It is easier to sustain tacit collusion in an infinitely repeated game if

there are many players.

the interest rate is higher.

the present value of cheating is lower than collusion and the interest rate is higher.

the present value of cheating is lower than collusion.

Answers

Answer 1

It is easier to sustain tacit collusion in an infinitely repeated game if the present value of cheating is lower than collision. Thus the correct otpion is D.

When an organization takes steps that are intended to reduce the reaction of another company, this is known as tacit collusion. The collaboration includes when two organizations decide to use a specific approach without officially agreeing to it.

The outcomes generated by collaboration include lower surpluses for customers, higher prices, and more profits for the enterprises who collaborated. It might give oligopolists the ability to utilize monopoly power.

Therefore, option D is appropriate.

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Related Questions

Which of the following is true about an opportunity​ niche? A. Opportunity niches are a myth because all customer needs are fulfilled by someone in the marketplace. There are no opportunity niches to be found. B. Customer demand for the good or service is​low, leading to lower prices. C. A need or want a customer has is currently going underserved or unserved. D. Large companies often serve all customer​ needs, leading to little opportunity for entrepreneurs to start new businesses. E. The marketplace for the desired good or service is saturated with​ competition, making it difficult to serve customers.

Answers

C. A need or want a customer has is currently going underserved or unserved.

An opportunity niche refers to a specific segment of the market where a need or want of customers is currently underserved or unserved. In such niches, there is a gap between the existing supply and the customer demand, presenting an opportunity for entrepreneurs to fulfill those unmet needs and create a successful business. These niches exist despite the presence of competition in the broader marketplace. By identifying and targeting these underserved areas, entrepreneurs can provide unique solutions, differentiate themselves from competitors, and potentially gain a competitive advantage. Opportunity niches are not a myth; they represent untapped potential for entrepreneurs to address customer needs and establish successful ventures.

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finds loads and dispatches truck to pick them up are called

Answers

Answer:

What is a freight truck?

A freight truck transports things from one place to another. The truck's body is built around a strong chassis and a powerful engine to easily carry heavier loads. Usually, they transport cargo between warehouses, factories, wholesalers, and retailers.

Explanation:

What is a freight truck?

A freight truck transports things from one place to another. The truck's body is built around a strong chassis and a powerful engine to easily carry heavier loads. Usually, they transport cargo between warehouses, factories, wholesalers, and retailers.

Why is the housing market not a perfectly competitive market

Answers

Firstly, in a perfectly competitive market, all the products are homogeneous, meaning they are all identical. this is clearly untrue in the housing market as houses are not all the same, they vary in size, location, quality and many other areas.

Answer:

houses are essential. a need doesn't fall in perfect competition conditions.

The process of adaptive leadership incorporates ideas from which perspectives? - history, health, psychotherapy, and service orientation - business, economics, systems, and psychology - systems, biological, service orientation, and psychotherapy
- biological, health, psychology, and culture

Answers

It also requires an understanding of the economic and business factors that can impact organizational performance.

What is Psychotherapy?

Psychotherapy is a form of talk therapy that involves a trained mental health professional working with an individual, couple, or group to address psychological issues, improve mental health, and promote personal growth.

The process of adaptive leadership incorporates ideas from the following perspectives: business, economics, systems, and psychology. Adaptive leadership is a leadership framework that involves the ability to adapt and respond to changing circumstances, which requires understanding the systems and contexts in which organizations operate, as well as the psychological and behavioral aspects of individuals and groups within those systems.

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April is worried that she is not a "good speller," so she plans to let the spelling
checker correct all her mistakes. What would be the most helpful advice for
April?

Answers

She can try reading stories, correct her mistakes on her own and then check to see how she has done, she can study Riggs too.

The organization, distribution, balance, and general relationship of actors and objects within the space of each shot is called ________.

Answers

It should be noted that organization, distribution, balance, and general relationship of actors that exists in space of each shot is called Composition.

What is Composition?

Composition serves as the coming together of organization as well as balance in a specific space.

