The increased ability to share real-time market information helped to align supply and demand, leading to more efficient pricing decisions and reduced price volatility.
The introduction of cellphones among fishermen brought about significant changes in the fish market. Prior to cellphones, fishermen had limited means of communication, relying mostly on personal interactions or sporadic updates. This lack of timely information often led to inefficiencies in the market, as fishermen may have had difficulty gauging market demand and adjusting their catch accordingly.
With cellphones, fishermen gained the ability to communicate more efficiently and share information about market conditions, such as pricing trends, supply and demand dynamics, and buyer preferences. This improved communication allowed fishermen to make more informed decisions about when and where to fish, optimizing their catch and aligning it with market needs.
The increased coordination and information flow among fishermen led to more stable prices in the fish market. Fishermen could adjust their fishing activities based on the real-time information received through cellphones, ensuring a more consistent and appropriate supply of fish.
Learn more about demand here:
https://brainly.com/question/33250356
#SPJ11
What does this mean
“MY LONG-TERM CAREER GOAL TODAY IS TO BECOME A”
Explanation:
what this means is it is asking what kind of job or career you want to be. an example is :
i want my career to be a doctor.
so basically this is just a fancy word for job.
an example of a personal skill is
Answer:
Well, Personal skills refer to the inner abilities. Examples of personal skills include the ability to communicate with others, Leadership skills, or Management skills.
what are the two general areas of specialization in accounting?
Answer:
Financial Accounting. Financial accounting is an area of accounting that deals with the recording, classifying, reporting and interpreting of a business financial performance and economic conditions to interested users ...
Managerial Accounting. Managerial Accounting is an area of accounting that deals with accumulation of financial information and preparation of reports for internal users only, like the company’s management or ...
Cost Accounting. Cost Accounting is an area of accounting that captures and accumulates manufacturing or production costs for internal use of an entity’s management, used in decision making purpose.
Explanation:
You purchased a share of stock for $12. One year later, you received $0.50 as a dividend and sold the share for $13.25. What was your holding-period return?
The Holding-period return equals 14.58%.
What is the Holding-period return?This refers to the total return that is earned on an investment during the time that it has been held.
Holding-period return = ($0.50 + $13.25 - $12) / $12
Holding-period return = $1.75 / $12
Holding-period return = 0.145833333
Holding-period return = 14.58%
Therefore, the Holding-period return equals 14.58%.
Read more about Holding-period return
brainly.com/question/20383546
#SPJ1
What is location analysis
Answer:
Location analysis is a technique for discovering, assessing and specifying the optimal placement of an organization's people, information, activities, and materials.Location models are key in performing location analysis by providing a well-documented common vision of current and desired location arrangements.
Suppose that the market portfolio is equally likely to increase by 24% or decrease by 8%. Security "X" goes up on average by 29% when the market goes up and goes down by 11% when the market goes down. Security "Y" goes down on average by 16% when the market goes up and goes up by 16% when the market goes down. Security "Z" goes up on average by 4% when the market goes up and goes up by 4% when the market goes down. The expected return on security with a beta of 0.8 is closest to: 3.2% 6.4% 0.0% 7.2%
Answer:
The expected return on security with a beta of 0.8 is closest to 7.2%.
Explanation:
This can be determined as follows:
Since the return of security Z remains at 4% despite the change in the market, security Z is the risk-free asset.
Note that a risk free asset is an asset which its returns does not change with change in the market.
Using the Capital Asset Pricing Model (CAPM) formula, we have:
Er = Rf + (B * MPR) ............................................ (1)
Where;
ER = Expected return = ?
Rf = Risk-free rate = Rate of return of security z = 4%
B = Beta = 0.8
MPR = Market risk premium = Expected return on the market rate - Risk-free rate
Expected return on the market rate = (50% * 24%) + (50% *(-8%)) = 8%
Therefore, we have:
MPR = 8% - 4% = 4%
Substituting the values into equation (1), we have
Er = 4% + (0.8 * 4%)
Er = 0.072, or 7.2%
Therefore, the expected return on security with a beta of 0.8 is closest to 7.2%.
many countries grant preferential tariff treatment to select countries to help those countries' economic development. for example, the united states grants preferential tariff treatment to:
The US grants preferential tariff treatment to Haiti and many sub-Saharan African nations.
What is preferential tariff treatment?
