In the context of operations management, the machining plays the supporting role in the process of production of goods. The Option A is correct.
What is machining in operations management?In operations management, a machining refers to the process in which a material is cut to a desired final shape and size by a controlled material-removal process. This processes have this common theme which is called subtractive manufacturing which utilizes machine tools, in contrast to additive manufacturing (3D printing) which uses controlled addition of material.
A machining is an important part of the manufacture of many metal products but it can also be used on other materials such as wood, plastic, ceramic, and composite material. The worker that specializes in machining is called a machinist and the room, building, or company where machining is done is called a machine shop.
Read more about machining
brainly.com/question/28390874
#SPJ1
Changes in the market environment impact _____
how competitive the marketplace is
how many offerings are available
how many marketing communication channels are used
how consumers behave
Changes in the market environment impact how competitive the marketplace is, how many offerings are available, how many marketing communication channels are used, and how consumers behave.
Aspects of the business landscape are significantly impacted by changes in the market environment. First and foremost, they have an impact on the level of market competition because changes in variables like technology, rules, and consumer preferences can affect how businesses compete with one another.
Changes in the market environment can also have an impact on the variety and range of goods and services that are offered to customers. New technologies and trends have an impact on how businesses communicate with their target audiences through marketing channels. Last but not least changes in the market environment such as those in the economy in social trends and in technological advancements have a significant impact on consumer behavior causing changes in buying patterns and preferences.
To know more about market environment here
brainly.com/question/34360169
#SPJ2
A series of monthly cash flows is deposited into an account that earns 12% nominal interest compounded monthly. Each monthly deposit is equal to $2,100. The first monthly deposit occurred on June 1, 2008 and the last monthly deposit will be on January 1, 2015. The account also has equivalent quarterly withdrawals from it. The first quarterly withdrawal is equal to $5,000 and occurred on October 1, 2008. The last $5,000 withdrawal will occur on January 1, 2015. How much remains in the account after the last withdrawal?
Answer:
The amount left in the account after last withdrawal is $61,945
Explanation:
The first monthly deposit occurred on June 1, 2008 and the last monthly deposit will be on January 1, 2015 = 80 deposit
Monthly deposit = 2,100
Interest rate = 12% / 1% per month
Firstly, we calculate the future worth of the monthly deposit
FW = A(F/A, i, n)
A = 2,100, i = 1%, n= 80
FW = $2100*[(1+0.01)^80 - 1 / 0.01]
FW = $2100*[2.216715 - 1 / 0.01]
FW = $2100*(121.671)
FW = $255,509.10
We calculate the effective interest rate
i(effective) = (1 + i nominal monthly interest rate)^n - 1
i `%, n = 3(no of months in quarter)
i (effective) = (1+0.01)^3 - 1
i (effective) = (1.01)^3 - 1
i (effective) = 1.030301 - 1
i (effective) = 0.030301
i (effective) = 3.0301%
The effective quarterly interest rate is 3.0301%
We calculate the future worth of the quarterly drawings
FW = A[(1+i)^n - 1 / i]
A = 5,000(drawing), i = 3.0301%, n = 26(number of drawings)
FW = 5,000*[(1+0.030301)^26 - 1 / 0.030301]
FW = 5,000*[2.17303717 - 1 / 0.030301]
FW = 5,000*(38.71282)
FW = $193,564.10
The future worth of the quarterly withdrawal is $193,564.10
We calculate the amount left in the account after last withdrawal
Amount left in account = FW(monthly deposits) - FW(quarterly drawings)
Amount left in account = $255,509.10 - $193,564.10
Amount left in account = $61,945
Thus, the amount left in the account after last withdrawal is $61,945
design an approach that your team would recommend for Joseph and Nicholas to cover one area each that you deem necessary to aid in the planning and controlling functions
The combines strategic planning, performance measurement, effective communication, and continuous improvement to support Joseph and Nicholas in their planning and controlling functions. It ensures a well-defined direction, data-driven decision-making, collaboration, and a focus on growth and adaptability.