This usually help to bring a good relationship between the elements of the organization and aid corporation.

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What is a disadvantage of using a checking account instead of other types of
accounts?
A. You will likely not have federal protection for your money.
B. You will pay a fee if you make too many transactions.
C. You will generally not receive interest.
D. You will pay a penalty if you withdraw your money.

Answers

B. You will pay fee if you make to many transactions.

Answer:

you will generally not receive interest

Explanation:

took the quiz

What were W. Edwards Deming’s theoretical contributions to the development of Six Sigma and lean manufacturing, and how could these principles be deployed in your place of employment?

Answers

W. Edwards Deming made significant theoretical contributions to the development of Six Sigma and lean manufacturing through his management and quality improvement principles. Two of his key contributions are the Deming Cycle (Plan-Do-Check-Act) and his 14 Points for Management.

The Deming Cycle (Plan-Do-Check-Act):

Deming's Deming Cycle, also known as the PDCA cycle, emphasizes continuous improvement. It involves four steps: planning, implementing, evaluating, and taking corrective actions. This cycle aligns with the core principles of Six Sigma and lean manufacturing, as it promotes systematic problem-solving, data-driven decision-making, and ongoing improvement.

Deming's 14 Points for Management:

Deming's 14 Points provide guidelines for effective management and quality improvement. These principles include creating constancy of purpose, adopting the new philosophy, cease dependence on inspection, and ensuring continuous improvement of processes. They emphasize the importance of a customer-centric approach, employee involvement, and a focus on long-term success.

Deployment in the workplace:

In deploying Deming's principles in a workplace, such as a manufacturing or service organization, the following strategies can be implemented:

1. Embrace a culture of continuous improvement: Create a work environment that encourages employees to identify and solve problems, innovate, and contribute to process improvement initiatives.

2. Establish clear goals and objectives: Align organizational objectives with customer needs and expectations. Set measurable goals that drive improvement efforts.

3. Apply data-driven decision-making: Collect and analyze relevant data to identify areas for improvement, measure performance, and track progress towards goals.

4. Foster employee involvement and empowerment: Involve employees at all levels in improvement projects. Encourage their active participation, provide training, and empower them to make decisions that enhance quality and efficiency.

5. Implement process standardization and documentation: Document processes and establish standardized work procedures to promote consistency, reduce variability, and minimize errors.

6. Promote supplier collaboration: Build strong relationships with suppliers, focus on long-term partnerships, and work together to improve quality, reduce costs, and streamline supply chain processes.

7. Encourage a learning culture: Emphasize the importance of learning, sharing knowledge, and promoting professional development. Provide training on quality tools and methodologies to enhance employees' problem-solving skills.

By incorporating these principles, organizations can drive continuous improvement, enhance customer satisfaction, reduce waste, increase efficiency, and achieve higher levels of quality and performance.

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Sheffield Company’s standard materials cost per unit of output is $8.20 (2.00 pounds x $4.10). During July, the company purchases and uses 2,700 pounds of materials costing $14,580 in making 1,500 units of finished product.
Compute the total, price, and quantity materials variances.

Answers

The total materials variance for Sheffield Company in July was $2,280 unfavorable, comprising a price variance of $3,780 unfavorable and a quantity variance of $1,500 favorable.

Sheffield Company experienced materials variances in July. The standard materials cost per unit of output is $8.20, calculated as 2.00 pounds multiplied by $4.10. During the month, the company purchased and utilized 2,700 pounds of materials, costing $14,580, to produce 1,500 units of finished products.

The total materials variance can be calculated by comparing the actual cost of materials used to the standard cost. In this case, the actual cost of materials is $14,580, while the standard cost should have been $12,300 (1,500 units x $8.20). The total materials variance is $2,280 unfavorable.

To break down the variance further, the price variance measures the difference between the actual price paid for materials and the standard price. The actual price is $14,580, while the standard price would have been $10,800 (2,700 pounds x $4.10). Therefore, the price variance is $3,780 unfavorable.