A lower rate of customs duty results from preferential tariff treatment. For goods that were first produced in a nation with whom the EU has a preferential tariff agreement, preferential tariff treatment is available.
If you receive preferential treatment, you will either pay a lower than typical customs tax rate or no customs charge at all for the items. For products transported from a nation with whom the EU has a preferential tariff agreement, preferential tariff treatment is available. Additionally, the products must be produced in the nation from where they are shipped in the outset. Read the terms for receiving special treatment for products depending on their country of origin. Please be aware that despite receiving special status for the items, value added tax is always due.
To learn more about preferential tariff treatment from the given link
https://brainly.com/question/14553977
#SPJ4
many countries grant preferential tariff treatment to select countries to help those countries' economic development. for example, the united states grants preferential tariff treatment to:
A portion of the stockholders equity section from the balance sheet of Walland Corporation appears as follows: Assume that all the stock was issued on January 1 and that no dividends were paid during the first two years of operation. During the third year, Walland Corporation paid total cash dividends of $736,000. Compute the amount of cash dividends paid during the third year to each of the three classes of stock. Compute the dividends paid per share during the third year of each of the three classes of stock. What was the average issue price of each type of preferred stock?
A. The computation of the cash dividends paid during the 3rd year to each of the three classes of stock is as follows:
Cumulative Dividends: $540,000Non-Cumulative Dividends: $96,000Common Stock: $100,000.B. The computation of the dividends paid per share during the 3rd year for each of the 3 classes of stock is as follows:
Cumulative Dividends- Per Share: $13.50Non-Cumulative Dividends- Per Share: $12.00Common Stock- Per Share: $0.25.C. The average issue price of each type of preferred stock is as follows:
Cumulative preferred stock: $50Non-cumulative preferred stock: $100.How the dividends are computed:Total cash dividends paid = $736,000
9% Cumulative = $540,000 ($2,000,000 x 9% x 3 years)
12% Non-cumulative = $96,000 ($800,000 x 12%)
Common Stock = $100,000 ($736,000 - $540,000 - $96,000)
Dividends per share:9% Cumulative = $13.50 ($540,000 ÷ 40,000)
12% Non-cumulative = $12.00 ($96,000 ÷ 8,000)
Common Stock = $0.25 ($100,000 ÷ 400,000)
Learn more about dividend payments at https://brainly.com/question/2960815
#SPJ1
Question Completion:Preferred stock, 9% cumulative, $50 par, 40,000 shares authorized, issued, and outstanding- $2,000,000
Preferred stock, 12% non-cumulative, $100 par, 8,000 shares authorized, issued, and outstanding- $800,000
Common Stock, $5 par, 400,000 shares authorized, issued & outstanding- $2,000,000
Total paid-in capital- $4,800,000
QUESTION 9
Donald is a college student who has $4,000 in savings that he earned from his summer job. He plans to
leave the $4,000 in a 6 percent certificate of deposit (CD) for three years. How much will Donald have in
the CD at the end of the three years?
Where are the highly visible areas located in retail stores? (check all the correct answers) A. End of aisle B. Back of the store C. Store entrances D. Near checkout counter
The exceptionally noticeable regions are situated in retail locations at is End of the aisle. store passageways are exceptionally noticeable regions situated in retail stores to catch the client's eye. hence option (A) is correct.
A brick-and-mortar store is a spot a business sells products face to face. From conventional unattached physical stores to shopping center space. even slight contrasts in the area can essentially affect a piece of the pie and benefit.
A retailer needs to take the area choice, based on three viewpoints: Determination of a city. Determination of an area or sort of area inside a city. Distinguishing proof of a particular site.
Learn more about retail stores:
https://brainly.com/question/2804318
#SPJ4
WILL BE MARKED BRAILIEST!!
3.A company sees that sales of its speakers have decreased over the past
120 days. Its most likely option is to first
design a market research plan
visit some stores selling the product
stop production of the product
lower prices and see what happens
Answer:
They company goes out of business?
Explanation:
list three implications of competitiveness and collaboration for this global company as portrayed in the scenario, providing supporting details in the notes.
Competitive and collaboration implications mainly involve:
involving or determined by rivalryagainst commercial rivals, the quality of the product should be high and the price must be low.having to do with or being marked by a competitive urge.The increase in corporate cooperation significantly affects competition. Contrary to popular belief, teamwork may foster rivalry. Most businesses collaborate for offensive goals rather than defensive ones. Instead of monopolizing markets and driving up prices, they want to experiment and learn. Working together with a rival can give you access to data, analytics, trends, and fresh resources that are advantageous to both parties. Together, we can find new sales prospects, encourage cross-selling, and plan marketing campaigns.
https://brainly.com/question/13142116
#SPJ4
A company is a devout follower of Confucian ethics. Hence, it hires people who live by similar principles. What is most likely to be a characteristic of this company?