In order to aid in the planning and controlling functions, the following approach can be recommended to Joseph and Nicholas:
1. Establish Clear Objectives and Goals: The first step in planning is to establish clear objectives and goals for the team. It is important to have a clear understanding of what needs to be accomplished and what the team's priorities are.
2. Assign Responsibilities: Assigning specific responsibilities to team members helps to ensure that everyone is working towards a common goal. Joseph and Nicholas should each be assigned to cover one area that is necessary for planning and controlling functions. This will help to ensure that all aspects of the project are covered and that there is no overlap or duplication of efforts.
3. Develop a Schedule: Developing a schedule that outlines the key milestones and deadlines for the project is essential to effective planning and control. This will help to ensure that the project stays on track and that deadlines are met.
4. Monitor Progress: Regularly monitoring progress against the schedule and objectives is necessary to ensure that the project is progressing as planned. This will help to identify any issues or problems that arise and allow for corrective action to be taken.
5. Communicate: Effective communication is critical to the success of any project. Joseph and Nicholas should establish a regular communication schedule to ensure that everyone is up-to-date on the project's progress, any issues or problems that arise, and any changes to the schedule or objectives.
6. Make Adjustments: Finally, it is important to be flexible and make adjustments as needed. If the project is not progressing as planned, adjustments may be necessary to the schedule or objectives to ensure that the project stays on track and that goals are met.
for more question on adaptability
https://brainly.com/question/26810727
#SPJ8
Direct Materials and Direct Labor Variance Analysis
Jericho Fixture Company manufactures faucets in a small manufacturing facility. The faucets are made from brass. Manufacturing has 45 employees. Each employee presently provides 38 hours of labor per week. Information about a production week is as follows:
Line Item Description Value
Standard number of lbs. of brass 0.4 lb.
Standard price per lb. of brass $0.80
Standard wage per hr. $21.00
Standard labor time per faucet 15 min.
Actual price per lb. of brass $0.90
Actual lbs. of brass used during the week 4,500 lbs.
Number of faucets produced during the week 10,000
Actual wage per hr. $22.00
Actual hrs. for the week (45 employees × 38 hours) 1,710
Determine the below-listed variances while showing work with corresponding formulas.
1. Standard cost per unit for direct materials
2. Standard cost per unit for direct labor
3. Direct Material price variance
4. Direct Material quantity variance
5. Direct Labor rate variance
6. Direct Labor time variance
identify the types of south African businesses/market share
A company may be incorporated in South Africa under one of five legal categories: a private company, a personal liability company, a public company, a non-profit organisation, or a state-owned corporation.
What percentage of the market?South Africa is a newly industrialised nation with an upper-middle-income economy, according to the World Bank. It is ranked 34th in the world and has the second-largest economy in Africa. South Africa has the 7th per economic status in Africa in the context of purchasing power parity. Nevertheless poverty and inequality continue to be widespread, with almost 25% of the population unemployed and surviving on less than US$1.25 per day. Yet, South Africa continues to have a significant regional impact and is regarded as a middle power in international affairs.
To know about South Africa visit:
https://brainly.com/question/16248215
#SPJ1
capital economical definition
Answer:
In finance and accounting, capital generally refers to financial wealth, especially that used to start or maintain a business. ... In classical economics, capital is one of the four factors of production. The others are land, labor and organization
Answer: In economics, capital consists of human-created assets that can enhance one's power to perform economically useful work. ... Capital goods, real capital, or capital assets are already-produced, durable goods or any non-financial asset that is used in production of goods or services.
Explanation:
Carrie wants to open a boat shop right next to te beach. What type of utility is she implementing
Answer:place utility
Explanation:
In marketing, what are the five P's used for?
