
upward-sloping
downward-sloping
The opportunity cost illustrates the relationship that exists between them because as the interest rate rises, the more attractive it is to leave money in the bank instead of spending on investments.
The investment line is downward sloping because of the relationship between real interest rates and investment spending.
Opportunity cost simply means what one foregoes in order to get something else. It should be noted that when there's an increase in the interest rate, this will lead, the cost of borrowing will be high. Therefore, there'll be a reduction in investment.
Therefore, there's a negative relationship between interest rate and investment spending. This then leads to a downward-sloping curve.
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You send out 20,000 emails. Of those, 6% are opened. Of those, 9% click on a link to register for something. Of those who clicked the link, 30% complete the registration. How many people completed the registration?
Out of the following list, choose the item that would be included in the “investment component” of GDP:
a. Mr. Smith purchased 200 shares of CitiBank stocks.
b. A U.S. family bought a 10-year old house and rented it out.
c. The New York City installed new street lights in some residential areas.
d. The Flight Centre travel agency in Chicago just bought a new desktop computer.
Which statement is true regarding monopolistic competition?
Answer:
AR>MR
--------------------------------------
WHERE ARE THE OPTIONS.
The 15-year average return for the S&P 500 from January 1973 to December 2016 (29 separate 15 year periods) was as high as a 20% average annual return and as low as a 3.7% average annual return. Additionally, the average dividend yield for the S&P is 4.11% and the average annual dividend growth rate is 6.11%.
Using this information, please compare the investment in the 5% 15-year corporate bond with a $100,000 investment in a stock with a 3.7% dividend yield (10 percent less than the S&P 500 average yield) and a 3% dividend growth rate (50 percent of the S&P 500 dividend growth rate).
The annual investment returns are as follows:
Year 1 (13.40%) Year 2 (23.37%) Year 3 26.38% Year 4 8.99%
Year 5 3.00% Year 6 13.62% Year 7 3.53% Year 8 (38.49%)
Year 9 23.45% Year 10 12.78% Year 11 0.00 Year 12 13.41%
Year 13 29.60% Year 14 11.39% Year 15 (0.73%)
The bond interest payment of 5 percent is paid annually and not reinvested. To compare accurately with the bond investment, the stock dividend will not be reinvested, but paid annually as well.
Please calculate the value of the stock account at the end of each year and the dividend income from the stock on an annual basis.
Once you have performed the calculations, please let me know if you prefer to invest in a 5% corporate bond for 15 years or the stock and why.
What is the value of the stock after year 2? Year 8? Year 11? When does the annual dividend income of the stock exceed the annual interest income of the bond?
1. The value of the stock account after Year 2 is $155,401.626.
2. The value of the stock account after Year 8 is $96,110.0674.
3. The value of the stock account after Year 11 is $96,110.0674.
4. The annual dividend income of the stock exceeds the annual interest income of the bond at the end of Year 15.
Bond interest rate: 5%
Stock dividend yield: 3.7% (10% less than S&P 500 average yield)
Stock dividend growth rate: 3% (50% of S&P 500 dividend growth rate)
We'll assume an initial investment of $100,000.
Year 1:
Bond interest income: $100,000 * 0.05 = $5,000
Stock dividend income: $100,000 * 0.037 = $3,700
Value of stock account: $100,000 + ($100,000 * 0.2337) = $123,370
1. Year 2:
Bond interest income: $100,000 * 0.05 = $5,000
Stock dividend income: $100,000 * 0.037 = $3,700
Value of stock account: $123,370 + ($123,370 * 0.2638) = $155,401.626
2. Year 8:
Bond interest income: $100,000 * 0.05 = $5,000
Stock dividend income: $100,000 * 0.037 = $3,700
Value of stock account: $155,401.626 + ($155,401.626 * (-0.3849)) = $96,110.0674
3. Year 11:
Bond interest income: $100,000 * 0.05 = $5,000
Stock dividend income: $100,000 * 0.037 = $3,700
Value of stock account: $96,110.0674 + ($96,110.0674 * 0) = $96,110.0674
4. At the end of Year 15, the dividend income of the stock exceeds the interest income of the bond.
Stock dividend income: $100,000 * 0.037 = $3,700
Bond interest income: $100,000 * 0.05 = $5,000
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FILL IN THE BLANK fill in the blank question. carol co. prepares a statement of cash flows starting with net income and then adjusting for items that do not affect cash. carol co. is using the_______ method of reporting the statement of cash flows.