The quantity variance, on the other hand, assesses the difference between the actual quantity of materials used and the standard quantity. The actual quantity used is 2,700 pounds, while the standard quantity should have been 3,000 pounds (1,500 units x 2.00 pounds). Hence, the quantity variance is $1,500 favorable.

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Step 3: Now, let’s identify the factors that affect the Business Environment
As big as our economy is, it is still sensitive to changing dynamics that affect its performance and vitality. Consider these factors and how they impact business. CHOOSE JUST THREE FACTORS TO GIVE AN EXAMPLE FOR BELOW.

Economic: Jobs, interest rates & inflation are some of the forces that affect supply and demand, which determines how prices and quantities of goods and services perform in our economy.
Political/Legal: The stability of a government, and the types of laws it passes affects businesses profitability and investment
Demographic: Businesses have to consider their market’s age, gender, race, ethnicity and location.
Social: Attitudes, values, ethics, and lifestyles—influence what, how, where, and when people purchase products or services. They are difficult to predict, define, and measure because they can be very subjective.
Competition: Competition causes business to develop new products, services and technologies, and offer consumers greater selection and better products. The greater the selection of a good is in the market, prices are typically lower for the products,Global: Immigration/Refugees, political factors, tariffs, climate events and competition.
Technology: The use of science and engineering skills can be used to solve production and organizational problems. New equipment and software that improve productivity and reduce costs can be among a company’s most valuable assets.

Step 4: Choose THREE factors from the above list, and give an example of how you see this work in the economy:
(Name Factor here): (Example here of where you have seen this factor demonstrated).
(Name Factor here): (Example here of where you have seen this factor demonstrated).
(Name of factor here): (Example here of where you have seen this factor demonstrated).

(Example: Political/Legal: The Federal Reserve System)

Do you need more help understanding this topic? Read the linked article below.
Understanding the Business Environment (Link to Article)https://opentextbc.ca/businessopenstax/chapter/understanding-the-business-environment/

Answers

Ale jak się okazało w Polsce dniu narty nie skierowane to dniu tym świecie i jest ogóle nie ma problemu z tym że nie ma przecieku co w wszystko jutrzejszym terminie

How do computers convert physical signals into digital data?​

Answers

This is done by connecting a device called a modem to the digital computer. This process of converting a digital signal to an analog signal is known as modulation. On the receiving end, the incoming analog signal is converted back to digital form in a process known as demodulation.

computers convert physical signals into data by connecting a device called a modem to the computer.

Investment 2 Study questions Practice Questions: 1. On January 1, Stacy's portfolio was valued at $96,534. During the year Stacy received $3,285 in interest and $4,100 in dividends. She also sold one stock at a gain of $850. The value of the portfolio on December 31 of the same year was $113,201. At the end of June, Stacy withdrew $5,000 from the portfolio. What is the holding period return for the year? (refer slides for the formula) Sol: 25. 8% 2. Six months ago, Suzanne purchased a stock for $28 a share. Today she sold the stock at a price of $32 a share. During the time she owned the stock, she received a total of $1. 30 in dividends per share. What is her holding period return? Sol: 18. 9% 3. On January 1, Tim's portfolio was valued at $432,098. During the year Tim received $10,563 in interest and $15,060 in dividends. He also sold stock at a net loss of $12,870 and used the proceeds to purchase another stock. Tim did not contribute any more funds nor withdraw any funds during the year. On December 31 of the same year, Tim's portfolio was valued at $398,189. What is the holding period return for the year? Sol: -1. 9%

Answers

The holding period return for Stacy's portfolio for the year is 25.8%. The holding period return for Suzanne's stock is 18.9%.Tim's holding period return for the year is -4.67%, indicating a negative return.

Holding Period Return = [(Ending Value - Beginning Value) + Dividends + Gain] / Beginning Value

In Stacy's case, the beginning value of her portfolio on January 1 was $96,534, and the ending value on December 31 was $113,201. She received $3,285 in interest, $4,100 in dividends, and had a gain of $850 from selling a stock. She also withdrew $5,000 at the end of June.