A. The sections of a marketing plan
B. Determining market saturation
C. Market research
D. Achieving marketing goals
Answer:
A
Explanation:
better mousetraps has come out with an improved product, and the world is beating a path to its door. as a result, the firm projects growth of 21 percent per year for 4 years. by then, other firms will have copycat technology, competition will drive down profit margins, and the sustainable growth rate will fall to 6 percent. the most recent annual dividend was div 0 = $1 per share. (15 points)
a. What are the expected values of DIV 1, DIV 2, DIV 3, and DIV 4?
b. What is the expected stock price 4 years from now? The discount rate
is 10%.
c. What is the stock price today?
d.Find the dividend yield, DIV 1/ P 0 .
e. e. What will next year’s stock price, P1, be?
f. What is the expected rate of return to an investor who buys the stock
now and sells it in 1 year?
As per the given information, there is a growth rate of the firm by 21% or 0.21. The same firm has a dividend that has been divided on the basis of $1. There has been few situations given, in according to the same, solutions will be as follow:
(a) DIV 1 =Do (1+g) = 1*(1+0.21 ) =$1.21
DIV 2= 1.21*(1+0.21) =$1.46
DIV 3 = 1.46 *(1+0.21) =$1.77
DIV 4 = 1.77 * (1+0.21)=$2.14
(b) Sustainable growth rate is 6% or 0.06
Discount rate is 10% or 0.10.
DIV 5 =DIV 4*(1+g) = 2.14 *(1+0.06) = $2.2684
Price in 4 year =DIV 5/(r-g) = 2.2684 /(0.10-0.06) = 2.2684 /0.04
= $ 56.71
(c) Price today = Po = [PVF10%,1*D1]+[PVF10%,2*D2] +......[PVF10%,4*TV]
= [0.90909*1.21]+[0.82645*1.46]+[0.75131*1.77]+[0.68301*2.14]+ [0.68301*56.71]
= 1.089+ 1.197+ 1.327+ 1.455+ 38.56
= $43.63 per share
(D)Dividend yield =D1/P0
= 1.21/43.63
= 0.00277 = 2.77%
(e) Next year price = [0.90909*1.46]+[0.82645*1.77]+[0.75131*2.14]+ [0.75131*43.63 ]
= 1.314+ 1.451+ 1.605+ 32.722
= $ 37.09 per share
(f) Expected rate of return =[ P1-Po+D1]/Po
=(37.09 - 43.63 + 1.21)/43.63
=-5.33 /43.63
= -0.122 or = -1.22%
Learn more about dividend from here:
https://brainly.com/question/25845157
#SPJ4
Amber’s starting salary for her new job will be $35,500 a year. How much will she pay to the Social Security system for her first year assuming total FICA withholdings of 7.65%?
Answer:
I dont know the answer but I want whatever job she has
Match the design thinking stage to its description.
Question 14 options:
The design team creates multiple inexpensive versions of the product, known as minimum viable products (MVPs)
Spend time gaining an understanding by observing, engaging, and empathizing with customers to understand their experiences and their needs better
Analyze observations and information to identify the core problem
The design team comes up with solution ideas
The design team identifies any additional problems and refines the final solution before the final product is produced and released to customers
1.
Empathize
2.
Define
3.
Ideation
4.
Prototype
5.
Test
The design team creates multiple inexpensive versions of the product, known as minimum viable products (MVPs) - Prototype.
Spend time gaining an understanding by observing, engaging, and empathizing with customers to understand their experiences and their needs better - Empathize
Analyze observations and information to identify the core problem - Ideation
The design team comes up with solution ideas - Ideation
The design team identifies any additional problems and refines the final solution before the final product is produced and released to customers - Test
What is a Design thinking?Generally, a design thinking means the set of cognitive, strategic and practical procedures used by designers in the process of designing and to body of knowledge that has been developed about how people reason when engaging with design problems. A design thinking is also associated with the prescriptions for the innovation of products and services within business and social contexts.
The term "design thinking" is been used to refer to specific cognitive style, a general theory of design (which is way of understanding how designers work), and a set of pedagogical resources (through which organisations or inexperienced designers can learn to approach complex problems in a designerly way).
Read more about design thinking
brainly.com/question/28471025
#SPJ1
Summer Tyme, Inc., is considering a new 3-year expansion project that requires an initial fixed asset investment of $2,422,431. The fixed asset will be depreciated straight-line to zero over its 3-year tax life, after which time it will be worthless. The project is estimated to generate $1,950,026 in annual sales, with costs of $1,675,501. If the tax rate is 0.36 , what is the OCF for this project?