The most likely characteristic of this company, which is a devout follower of Confucian ethics is : not blind loyalty
What is loyalty?Loyalty is the act of choosing one company's products and services consistently over their competitors. It means that one would stick to a company's product no matter what is being offered by others.
Here, the company is not blind by loyalty because it has a principle. The principle is that whosoever live by their principle will be hired irrespective of whether they are loyal to the company or not.
Hence, the most likely characteristic of this company, which is a devout follower of Confucian ethics is not blind loyalty.
Learn more about loyalty here: https://brainly.com/question/25707409
What organizational & technical failures led to the data breach
at Equifax? (Please put where you got your sources from, thank
you!)
The organizational and technical failures that led to the Equifax data breach in 2017 have been extensively discussed and investigated. Sources such as the U.S. House of Representatives Committee on Oversight and Government Reform Report highlight the key failures.
These include the company's failure to patch a known vulnerability in a timely manner, inadequate security practices such as weak passwords and lack of encryption, poor communication and response to the breach, insufficient monitoring and detection systems, and issues with executive leadership and governance.
These failures collectively allowed hackers to exploit vulnerabilities, gain unauthorized access to sensitive data, and compromised the personal information of millions of individuals.
Learn more about Representatives Committee
https://brainly.com/question/16497550
#SPJ11
The field of economics that focuses on decision making by individuals, businesses, industries, and governments is called microeconomics. macroeconomics. bargaining theory. decision science.
The field of economics that focuses on decision making by individuals, businesses, industries, and governments is called microeconomics. The correct answer is option a.
Microeconomics examines the behavior of economic agents at a smaller scale, such as consumers, firms, and markets. It analyzes how these actors make choices regarding the allocation of limited resources and the production and consumption of goods and services.
Microeconomics also explores topics such as supply and demand, market equilibrium, pricing, market structures, and individual decision making under conditions of scarcity.
In contrast, macroeconomics deals with the overall performance and behavior of the economy as a whole, including aspects like inflation, unemployment, economic growth, and fiscal and monetary policies.
The correct answer is option a.
To know more about microeconomics refer to-
https://brainly.com/question/28489802
#SPJ11
Complete Question
The field of economics that focuses on decision making by individuals, businesses, industries, and governments is called
a. microeconomics.
b. macroeconomics.
c. bargaining theory.
d. decision science.
Question 1 of 10
To use an outline for writing a formal business document, what should you do
after entering your bottom-line statement?
A. Enter each major point from the outline on a separate line.
B. Move the bottom-line statement to the end of the document.
C. Write a topic sentence for every detail.
D. Enter each supporting detail from the outline on a separate line.
SUBMIT
on july 1, 2000, the owners, bob, rachel, and steve invested a total of $100,000 in return for a total of 10,000 shares of $2 par value common stock, which began the abc pizza store (the company).
On july 1, 2000, the owners, bob, rachel, and steve invested a total of $100,000 in return for a total of 10,000 shares of $2 par value common stock, which began the abc pizza store (the company).
By collectively investing $100,000, the owners injected capital into the ABC Pizza Store, providing the necessary funds to establish and operate the business. In return for their investment, they received ownership in the form of shares of common stock. These shares represent their proportional ownership stakes in the company.
The issuance of shares signifies the ownership structure of the ABC Pizza Store. Each owner's investment amount and the number of shares received determine their ownership percentage and influence their decision-making authority and entitlement to company profits.
This initial investment served as the primary source of funding for the company's early-stage operations, such as acquiring equipment, securing premises, hiring staff, and covering initial expenses. It allowed the ABC Pizza Store to commence its business activities and begin serving customers.
To learn more about stock
https://brainly.com/question/26128641
#SPJ11
hi guys um so i need help with ur mom lol hahahaha
Country Q has experienced a rapid increase in its unemployment rate and a sharp decline in its GDP. What might policymakers do in the face of these economic indicators?