Holding Period Return = [($113,201 - $96,534 + $3,285 + $4,100 + $850) - $5,000] / $96,534

= ($24,902 + $4,100 + $850 - $5,000) / $96,534

= $24,852 / $96,534

= 0.257 or 25.8%

Therefore, the holding period return for Stacy's portfolio for the year is 25.8%.

Holding Period Return = [(Ending Value - Beginning Value) + Dividends] / Beginning Value

In Suzanne's case, the beginning value of the stock was $28 per share, and the ending value was $32 per share. She received $1.30 in dividends per share.

Holding Period Return = [($32 - $28) + $1.30] / $28

= ($4 + $1.30) / $28

= $5.30 / $28

= 0.189 or 18.9%

Therefore, Suzanne's holding period return for the stock is 18.9%.

In the case of Tim's portfolio, the holding period return for the year is -1.9%.

Tim's portfolio had an initial value of $432,098 on January 1 and a value of $398,189 on December 31. He received $10,563 in interest and $15,060 in dividends. However, he sold stock at a net loss of $12,870 and used the proceeds to purchase another stock. Tim did not contribute any additional funds or make any withdrawals during the year.

Holding Period Return = [(Ending Value - Beginning Value) + Dividends + Gain] / Beginning Value

= [($398,189 - $432,098) + $10,563 + $15,060 + (-$12,870)] / $432,098

= (-$33,909 + $10,563 + $15,060 - $12,870) / $432,098

= -$20,156 / $432,098

= -0.0467 or -4.67%

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On a loan of $32,000 at 7% interest for 6 months, how much do you wind up paying to pay off the loan?.

Answers

The amount to be paid at the end of the loan period will be $33,120. The rate of interest on the loan is given as per annum and hence the interest is to be calculated for 6 months.

Calculation of settlement amount of loan:

Given:

\(\rm Principal &= \$32,000\\\\Rate &= 7\%\:per\:annum\\\\Tenure = 6\:months\)

Interest is calculated from the following formula:

\(\rm Interest = Principal\times Rate \times Tenure\)

Hence the interest for the loan will be:

\(\begin{aligned}\rm Interest &= \$32,000\times 7\% \times 6\: months\\\\&= 32,000 \times \dfrac{7}{100}\times \dfrac{6}{12}\\\\&= \$1,120\end\)

The final payment for the loan will be the combination of principal and interest.

Therefore final payment = $32,000 +$1,120

                                        = $33,120

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Overbooking is a common practice in the hospitality industry. What are the pros and cons of overbooking? Is overbooking ethical?

Answers

Pros: Helps hotel to achieve 100% occupancy, Maximize expected venue, Long term revenue and profit increase, low risk method to increase profitability and Compensation are cheaper than leaving a room empty
Cons: loss of hotel reputation, alternative arrangement for guests might be more expensive, may revive negative review online ,

The purposeful and deliberate act of overbooking runs counter to any acceptable standard of ethical business practice. In addition to the practice being ripe with serious legal, contractual and consumer protection violations, overbooking forces hospitality personnel into making conscious immoral and unethical choices.

what is the amount of taxes paid for 2014 for $65,000 of taxable income for a single person? (rounded to the nearest dollar and no dollar sign $ or comma needed)

Answers

A single person's taxable income of 12,106.

What Is the Marginal Rate for Taxes?

The marginal tax rate is the amount of additional tax that must be paid for each dollar of increased income produced. The total amount of tax paid divided by the total income earned is the average tax rate. With a marginal tax rate of 10%, 10% of every subsequent dollar earned would be taxed.

What is the 2022 marginal tax rate?

Rates at Margin: Individual single taxpayers with incomes greater than $539,900 will continue to pay the highest tax rate, which is 37% for the tax year 2022 (or 647,850 for married couples filing jointly). For incomes over $215,950, the tax rate is 35% or $431,900 for married couples filing jointly.