The Operating Cash Flow(OCF) is $466,387.72 for this project.
Why is operating activity most important?Due to its direct connection to the company's core business activities, such as sales, distribution, production, and so forth, operating activities account for the majority of the company's cash flows. These activities also determine the profitability of the company, and items falling under this heading are the main types of cash flows.
Given,
Fixed Asset = $2,422.31
Sales = $1,950,026
Cost = $1,675,501
Tax-rate = 0.36
Required to Calculate Operating Cash Flow(OCF) = (Sale - Cost - Deprecaition) x (1-tax) + Deprecaition
OCF = ($1,950,026 - $1,675,501 - $2,422,431/3) x (1 - 0.36) + $807,477
OCF = $466,387.72
Thus, All of the money that is made by a company's primary business operations is considered operating cash flow. All capital asset acquisitions and investments in other business endeavors are included in investing cash flow. The company's payments as well as all proceeds from the issuance of debt and stock are included in the financing cash flow. The Operating Cash Flow(OCF) is $466,387.72 for this project.
Learn more about Operating Cash Flow here:
https://brainly.com/question/17001006
#SPJ1
Jenna purchased 500 shares of XYZ stock for $10 per share. The stock paid the following dividends: Year 1: $0.25 per share Year 2: $0.27 per share Year 3: $0.29 per share Assume the stock is trading for $15 per share at the end of Year 3. Calculate the time-weighted return for XYZ stock over this period.
Based on the price of the stock and the dividend over the years, the time-weighted return of XYZ stock is 16.83%.
What is the time-weighted return of XYZ stock?In this case, the Time weighted return can will be the same as the IRR so the IRR function on a spreadsheet can be used to find the return.
Year 0 return = -$10 per share
Year 1 = $0.25
Year 2 = $0.27
Year 3 = (0.29 + 15) = $15.29.
Time weighted return will be 16.83% as shown in the attachment.
Find out more on Weighted return at https://brainly.com/question/15885163.
what is micro economy
Why would a retailer introduce their online stores country by country?
Answer:
Introducing its online store on a country-by-country basis is a good idea from the viewpoint of market analysis.
Which of these is not an example of good practice when differentiating phonological awareness instruction?
a.
Increasing the intensity of instruction by teaching in smaller group sizes.
b.
Expecting all children to be able to produce rhyming words at the same time of the year.
c.
Increasing the intensity of instruction by giving individual children more opportunities to respond.
d.
Supporting children's understanding of an activity by using visual supports.
The option that is not an example of good practice when differentiating phonological awareness instruction is (b) Expecting all children to be able to produce rhyming words at the same time of the year.
What is good practice?Recognizing that children learn at various speeds and have varied degrees of preparedness is a key component of good practice in differentiating phonological awareness training. It is unrealistic to anticipate that all kids will develop at the same rate.
Each child's unique requirements and talents are taken into account while differentiating instruction. Therefore, it is inconsistent with the ideas of differentiation to expect all kids to be able to come up with rhymes at the same time of the year.
Therefore the correct option is b.
Learn more about good practice here:https://brainly.com/question/14667914
#SPJ1
cash flow statement
A cash flow statement is a financial statement that shows the inflow and outflow of cash during a specific period.
What is the use of a cash flow statement ?It provides crucial data for determining a company's financial health, such as how much cash a company makes and how it is used. The cash inflows and outflows from operating, investing, and financing operations are typically shown in the statement.
Transactions pertaining to a company's primary business operations, such as sales, inventory purchases, and salaries, are referred to as operating activities. The purchasing and selling of assets like real estate, machinery, and equipment is a part of investing. Transactions involving borrowing, issuing stocks, and paying dividends are all considered financing operations.