A) encourage a decrease in purchasing until employment figures increase
B) try to trade with other nations to increase production and create new jobs
C) increase taxes so the government has more money to spend
D) implement controls on wages, forcing employers to pay higher wages
The Answer is:: B) try to trade with other nations to increase production and create new jobs
Answer:
B). Try to trade with other nations to increase production and create new jobs.
Explanation:
Country Q has encountered a brisk fall in its rate of unemployment and as a consequence, a sharp downturn in its GDP. In such a situation, the most significant action to go on would be to 'create new job opportunities' and that can be done by making efforts to encourage trade with other nations which will help in increasing production and more production would generate job opportunities and increase GDP automatically. The increased trade will increase productivity and assist in bringing the economy back on track. Thus, option B is the correct answer.
Answer:
b
Explanation:
How do you account for the failure to follow up de soto, coronado, and cabrillo expeditions?
Answer:
Please find the answer in the explanation below.
Explanation:
Coronado led an expedition along the Mexican border into Arizona. On getting there, Zuni pueblos did not want to be controlled by anyone ans that led Coronado's men to raid the village for food. Pueblos don't fight or tell Spanish that the wealth is farther along the way.
De Soto on the other hand tried to settle in Florida and the surrounding areas but the expedition progresses to Carolinas and Georgia where a creek Indian village sends a woman to give De Soto clothes, pearls and love. The woman later escapes from De Soto.
Also, Cabrillo goes on to investigates Pacific Coast and eventually reaches San Diego Bay. They originally wanted to find Gold and China (They found neither)--Faith in lands beyond Mexico is gone
Cheers
Most purchases fail to perform at least a cursory financial analysis of prospective suppliers.
true or false
The given statement, "Most purchases fail to perform at least a cursory financial analysis of prospective suppliers," is true.
Purchasing refers to the process of buying goods or services to satisfy the requirements of the organization.
It involves evaluating and selecting suppliers to achieve the goals of the organization.
It is crucial to evaluate prospective suppliers financially because it helps in making informed decisions and reduces financial risk.
However, according to research, most purchases fail to perform a cursory financial analysis of prospective suppliers.
This puts the organization at risk of dealing with suppliers who may not meet the financial needs of the organization.
The lack of financial evaluation may cause an increase in the cost of goods or services, quality problems, delivery issues, and legal problems.
Therefore, it is vital to perform financial analysis to minimize risks and ensure successful purchases.
In conclusion, it is true that most purchases fail to perform at least a cursory financial analysis of prospective suppliers. It is essential to perform financial analysis to minimize risks and ensure successful purchases.
To know more about organization visit:
https://brainly.com/question/12825206
#SPJ11
ABC Company's sales are $100,000, fixed costs are $50,000, and variable costs are $30,000. ABC Company's contribution margin and operating income are __________ and __________ respectively.
$50,000; $20,000
$20,000; $70,000
$70,000; $50,000
$70,000; $20,000
To calculate the contribution margin, we need to subtract the variable costs from the sales:
Contribution Margin = Sales - Variable Costs
Contribution Margin = $100,000 - $30,000
Contribution Margin = $70,000To calculate the operating income, we need to subtract the fixed costs from the contribution margin:Operating Income = Contribution Margin - Fixed Costs
Operating Income = $70,000 - $50,000
Operating Income = $20,000 Therefore, ABC Company's contribution margin is $70,000 and its operating income is $20,000. The correct answer is $70,000; $20,000.
Learn more about calculate here:
https://brainly.com/question/30781060
#SPJ11
If a monopolist sells 100 units at $8 per unit and realizes an average total cost of $4 per unit, what is the monopolist's profit
The monopolist's profit is $400 if they sell 100 units at $8 per unit and realizes an average total cost of $4 per unit.
This is easy to analyze since we can quickly recognize everything we need to identify before calculating the profit.
We have:
Price Per Unit = $8Units Sold = 100Total Cost Per Unit = $4Let's compute the profit by subtracting the product of price per unit and the units sold and the product of total cost per unit and units sold.
Here's the formula and calculation:
Price Per Unit x Units Sold
- Total Cost Per Unit x Unit Sold
= Profit of the Monopolist
$8 x 100
- $4 x 100
= Profit
$800
- $400
= $400
Therefore, the profit of the monopolist is $400!
What does a monopolist earn if price is above average total cost? Read it here: https://brainly.com/question/28064770
#SPJ4
When the business cycle has hit its peak and is about to enter a period of sustained economic contraction and the possibility of a sever recession, to maximize gains the prescient investor should not:_______.