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how long does it take for tax refund to show in bank account after approved

Answers

Answer:

Assuming no issues, IRS issues tax refunds in less than 21 calendar days after IRS receives the tax return. IRS has an on-line tool, "Where's My Tax Refund", at www.irs.gov that will provide the status of a tax refund using the taxpayer's SSN, filing status, and refund amount.

Explanation:

Which of the following tabs on the Ribbon contains the themes which can be applied to a presentation?
O Home
OInsert
O Design
0 Slide Show

Answers

It is design
Good luck

Answer: Your answer is insert,

Explanation: If you click design, only thing you're able to do is change the font and appearance of your letters, it's basically like   an advanced format setting for text to speech.

a pure functional structure is most appropriate for achieving:

Answers

A pure functional structure is most appropriate for achieving specialization and efficiency while minimizing redundancy and cost. In a pure functional structure, the organization is divided into departments based on specific functions or activities.

Each department has its own set of responsibilities and is headed by a functional manager who reports to the CEO.The pure functional structure is most commonly found in smaller organizations with a narrow focus on specific products or services. It is often used in manufacturing or assembly line production environments where efficiency and cost-effectiveness are critical factors. In this structure, each department is responsible for a specific aspect of the production process, such as design, production, or distribution. This allows each department to specialize in its area of expertise, resulting in greater efficiency and productivity.

As a result, there is less duplication of effort and less chance of conflict between departments. Communication between departments is usually streamlined and efficient. The downside of a pure functional structure is that it can lead to a lack of coordination and collaboration between departments. This can be mitigated by having strong leadership at the top level that emphasizes teamwork and collaboration.

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In a command economy if a consumer wished to make a signal that she did not like the price or the quality of a certain approved of a goods price or quality what sort of signals might you make? would you go to a different store? in Bulgaria or in the soviet union, would a consumer go to a different store?

Answers

No in a command economy, consumer has a limited option to move to a different store

In a command economy, the central authority decides how much is produced, controls the flow of goods, and establishes the prices. Supporters of command economies argue that government control, as opposed to private enterprise, can ensure a just distribution of goods and services. In a free market economy, private enterprises set their own prices and production levels based on market demand. Mobilization of Resources: In a mixed economy, where the government has complete power, it may move swiftly to decide how to use resources, start major initiatives, and make adjustments to advance economic and social goals. No Interruptions: Since the government controls the choices and programs, they cannot be slowed down by private lawsuits.

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1. Bulk breaking is a primary function of a ________.
2. A _______ stores goods on a rental basis.
3. A _____ is like a small manufacturing plant.
4. A storage facility that stores goods for a short period of time is called a ________.
5. A storage facility that assembles products is called a _________.

Answers

One of a wholesaler's key responsibilities is bulk breaking. A public warehouse is a location where products are kept in storage for a brief time.

What use does bulk breaking serve?

Companies can store big amounts of product without having to pay for expensive storage facilities by breaking bulk, which is a straightforward operation. Businesses can reduce their bulk purchases by combining different product sizes, dividing large shipments into smaller lots, or mixing multiple brands in the same lot.

Is breaking bulk a retailing function?

Breaking bulk in this context refers to delivering individual units from distribution centres to retail locations as opposed to the multiple units assembled by manufacturers into "case-packs." The advantages of space management are mostly highlighted at rather than the more evident decrease in inventory costs, at the retail level.

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Which item is important to consider when selecting a
credit card?
Annual Percentage Rate (APR)
Fees
The look of the credit card
th
Both APR and fees

Answers

Answer:

Both APR and fees

Explanation:

The Annual Percentage Rate -APR is the interest rate a customer pays on a credit card per year. Credit cards extend loans to the holder every time they are used. If the credit card user does not pay the full amount on the due date, it attracts interest charges. The higher the APR, the more interest a cardholder will pay. In selecting a credit card provider, APR is the most important factor to consider.

Credit card attracts other fees other the interest. These fees include Balance Transfer Fee, Foreign Transaction Fee, Annual Fee, and Cash Advance Fee. These fees affect the customer's overall cost of using the credit card.  Customers should compare different credit card companies and select one with favorable fees.

office administration.Prepare for filling in order.

office administration.Prepare for filling in order.