The method is indirect method.
Carol co. prepares a statement of cash flows starting with net income and then adjusting for items that do not affect cash. carol co. is using indirect method of reporting the statement of cash flows.
The cash flow statement is a type of financial statement used in financial accounting that shows how changes in income and balance sheet accounts effect cash and cash equivalents. It also provides a breakdown of operating, financing, and investing activities.
Direct or indirect procedures might be used to report a cash flow statement.
The indirect approach can be thought of as a way that presents the cash flow statement via strategizing.
Cash flow from operational operations is determined by net income, net loss, and any subsequent additions to, or reductions of, the amount for non-cash revenue and expense components.
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Carol Company creates a cash flow statement by beginning with net income and then correcting for non-monetary items. Carol Company reports the statement of cash flows in an indirect method of reporting the statement of cash flows.
A cash flow is defined as a physical or virtual movement of money. It is in its narrowest definition a payment, particularly from one central bank account to another; the word 'cash flow' is most commonly used to indicate.
The amount of money a firm earns through continuing, regular business operations such as manufacturing and selling things or providing a service to clients is referred to as cash flow from operational activities (CFO).
Cash waft refers back to the internet stability of coins stepping into and out of a commercial enterprise at a selected factor in time. coins are constantly moving into and out of an enterprise. as an instance, when a retailer purchases stock, cash flows out of the commercial enterprise toward its suppliers.
The purpose of a cash glide declaration is to offer an in-depth photo of what occurred to a business's cash all through a targeted period, known as the accounting duration. It demonstrates an enterprise's capacity to function within the short and long time, based on how lots of cash is flowing into and out of the commercial enterprise.
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Miscavage Corporation has two divisions: the Beta Division and the Alpha Division. The Beta Division has sales of $235,000, variable expenses of $132,600, and traceable fixed expenses of $63,800. The Alpha Division has sales of $545,000, variable expenses of $309,800, and traceable fixed expenses of $121,500. The total amount of common fixed expenses not traceable to the individual divisions is $120,200. What is the company's net operating income
Answer:
Operating income $32,100
Explanation:
The operating income for the company is the to be determined by aggregating the sales and cost figures of the two divisions . This is done as follows
$
Total sales (235,000 + 545,000) = 780,000
Variable expenses(132600+309800) = (442,400)
Traceable fixed expenses(63800+121500) = (185300)
Common fixed expenses (120200 )
Operating income 32,100
"Drag each label to the correct location on the image.
Match the features to the relevant inventory systems.
records purchase of inventory
in the purchase account records purchase of inventory
in the inventory account
inventory account is updated on inventory account is updated every purchase at the end of a time period
inventory is physically counted Perpetual Inventory System
Periodic Inventory System"
Each features should be matched to the relevant inventory systems as follows;
Perpetual Inventory System: records purchase of inventory in the inventory account.Periodic Inventory System: records purchase of inventory in the purchase account records.Perpetual Inventory System: inventory account is updated on every purchase.Periodic Inventory System: inventory account is updated at the end of a time period.Periodic Inventory System: inventory is physically counted.What is an inventory?An inventory can be defined as the raw materials or items that are used by a business firm (manufacturer or producer) for the manufacturing of finished goods, as well as goods that are in various stages to be made ready for sale to consumers.
What is a perpetual inventory system?In Economics, a perpetual inventory system is sometimes referred to as perpetual system of inventory and it can be defined as a method of financial accounting that typically involves updating information about an inventory on a continuous basis (in real-time) as the sales or purchases are being made by customers, especially through the use of enterprise management software applications and a digitized point-of-sale (POS) equipment.
Furthermore, an advantage of the perpetual inventory system (perpetual system of inventory) over the periodic system of inventory is that, it ensures the inventory account balance is always accurate provided there are no spoilage, theft, etc.
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Are the following statements true or false?
(a) Perfect competition has an identical good.
(b) A monopolistically competitive firm makes zero economic profit in the long run.
(c) The defining feature of oligopoly is a large number of firms.