When the business cycle has hit its peak and is about to enter a period of sustained economic contraction and the possibility of a severe recession, to maximize gains the prescient investor should not borrow money to buy real assets. Thus, option A is correct.
What is a recession?In the case of recession, the market is considered as a downward movement. That also means that the GDP is being affected and the unemployment rates as well as consumer spending that slow.
As in the business cycle, the person has been trying an attaining a business acquisition or property then the person should not borrow money to buy it as the company is going to enter a market that is going into recession and the market flow will be low, and it will create various consequences for the business. Therefore, option A is the correct option.
Learn more about recession, here:
https://brainly.com/question/14735206
#SPJ4
The question is incomplete, the complete question will be:
Borrow money to buy real assets. Buy nominal assets such as bonds.
O Lend money.
O Hold cash.
In of the marketing planning process, marketing managers decide which markets to target and develop the marketing mix strategies to support how they want to position the product in the market?
Yes, that is correct. The step you are referring to is called market targeting and involves evaluating different market segments and selecting which ones to target with marketing efforts.
Once the target market is selected, marketing managers develop a marketing mix, which includes the four Ps (product, price, promotion, and place), to create a product offering that will appeal to the target market and differentiate it from competitors. Market targeting is an important step in the marketing planning process that involves evaluating different market segments and selecting which ones to target with marketing efforts. Once the target market is selected, marketing managers develop a marketing mix, which includes product, price, promotion, and place, to create a product offering that will appeal to the target market and differentiate it from competitors.
By targeting a specific market segment, a company can focus its resources and efforts on the customers who are most likely to be interested in its products or services. Developing a marketing mix that is tailored to the target market's needs and preferences can increase the effectiveness of marketing efforts and lead to greater customer satisfaction and loyalty.
Learn more about segments here:
https://brainly.com/question/30694240
#SPJ11
Vendors submit invoices prior to receiving purchase orders from companies.
True
False
Answer:
False
Explanation:
Only after the purchase was approved
What acronym describes the set of accounting principles that includes the economic entity assumption?
GAAP (generally accepted accounting principles) is a set of financial reporting accounting rules and standards that are widely followed. The abbreviation is pronounced gap.
What is GAAP?GAAP, or generally accepted accounting principles, are standards that cover the particulars, complexities, and legalities of business and corporate accounting.
The Financial Accounting Standards Board (FASB) bases its comprehensive set of approved accounting methods and practices on GAAP.
GAAP aims to standardize the classifications, assumptions, and procedures used in accounting across industries in the United States.
The goal is to provide clear, consistent, and comparable financial information on organizations.
GAAP (generally accepted accounting principles) is a set of widely followed financial reporting accounting rules and standards. Gap is pronounced as an abbreviation.
Thus, this is the acronym that describes the set of accounting principles that includes the economic entity assumption.
For more details regarding GAAP, visit:
https://brainly.com/question/20599005
#SPJ1
allocated common costs are blank avoidable and/or relevant to a decision. multiple choice question. always sometimes
Allocated common costs are sometimes relevant to a decision
Cost allocation is the process by which organizations and people determine the expenses incurred by an activity and allocate them to the proper accounts. This makes it easier to decide how much money should be allocated to various company segments.
Various costs must be taken into account while allocating costs. They consist of:
1. fixed prices- No matter how many units of the production have been created or sold, these costs are constant.
2. variable expenses - These costs, which include the raw materials used to create products, are based on the volume of production or sales during a specific time period
To learn more about cost allocation click here:
https://brainly.com/question/15937115
#SPJ4
Question 7 of 10
Which of the following is a tax-advantaged savings plan designed to
encourage savings for future college costs?
A. University plan
B. 529 plan
C. Scholarship plan
D. 592 plan
Answer:
It is the 529 plan to save money for college.
Explanation:
In September, you made a profit of $5,456,963 with expenses of $2,456,654. What was your total revenue?
The total revenue when the profit and expenses are given so it should be considered as the $7,913,617.
Calculation of the total revenue:We know that
Profit is $5,456,963
And, expenses is $2,456,654
We know that
Profit = Revenue - Expenses
$5,456,963 = Revenue - $2,456,654
So, the revenue is
= $5,456,963 + $2,456,654
= $7,913,617
Hence, The total revenue when the profit and expenses are given so it should be considererd as the $7,913,617.
Learn more about an expense here: https://brainly.com/question/25847378