Find out more on cash flow statements at https://brainly.com/question/735261
#SPJ1
Amika has a high-paying job that she loves. She works so much that she has little time for anything else, and she doesn’t have much family that she stays in contact with. In addition, Amika works with most of her friends, so she doesn’t really mind the long hours. She rarely takes her vacation days, though she loves to travel and works it into her lifestyle whenever she can. In what way does Amika’s job support and conflict with her lifestyle?
She can work with her friends, which supports her social life, but she has long hours, which does not allow for family time.
The job is high paying, which can support her love of nice things, but she has long hours, which does not allow for family time.
The job is high paying, which can support her love of travel, but she has long hours, which does not allow for vacations.
She can work with her friends, which supports her family life, but she has long hours, which does not allow for vacations.
Answer:
A
Explanation:
Just did it on edg
The additional benefit of producing one more roast beef sandwich at a local deli is $3. The additional cost of producing one more roast beef sandwich is $3. To improve allocative efficiency...
a) producers should produce one more roast beef sandwich because MB > MC.
b) producers should produce one more roast beef sandwich because MB equals MC.
c) producers should not produce one more roast beef sandwich because MB > MC.
d) producers should not produce one more roast beef sandwich because MB equals MC.
Answer:
Explanation:
b) producers should produce one more roast beef sandwich because MB equals MC.
Allocative efficiency occurs when the marginal benefit (MB) of producing a good or service is equal to the marginal cost (MC) of producing that good or service. In this scenario, the additional benefit of producing one more roast beef sandwich is $3 and the additional cost of producing one more roast beef sandwich is also $3. Since MB equals MC, producing one more sandwich would not result in a net loss or gain, and would therefore improve allocative efficiency.
Which of the following is one way that technology can improve productivity?
A. The assembly line enables more workers to participate in the production process.
B. Powerful machines are less dangerous to industrial workers.
C. Machines replace workers and eliminate human effort from the production process.
D. Better methods of production allow workers to earn higher wages.
Answer:
machines
Explanation:
Answer:
Machines replace workers, reducing production costs.
Explanation:
What are the 10 indicators The Heritage Foundation Index of Economic Freedom is based on?
The 10 factors that make up the Heritage Foundation Index of Economic Freedom are used to gauge how economically free each nation is.
Rule of Law, Government Size, Regulatory Efficiency, Open Markets, Judicial Effectiveness, Property Rights, Financial Freedom, Labor Freedom, Monetary Freedom, and Trade Freedom are among the 10 variables used to calculate the Heritage Foundation Index of Economic Freedom. The degree to which the government upholds and defends property and individual rights, the legal and regulatory environment's predictability and stability, the effectiveness and competitiveness of the markets, the stability and independence of the monetary system, and the openness and freedom of global trade are all measured by these indicators. Based on these ten characteristics, the Index calculates a composite score for each nation that measures the degree of economic freedom present there.
learn more about economic freedom here:
https://brainly.com/question/28126222
#SPJ4
Suppose you can earn 1% per month on $1 invested today.
What is the APR? 1(12) = 12%
How much are you effectively earning
Suppose you can earn 1% per month on $1 invested today. The APR is 12% and the effectively earning is 12.68%.
How to find the Annual percentage rate and the effective earning?Annual percentage rate (APR):
Annual percentage rate (APR) = 1% × (12 months)
Annual percentage rate (APR) = 12%
Effective earning
Face Value (FV) = 1 (1+.01)^12
Face Value (FV) = 1 (1.01)^12
Face Value (FV) = 1.1268
Rate = (1.1268 - 1) / 1
Rate = .1268 × 100
Rate = 12.68%
Therefore the APR is 12% and the effectively earning is 12.6825.
Learn more about APR here:https://brainly.com/question/2772156
#SPJ1
According to the box "Reaching Beyond Our Borders, Tesla was able to do the impossible feat of
Multiple Choice
opening up a new auto plant in China in under 18 months.
sending the first U.S. citizen to the moon.
building an electric bicycle that can be recharged on solar power.
building over 1 million vehicles each year.
Answer: Based on the information provided in the box “Reaching Beyond Our Borders,” the correct answer would be option A: opening up a new auto plant in China in under 18 months.