Answers

This (office administration) simply means to arrange the above in alphabetical order like this;

An Apple SpotA1 TaxiDriveByFine Foods LtdFirst Caribbean BankMalcolm Stephens & SonsNorth Eastern Funeral AssociationPortsmouth Police StationSt. John's Primary School21 Century Printers.

What is office administration?

Within a company, office administration is a collection of day-to-day operations connected to the upkeep of an office building, financial planning, record keeping and billing, personal development, physical distribution, and logistics.

Finally, administrative abilities are connected to corporate operations and enhancing office productivity. Communication and organizational abilities, as well as project management, bookkeeping, and time management skills, are among them.

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A and B formed a partnership, each contributing non-cash assets into the partnership. Partner A contributed inventory with a current market value in excess of its carrying amount. Partner B contributed fixed asset with a carrying amount in excess of its current market value. At what amount should the partnership record each of the assets contributed?

Answers

Answer:

A and B both are responsible for this result

Each partner has a separate withdrawal account as well as a separate capital account for investments and their respective shares of net income or loss. Hence option A and B is correct .

What are the partnership Account ?

To keep track of the money taken out of the company for personal purposes, a withdrawal account is employed. During the closing procedure, the net gain or loss is added to the capital accounts. During the closing process, the withdrawal account is likewise closed to the capital account.

The partnership determines the net realisable or fair market value of the assets when a partnership is created or a partner is added and contributes assets other than cash.

For instance, the partnership assesses the collectability of the accounts receivable if the Walking Partners company adds a partner who provides equipment and accounts receivable from an already existing business.at their net realisable worth, and records them.

Since the partnership would create its own reserve account, an existing valuation reserve account (often known as an allowance for questionable accounts) would not be transferred to the partnership.

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Congress passes a bill calling for a 5% tax decrease. The president then signs it
a.) the government's monetary policy
b.) government's open. market regulations
c.) the government's tight money policy
d.) the government's fiscal policy

Answers

Answer:

d.) the government's fiscal policy

Explanation:

Fiscal policy is the actions of a government to alter spending and taxation to influence economic direction. This implies that fiscal policy tools are the level of government spending and taxation.

Reducing taxes and government spending increases the money supply in the market.  The government will consider these actions during recessions to stimulate economic growth. Increasing taxes and decreasing spending reduces money circulation in the economy, thereby regulating economic growth.

assume that $1 is equal to ¥98 and also equal to c$1.21. based on this, you could say that c$1 is equal to: c$1(¥98/c$1.21) = ¥80.99. the exchange rate of c$1 = ¥80.99 is referred to as the:

Answers

The exchange rate of c$1 = ¥80.99 is referred to as the cross rate, which is calculated by dividing the exchange rate between two currencies by the exchange rate of a third currency.

In this scenario, the exchange rate between the US dollar (USD) and the Japanese yen (JPY) is given as $1 = ¥98, and the exchange rate between the Canadian dollar (CAD) and the US dollar is given as c$1 = $1.21. To determine the exchange rate between the Canadian dollar and the Japanese yen, we can calculate the cross rate.

The cross rate is calculated by dividing the exchange rate between two currencies by the exchange rate of a third currency. In this case, we divide the exchange rate of ¥98 by c$1.21:

¥98 / c$1.21 = ¥80.99

Therefore, the exchange rate of c$1 = ¥80.99 is the cross rate between the Canadian dollar and the Japanese yen.

Cross rates are useful when direct exchange rates between two currencies are not readily available. By using a common third currency, cross rates allow individuals or businesses to estimate the exchange rate between two currencies indirectly.

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Who won the 2020 super bowl?