(d) A natural monopoly arises because of the existence of economies of scale.
(a) The given statement, "Perfect competition has an identical good" is true.
(b) The given statement, "A monopolistically competitive firm makes zero economic profit in the long run" is false.
(c) The given statement, "The defining feature of oligopoly is a large number of firms" is false.
(d) The given statement, "The defining feature of oligopoly is a large number of firms" is true.
(a) In perfect competition, all firms produce identical goods, which means that consumers cannot differentiate between them based on the product. Therefore, firms have to compete based on price and quality of their product.
(b) In monopolistic competition, firms can earn economic profit in the short run but may not be able to sustain it in the long run. This is because other firms can enter the market and offer similar products, which reduces the demand for the original firm's product and lowers its price, eventually resulting in zero economic profit.
(c) The defining feature of oligopoly is a small number of large firms that dominate the market. These firms have significant market power and can influence the market's price and quantity. Oligopolies can lead to collusion between firms, creating barriers to entry and limiting competition.
(d) A natural monopoly arises when a single firm can produce the entire output of the market at a lower cost than any combination of two or more smaller firms. This is due to economies of scale, where the average cost of producing a good decreases as the quantity produced increases.
Therefore, it is more efficient to have one firm producing the entire output rather than multiple smaller firms. However, natural monopolies can lead to market failure, and regulation may be necessary to prevent abuse of market power.
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What are interest rates?
An interest rate indicates how expensive borrowing is or how lucrative saving is. Therefore, if you are a borrower, the interest rate refers to the amount you pay for borrowing money and is expressed as a percentage of the overall loan amount.
It is percentage to be paid as the borrowing cost.
Types of Interest rates
Simple Interest: Simple Interest (S.I.) is a way for figuring out how much interest will accrue on a specific principal sum of money at a certain rate of interest.Compound interest: The interest you generate on interest is known as compound interest.Accrued interest: The interest on a debt or other obligations that has accrued but has not yet paid out is referred to as accrued interest.Why interest rates are important?
Importance
One of the key components of the economic system is interest rates. They have an impact on borrowing costs, savings yields, and are a significant contributor to the overall return on many assets. Certain interest rates offer information about upcoming financial and economic activities.To know more about interest rates refer
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Rene invested approximately 72,432.44 in total.
To solve this problem, let's start by assigning variables to represent the amounts of money Rene invested in each account. Let's say he invested x dollars in the 7% account and 3x dollars in the 10% account.
Now, let's calculate the interest earned from each account. The interest earned from the 7% account is 0.07x dollars, and the interest earned from the 10% account is 0.10(3x) dollars, which simplifies to 0.30x dollars.
We are given that the total interest earned from both accounts is 6,700. So we can set up the equation:
0.07x + 0.30x = 6700
Combining like terms, we get:
0.37x = 6700
Now, let's solve for x by dividing both sides of the equation by 0.37:
x = 6700 / 0.37
x ≈ 18,108.11
So, Rene invested approximately 18,108.11 in the 7% account.
To find out how much he invested in total, we can substitute the value of x into the equation:
Total investment = 18,108.11 + 3(18,108.11)
Total investment ≈ 72,432.44
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In management, scholars argue that,1 + 1 = 10. Do you agree? Explain.
Answer:
I disagree.
Explanation:
Scholars may argue that 1+1= 10. But in fact if you do simple addition, 1+1 is 2. Not 10.
Materials used by the Instrument Division of Ziegler Inc. are currently purchased from outside suppliers at a cost of $1,350 per unit. However, the same materials are available from the Components Division. The Components Division has unused capacity and can produce the materials needed by the Instrument Division at a variable cost of $900 per unit. a. If a transfer price of $1,000 per unit is established and 75,000 units of materials are transferred, with no reduction in the Components Division's current sales, how much would Ziegler Inc.'s total operating income increase
Answer:
the increase in the total operating income is $33,750,000
Explanation:
The calculation of the increase in the total operating income is given below:
= Material units × (outside supplier unit - variable cost per unit)
=75,000 units × ($1,350 - $900)
= $33,750,000
Hence, the increase in the total operating income is $33,750,000
We simply applied the above formula so that the correct amount could come
And, the same is relevant
The accountant for Mandarin Company is preparing the company's statement of cash flows for the fiscal year just ended. The following information is available:
Retained earnings balance at the beginning of the year $949,000
Net income for the year 295,000
Cash dividends declared for the year 55,000
Retained earnings balance at the end of the year 1,397,000
Cash dividends payable at the beginning of the year 12,600
Cash dividends payable at the end of the year 14,900
What is the amount of cash dividends paid that should be reported in the financing section of the statement of cash flows?
a. $55,000.
b. $57,300.
c. $82,500.
d. $2,300.
e. $52,700.