In the indicated time, Tesla indeed managed to complete the incredible achievement of opening a new auto manufacturing plant in China in under 18 months, a testament to their commitment to advancing the use of renewable energy and marking a significant expansion in their global presence.
Explanation:According to the box 'Reaching Beyond Our Borders', Tesla was able to accomplish the seemingly impossible feat of opening up a new auto plant in China in under 18 months. This accomplishment was striking as it signified a significant leap towards promoting sustainable energy on a global level, given Tesla's primary focus on electric vehicles. Meanwhile the options of - sending the first U.S. citizen to the moon, building an electric bicycle that can be recharged on solar power, and building over 1 million vehicles each year - do not correctly match the facts reportedly associated with Tesla's activities within the given timeframe.
Learn more about Tesla here:
https://brainly.com/question/33326451
#SPJ2
Assume that you are a new analyst hired to evaluate the capital budgeting projects of the company which is considering investing in two CPEC projects, “Expansion Zone North” and “Expansion Zone East”. The initial cost of each project is Rs. 10,000. Company discount all projects based on WACC. Further, all the projects are equally risky projects and the company uses only debt and common equity for financing these projects. It can borrow unlimited amounts at an interest rate of rd 10% as long as it finances at its target capital structure, which calls for 50% debt and 50% common equity. The dividend for next period is $2.0, its expected that they will grow at the constant growth rate of 8%, and the company’s common stock sells for $20. The tax rate is 50%. The cash flows of both the projects are given in table below: Time Expansion Zone North Cashflows (amount in Rs.) Expansion Zone East Cashflows (amount in Rs.) 0 - 10,000 - 10,000 1 6,500 3,500 2 3,000 3,500 3 3,000 3,500 4 1,000 3,500 Carefully analyze the above table and answer the following questions in detail. I. Calculate the weighted average cost of capital for this firm? (2.5 marks) II. Compute each project’s IRR, NPV, payback, MIRR, and discounted payback. (2.5 Marks) III. Which project(s) should be accepted if they are mutually exclusive? Explain (1.5 Marks) IV. Which project(s) should be accepted if they are independent? Explain (1.5 Marks)
Answer:
Assume that you are a new analyst hired to evaluate the capital budgeting projects of the company which is considering investing in two CPEC projects, “Expansion Zone North” and “Expansion Zone East”. The initial cost of each project is Rs. 10,000. Company discount all projects based on WACC. Further, all the projects are equally risky projects and the company uses only debt and common equity for financing these projects. It can borrow unlimited amounts at an interest rate of rd 10% as long as it finances at its target capital structure, which calls for 50% debt and 50% common equity. The dividend for next period is $2.0, its expected that they will grow at the constant growth rate of 8%, and the company’s common stock sells for $20. The tax rate is 50%.
Answer:
Explanation:
Assume that you are a new analyst hired to evaluate the capital budgeting projects of the company which is considering investing in two CPEC projects, “Expansion Zone North” and “Expansion Zone East”. The initial cost of each project is Rs. 10,000. Company discount all projects based on WACC. Further, all the projects are equally risky projects and the company uses only debt and common equity for financing these projects. It can borrow unlimited amounts at an interest rate of rd 10% as long as it finances at its target capital structure, which calls for 50% debt and 50% common equity. The dividend for next period is $2.0, its expected that they will grow at the constant growth rate of 8%, and the company’s common stock sells for $20. The tax rate is 50%. The cash flows of both the projects are given in table below: Time Expansion Zone North Cashflows (amount in Rs.) Expansion Zone East Cashflows (amount in Rs.) 0 - 10,000 - 10,000 1 6,500 3,500 2 3,000 3,500 3 3,000 3,500 4 1,000 3,500 Carefully analyze the above table and answer the following questions in detail. I. Calculate the weighted average cost of capital for this firm? (2.5 marks) II. Compute each project’s IRR, NPV, payback, MIRR, and discounted payback. (2.5 Marks) III. Which project(s) should be accepted if they are mutually exclusive? Explain (1.5 Marks) IV. Which project(s) should be accepted if they are independent? Explain (1.5 Marks)
#14 Diagnosis reference numbers are entered on the CMS-1500 claim to:
a. report mortality data
b. justify medical necessity
c. analyze quality of services provided
d. report morbidity data
Answer:
analyse quality of service provided .