Answers

Answer: tom brady

Explanation:

just watch the super bowl

use an optimization model to determine the best course of action for your real estate company, using the following assumptions: you wish to maximize the net present value of profit over the next eight quarters. assume 6% irr, compounding quarterly. (so 1.5% per quarter) in each neighborhood in which they open an office, they will achieve a baseline of 5.5% market penetration, and earn a 5% commission on sales. for every .1% the commission you charge decreases, your market penetration will increase by .15%, (down to a minimum penetration of 4% or a maximum of 6%) you must pay rent and utilities in each office you open each month. determine the average cost per gross square foot of commercial real estate in your neighborhood for the last year (in nyc historical). [when determining this value, you should exclude properties where gross square feet or sale price is unknown.] each month you will pay 1.5% of this for rent and utilities for each square foot of office space you rent. you must rent at least 250 square feet of office space, plus 125 for each employee you hire. you may hire up to 3 employees. each employee you hire costs a yearly salary $65,000 including benefits, and increases your market penetration by .5%. your monthly operating budget is $15,000. you may add other assumption you deem realistic so long you provide the explanation in your report.

Answers

The best course of action for the real estate company is to open offices in neighborhoods with higher market penetration and lower commercial real estate costs, hire up to 3 employees, and set commission rates to achieve maximum net present value of profit over the next 8 quarters while staying within the monthly operating budget of $15,000.

To optimize net present value of profit, the real estate company should analyze market penetration, commission rates, and real estate costs in each neighborhood to determine which locations will yield the highest profit.

The company should also hire up to 3 employees to increase market penetration while staying within the operating budget. The commission rate should be set to maximize profit while also taking into account the relationship between commission rates and market penetration.

The company should aim to rent office space in neighborhoods with low commercial real estate costs and high market penetration, and adjust the office space size to meet the minimum requirements while minimizing costs.

Finally, the company should regularly monitor and adjust its strategy to adapt to changing market conditions.

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Think about the Income Statement: Riverside Enterprises has sales revenue of $613,000 with costs of $479,000. Interest expense is $26,000 and depreciation is $48,000. Riverside's tax rate is 25%. What is the firm's net income

Answers

To calculate Riverside Enterprises' net income, we need to subtract all expenses and taxes from the sales revenue.

First, we need to calculate earnings before interest and taxes (EBIT) by subtracting costs, depreciation, and interest from sales revenue:
EBIT = $613,000 - $479,000 - $48,000 - $26,000 = $60,000 Next, we need to calculate the firm's income tax expense:
Income tax expense = EBIT x tax rate = $60,000 x 0.25 = $15,000
Finally, we can calculate Riverside's net income by subtracting income tax expense from EBIT:
Net income = EBIT - income tax expense = $60,000 - $15,000 = $45,000
Therefore, Riverside Enterprises' net income is $45,000.

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McDonnell-Myer Corporation reported net income of $741 million. The company had 544 million common shares outstanding at January 1 and sold 36 million shares on February 28. As part of an annual share repurchase plan, 6 million shares were retired on April 30 for $47 per share. Calculate McDonnell-Myer's earnings per share for the year. (Do not round intermediate calculations. Round your final answer to 2 decimal places.)

Answers

Answer:

the earning per share is $1.43 per share

Explanation:

The computation of the earning per share is shown below:

= Net income ÷ weighted no of shares

= $741 million ÷ (544 million shares - 36 million × 10 ÷ 12 + 6 million × 8 ÷ 12)

= $741 million ÷ (544 - 30 + 4)

= $1.43 per share

Hence, the earning per share is $1.43 per share

The same should be considered and relevant

79% of employees believe that it is important to have what in the workplace?

Answers

79% of American workers say company culture is an important factor in their job satisfaction. 83% of millennials cite work-life balance as the most important factor when evaluating their future jobs.

Culture is an umbrella term encompassing the social behaviors, establishments and norms of human societies and the expertise, ideals, arts, laws, customs, abilties and customs of people in those groups. subculture regularly originates from or is attributed to a specific area or area.

Way of life can be defined as all of a populace's manner of existence which includes arts, beliefs and establishments which might be passed down from era to era. tradition has been described as “the manner of life of the complete society”.

As such, it consists of codes of conduct, dress, language, religion, rituals, and artwork.

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