Answer: e. $52,700
Explanation:
Cash Dividend to be paid = Cash dividends payable at the beginning of the year + Cash dividends declared for the year - Cash dividends payable at the end of the year
= 12,600 + 55,000 - 14,900
= $52,700
Most P2P apps or services can be linked to checking accounts, debit cards or _____
It should be noted that most P2P apps or services can be linked to checking accounts, debit cards or payment options
What is Peer-to-peer payment systems?Peer-to-peer payment systems can be regarded as the money transfer apps platform like Venmo.
It allows users to send money to people or organization.
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why is it important to look at external sources of information when exploring product and service information
Blake uses a Likert scale to interview customers after shopping at his store. One useful way to analyze this data would be to use
A Likert scale is also known as a satisfaction scale.
The scale is used to measure respondent attitude and opinion ranging from one extreme attitude to another, on a statement.Question asked are used to know to what extent do respondent agree or disagree with the statement.This scale is treated as Interval scale because its variables have an order.In conclusion, the best and useful way to analyze a Likert data would be through the use of central tendency item such as Modes, medians and Frequencies.
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Electronics Company A is recognized as the world leader in the production of radios. They
control more than 75% of the radio market, but the market is slowly shrinking. The company also
makes several high-quality audio products, including CD players. The market for CD players is
growing, and currently the company cannot make enough to meet the demand. What choice
should the company make? What is the opportunity cost? Explain your reasoning,
Answer:
There comes a time when every company must make a decision to evolve because the products that they offer will always become obsolete at some point in the future. This is simply because humans will always strive to make processes more efficient.
Electronics Company A is a leader in the radio market but that market is shrinking. There is a new revenue stream however and that market is growing.
The decision that they should make is to reduce the amount of facilities that are dedicated to radios and channel it to the production of CD players so that they may gain dominance there before the market becomes saturated. Had Kodak have done this when digital cameras were on the rise, their fall from grace might not have happened at all.
The Opportunity Cost of this however is that they may lose dominance in the radio industry which is only slowly declining meaning that there are still profits to be made. The keyword however is that the market is declining. They should therefore evolve and move to an industry that is on the up and up which is the CD player.
Failure to do this would mean that they would become another Kodak or Blockbuster.
How important is a business plan?
Answer:
Hey mate.....
Explanation:
This is ur answer.....
Whether you're starting a small business or exploring ways to expand an existing one, a business plan is an important tool to help guide your decisions. Think of it as a roadmap to success, providing greater clarity on all aspects of your business, from marketing and finance to operations and product/service details.
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Answer: Hewo, There! your Answer is Below
A business plan is a very important and strategic tool for entrepreneurs.
the purpose of a business plan is to help articulate a strategy for starting your business.
Explanation:
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A good business plan not only helps entrepreneurs focus on the specific steps necessary for them to make business ideas succeed
Mr Ashok has a company, and has an option to issue different types of preference shares. State all the types preference shares a company can issue.
please answer asap! In one to two sentences, explain how the money for a negative tax for low-income earners could be redistributed from high-income earners.
One way that money for a negative tax for low-income earners could be redistributed from high-income earners is by increasing tax rate on high income earners.
How to fund a negative tax ?One plausible method to address income inequality is via an increase in tax rates for high-income earners. By doing so, a larger percentage of their revenue would be allocated towards taxes which could then be utilized to finance the negative tax program.
Another potential avenue would involve imposing a wealth tax upon individuals or households based on their net worth. This type of taxation would predominately affect those with significant lifetime acquisition of assets and resources – particularly the wealthiest members of society.