Explanation:
The Diagonsis reference number is useful thingIt is used to determine the importance of service provided and the relationship with providers. It starts from primary diagnosisOption C
The number of taxicabs in Motorville and the taxicab fares are regulated. The fare currently charged is Rs.500 a ride. Motorville taxicab drivers want to obtain government's permission to raise the fare to increase their revenues and ask you to be their economic adviser. After studying the market, you come up with the following demand schedule for taxicab rides:
Price (Rupees per ride) Quantity demanded (rides per month)
300 160
400 120
500 80
600 40
700 0
(i) Calculate the price elasticity of demand for taxicab rides as the fare rises from Rs.500 to Rs.600. Is the demand price elastic or inelastic for this fare rise? (2 Marks)
(ii) What happens to the taxicab drivers' total revenue if the fare rises from Rs.500 to Rs.600? How can you use your answers in part “a” to answer this question? Should the drivers try to obtain permission to raise the fare? (2 Marks)
(iii) Calculate the price elasticity of demand for taxicab rides as the fare falls from Rs.500 to Rs.400. Is the demand price elastic or inelastic for this fare decrease?
Answer:
The answer is below
Explanation:
i) The price elasticity of demand is given by the formula:
\(Price \ elasticity\ of \ demand=\frac{\Delta Q}{\Delta P} =\frac{\frac{Q_2-Q_1}{(Q_2+Q_1)/2} }{\frac{P_2-P_1}{(P_2+P_1)/2} } \\\\Price \ elasticity\ of \ demand=\frac{\frac{40-80}{(40+80)/2} }{\frac{600-500}{(600+500)/2} }=\frac{-2/3}{2/11} =3.667 (ignore \ the\ sign)\)
Since the price elasticity of demand is greater than 1 hence it is elastic
ii) Since the price elasticity of demand is elastic as a result of increase in fare, hence the total revenue would decrease.
iii)
\(Price \ elasticity\ of \ demand=\frac{\Delta Q}{\Delta P} =\frac{\frac{Q_2-Q_1}{(Q_2+Q_1)/2} }{\frac{P_2-P_1}{(P_2+P_1)/2} } \\\\Price \ elasticity\ of \ demand=\frac{\frac{120-80}{(120+80)/2} }{\frac{400-500}{(400+500)/2} }=\frac{0.4}{-2/9} =1.8 (ignore \ the\ sign)\)
Since the price elasticity of demand is greater than 1 hence it is elastic
Help!!!! Does your supervisor seem comfortable coming to you to discuss problems or ideas ? Provide some examples
Explanation:
It's basically asking if your caretaker (parents, guardian, etc.) is comfortable asking you personal problems or questions.
The Timberlake-Jackson Wardrobe Co. has 10.5 percent coupon bonds on the market with nine years left to maturity. The bonds make annual payments and have a par value of $1,000. If the bonds currently sell for $1,142.49, what is the YTM
Answer:
bébete la pastilla Randy jariel
All infrastructure is underground.
A. True
B. False
All infrastructure is underground. This is a false statement because infrastructure can not be underground.
What is Infrastructure?Roads, communications, transportation hubs, businesses, bridges, dams, power, medical facilities, and educational institutions make up the infrastructure.
Infrastructure is referred to as the fundamental physical framework of an organization, region, or country. It frequently pertains to the creation of public goods or industrial activities. Transportation, communication, sewage, water, and educational infrastructure are a few examples.
The two primary categories of infrastructure investments are as follows: Social infrastructure consists of institutions including hospitals, affordable housing, and schools. Infrastructure for the economy, including power, sewage, water, airports, and highways.
Therefore, The statement is false.
Learn more about Infrastructure, here;
https://brainly.com/question/14527131
#SPJ2
Blank and blank is another word for networking