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Garfield Company has the following information for the current year: Beginning fixed manufacturing overhead in inventory $230,000 Fixed manufacturing overhead in production 850,000 Ending fixed manufacturing overhead in inventory 50,000 Beginning variable manufacturing overhead in inventory $40,000 Variable manufacturing overhead in production 140,000 Ending variable manufacturing overhead in inventory 30,000 What is the difference between operating incomes under absorption costing and variable costing?
Answer:
the difference between operating incomes under absorption costing and variable costing is $180,000 .
Explanation:
The difference between the two Operating Incomes lies in the amount of Fixed Overheads that has been deferred in Inventory.
So, calculation of the difference will be as follows :
Beginning fixed manufacturing overhead in inventory $230,000
Less Ending fixed manufacturing overhead in inventory ($50,000)
Difference between absorption costing and variable costing $180,000
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What is the difference between Medicare, Medicaid, and Social Security?
. Explain the role of money in specialisation and division of labour
Answer:Money plays a crucial role in the process of specialization and division of labor. As an economy grows, the division of labor becomes more complex, and people begin to specialize in specific skills and trades. Specialization and division of labor increase productivity and efficiency, which leads to economic growth. Money facilitates the exchange of goods and services between people who have specialized in different areas.When people specialize in specific skills or trades, they produce goods or services that are unique and valuable. Money allows them to exchange these goods and services with other people who have specialized in different areas. This exchange of goods and services is made possible by the use of money, which serves as a medium of exchange. Without money, people would have to rely on bartering, which would be difficult and inefficient.Moreover, money encourages further specialization and division of labor. When people are able to earn money by specializing in a particular skill or trade, they are more likely to continue doing so. This creates a positive feedback loop, leading to increased specialization, higher productivity, and economic growth.In summary, money plays a critical role in the process of specialization and division of labor by facilitating the exchange of goods and services between people who have specialized in different areas. Money encourages further specialization and division of labor, leading to higher productivity, efficiency, and economic growth.
Explanation:
Identify and explain about any 3 title of business objectives
Answer:
1. Getting and Staying Profitable
Maintaining profitability means making sure that revenue stays ahead of the costs of doing business. Focus on controlling costs in both production and operations while maintaining the profit margin on products sold.
2. Productivity of People and Resources
Employee training, equipment maintenance and new equipment purchases all go into company productivity. Your objective should be to provide all of the resources your employees need to remain as productive as possible.
3. Excellent Customer Service
Good customer service helps you retain clients and generate repeat revenue. Keeping your customers happy should be a primary objective of your organization.
4. Employee Attraction and Retention
Employee turnover costs you money in lost productivity and the costs associated with recruiting, which include employment advertising and paying placement agencies. Maintaining a productive and positive employee environment improves retention.
Which actions can you take to bring back your computer from sleep mode?
(you can choose more than one answer)
Check the power supply.
Press any key on the keyboard.
Reboot the computer.
Move the mouse around.
Click any button on the mouse.
The WorldLight Company produces two light fixtures (products 1 and 2) that require both metal frame parts and electrical components. Management wants to determine how many units of each product to produce so as to maximize profit. For each unit of product 1, 1 unit of frame parts and 2 units of electrical components are required. For each unit of product 2, 3 units of frame parts and 2 units of electrical components are required. The company has 200 units of frame parts and 300 units of electrical components. Each unit of product 1 gives a profit of $1, and each unit of product 2, up to 60 units, gives a profit of $2. Any excess over 60 units of product 2 brings no profit, so such an excess has been ruled out.
Explanation:
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(a) How does Alibaba implement competitive pricing strategy in market
Explanation:
Alibaba is a Chinese business group that uses one of its main business strategies to offer a lower price than its competitors.
There are several reasons why Alibaba is able to maintain this strategy competitively, for example, as it is a group of companies with different niches and different suppliers, it is possible to find a variety of them within the group's e-commerce, which makes there are options for price variations and incentive for the consumer to choose. In addition, the price variation remains at a healthy level that does not generate losses for Alibaba.
The group also maintains a strategy of offering discounts to consumers that generate greater purchase motivation, such as discount coupons, gifts, free shipping, etc.
If you could vote today who would you vote for Trump/ Biden or someone else. I would vote for someone else.
Answer:
Lauren boebert
Explanation: