The majority of people consider net profit to be the monetary profit generated by a business. It represents the company's net profit after all costs. Earnings is another name for it.
You might be wondering, "What constitutes a decent profit margin?"In general, a 10% net profit margin is regarded as typical, a 20% margin as high (or "excellent"), and a 5% margin as low. However, a decent margin will differ significantly per industry.
1) price of a stock at expiration Call option strike price is lower at 67.89, -55.00.
Less: 4.50 for the call premium.
Profit per share 8.39 x Shares outstanding = 11*100
1,100
9,229 dollars in total profit
2) The call is worthless if the stock price is $53.84, hence the dollar return is $ -4950 (4.5*1100).
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Full Question = You purchase 11 call option contracts with a strike price of $55 and a premium of $4.50. Assume the stock price at expiration is $67.89.
1. What is your dollar profit? (Do not round intermediate calculations. Omit the "$" sign in your response.)
Dollar profit $
2. What if the stock price is $53.84? (Negative amount should be indicated by a minus sign. Do not round intermediate calculations. Omit the "$" sign in your response.)
a state government borrows $2,000,000 at simple annual interest. some of the money is borrowed at 6%, some at 7.5%, and some at 8.5%. use a system of linear equations to determine how much (in dollars) is borrowed at each rate given that the total annual interest is $141,250 and the amount borrowed at 7.5% is four times the amount borrowed at 8.5%. solve the system of linear equations using matrices. at 6% $ at 7.5% $ at 8.5% $
If the total annual interest is $141,250 and the amount borrowed at 7.5% is four times the amount borrowed at 8.5%. amount borrowed at 6% is $750,000, at 7.5% is $1,000,000 at 8.5% is $250,000.
Amount borrowedLet the amount borrowed at 8.5% be x.
at 8.5% = x
at 7.5% = 4x
at 6% = 2,000,000 - 5x
0.085x + 0.075(4x) + 0.06(2,000,000-5x) = 141,250
0.085x + 0.30x + 120,000 - 0.30x = 141,250
Collect like terms
0.085x = 21,250
Divide both side by 0.085
x = 21,250 / 0.085
x = 250,000
So the museum borrowed:
At 8.5% = 250,000
At 7.5% = 250×4 = 1,000,000
At 6% = 2,000,000 - 5(250,000) = 750,000
Check:
Total borrowed
250,000 + 1,000,000 + 750,000 = 2,000,000
Interest paid:
0.085(250,000) + 0.075(1,000,000) + 0.06(750,000) = 141,250
21,250 + 75,000 + 45,000 = 141,250
Therefore the at 6% is $750,000, at 7.5% is $1,000,000 and at 8.5% is $250,000.
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In general, a flatter demand curve is more likely to be a. price elastic. b. price inelastic. c. unit price elastic. d. none of the above
A flatter demand curve results from price elasticity. People will switch to something else if the price goes up a little. A ratio of % changes in quantity and price represents the elasticity, keep in mind.
Is the demand curve going up or down?The relationship between a commodity's price and demand is explained by the law of demand. The demand curve is the most crucial instrument for illuminating this relationship. As a result of the inverse relationship between price and demand, this curve is always downward sloping.
The demand curve slopes downward for what reason?The reason why the demand curve slopes downward is because people purchase more goods at cheaper prices. As a result, the demand curve slopes downward due to the inverse relationship between price and quantity demanded.
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despite its vivid design, the website for lolly's bookstore does not attract customers. in fact, most website visitors leave the site just moments after clicking on it. which measure does the owner need to address?
The measure that the owner needs to address is bounce rates and they are the metric that the owner must address.
Despite its eye-catching design, the website for Lolly's Bookstore did not appear to entice people to stay. In fact, the majority of website visitors left before making a purchase. Bounce rates are the metric that the owner must address.
The percentage of visitors that leave a webpage without performing an action, such as clicking on a link, filling out a form, or making a purchase, is referred to as the bounce rate. The bounce rate is significant for three reasons: Someone who bounces from your site clearly did not convert.
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If there is gravity where the International Space Station (ISS) is located above Earth, why doesn't the space station get pulled back down to Earth? р Edit View Insert Format Tools Table 12pt Paragraph B I U A BVT² V DV C QUI !!! To 田く √x + 0 words 5 pts ⠀⠀
Even though it can seem like there is no gravity in space, the International Space Station (ISS) is nonetheless subject to the effects of gravity. The ISS's orbital speed prevents it from being dragged back down to Earth.
The ISS is perpetually falling around the Earth, giving the astronauts on board the experience of weightlessness. The ISS is kept in a stable orbit by the gravitational attraction between the Earth and it, which counteracts the centrifugal force brought on by its speed and distance from the planet's surface. This complex balance permits the ISS to fall towards the Earth constantly while simultaneously keeping it moving sideways quickly enough to keep missing the target. and continues to orbit the planet. In essence, the ISS maintains its location in space by continuously falling yet also missing the Earth.
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which of these managerial actions is a concurrent mechanism that should deter employee theft
One of the concurrent mechanisms that should deter employee theft is implementing strong internal controls.
What are internal controls?Internal controls are procedures and policies put in place by management to safeguard company assets and prevent fraudulent activity.
These controls can include segregation of duties, regular audits, and monitoring employee behavior.
By having a system of checks and balances, employees are less likely to attempt theft as the risk of getting caught is high. Additionally, management can use incentives and promotions to reward employees who exhibit ethical behavior and report suspicious activity.
This can create a culture of honesty and integrity within the organization, further deterring employee theft.
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Which of these terms means "paying to communicate with potential clients about your company"? A. Customer support. B. Marketing. C. Advertising. D. Community outreach.
Marketing means "paying to communicate with potential clients about your company." The correct answer is option B.
Marketing is the action of selling a product or service. Marketing refers to all of the activities that a company does to increase customer demand for a product or service. This includes advertising, selling, and promoting. Businesses must constantly advertise their products to increase sales, attract new customers, and increase brand awareness. In a nutshell, marketing entails promoting a product or service to consumers.
Marketing is a significant aspect of any business because it helps in expanding the customer base and increasing profits. A company's success depends on how well they can market their products or services. To be effective, marketing must be well-targeted, relevant, and appealing to the target market. A company that markets its goods and services well has a better chance of gaining loyal customers and expanding its reach.
Marketing can take many forms, including advertising, direct marketing, public relations, and online marketing. Marketing activities must be aligned with a company's overall marketing strategy. A well-planned and executed marketing strategy can help businesses achieve their goals.
A strategy will assist you in identifying your target market and how best to communicate with them. In short, marketing is a set of strategies aimed at promoting products or services to consumers through various channels such as advertising, sales promotion, public relations, and direct marketing. Marketing is an essential part of any business, and it helps businesses reach new heights.
Hence, option B is the right choice.
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FIN200 CORPORATE FINANCIAL
MANAGEMENT
Why CAPM equation might be more relevant than other equations
when calculating the required rate of return.
The CAPM equation, or Capital Asset Pricing Model equation, is often considered more relevant than other equations when calculating the required rate of return. It takes into account the risk and return relationship of an investment and provides a systematic approach to estimating the expected return.
The CAPM equation, developed by William Sharpe, is widely used in finance for determining the required rate of return on an investment. It is considered more relevant than other equations for several reasons.
Firstly, the CAPM equation incorporates the concept of systematic risk, which is the risk associated with the overall market. It considers the relationship between the expected return of an investment and its sensitivity to market movements, as measured by beta. By including systematic risk, the CAPM equation captures the risk that cannot be diversified away and reflects the market's perception of the investment's riskiness.
Secondly, the CAPM equation provides a systematic framework for estimating the required rate of return. It takes into account the risk-free rate of return, the market risk premium, and the beta of the investment. This equation allows for a consistent and standardized approach to evaluating the return expectations of different investments.
Furthermore, the CAPM equation has been widely accepted and used in both academic and professional settings. Its popularity is due to its simplicity and intuitive appeal. While other equations may exist for estimating required rates of return, they often lack the same level of acceptance and empirical support as the CAPM equation.
Overall, the CAPM equation's consideration of systematic risk, its systematic framework for estimating required rates of return, and its widespread acceptance make it a more relevant tool than other equations when calculating the required rate of return. However, it is important to note that the CAPM has its limitations and assumptions, and alternative models and approaches should also be considered depending on the specific context and characteristics of the investment being analyzed.
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A bond has 10 years remaining to maturity. The annual coupon rate of the bond is 8 percent. The bond makes annual coupon payments. The next coupon payment occurs one year from today. The par value (or face value) of the bond is $1,000. If the annual yield to maturity (or the required rate of return) on the bond is 6 percent, find the current bond price (or bond value).
The current bond price (or bond value) is $1,075.66.
To calculate the current bond price (or bond value), we can use the present value formula, which discounts the future cash flows of the bond back to the present.
In this case, the bond has a 10-year maturity and an annual coupon rate of 8 percent. The bond makes annual coupon payments, and the next coupon payment occurs one year from today. The par value (or face value) of the bond is $1,000.
Given that the annual yield to maturity (required rate of return) on the bond is 6 percent, we can use the following formula to calculate the current bond price:
Bond Price = (Coupon Payment / (1 + Yield to Maturity)^1) + (Coupon Payment / (1 + Yield to Maturity)^2) + ... + (Coupon Payment + Par Value / (1 + Yield to Maturity)^n)
Where:
Coupon Payment = Annual coupon rate * Par Value
Yield to Maturity = Annual yield to maturity (required rate of return)
n = Number of years remaining to maturity
Plugging in the values:
Coupon Payment = 0.08 * $1,000 = $80
Yield to Maturity = 0.06
n = 10
Bond Price = ($80 / (1 + 0.06)^1) + ($80 / (1 + 0.06)^2) + ... + ($80 + $1,000 / (1 + 0.06)^10) = $1,075.66.
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TRUE OR FALSE. one method to decrease peak demand on the grid is to charge higher rates during times of high demand.
True. One method to decrease peak demand on the grid is to charge higher rates during times of high demand.
By implementing time-of-use pricing or peak-demand pricing, utility companies can incentivize consumers to shift their electricity usage away from peak hours. Higher rates during times of high demand encourage consumers to reduce their consumption or shift it to off-peak hours when electricity is less expensive. This approach helps to balance the load on the grid, reducing strain during peak times and potentially avoiding the need for additional infrastructure investments.
Charging higher rates during peak demand can also promote energy conservation and efficiency, as consumers become more aware of their electricity usage and make efforts to reduce it during expensive periods. This pricing strategy aligns economic incentives with the goal of reducing peak demand and optimizing the overall efficiency of the electrical grid.
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The buyer must pay the seller $245,000 at closing. For the buyer, the amount of $245,000 is a
A. cloud.
B. debit.
C. credit.
D. receivable.
The buyer must pay the seller $245,000 at closing. For the buyer, the amount of $245,000 is a B. debit.
In accounting, a debit represents an increase in an asset or an expense and a decrease in a liability or equity. In this case, the buyer owes $245,000 to the seller, which creates a liability for the buyer. Since a liability is a type of account that is increased by debits, the amount of $245,000 is considered a debit for the buyer.
When the buyer pays the seller the $245,000 at closing, it will result in a decrease in the buyer's liability. The transaction will be recorded by debiting the appropriate liability account and crediting the cash or bank account from which the payment is made. This reflects the transfer of funds from the buyer to the seller, reducing the buyer's financial obligation and completing the transaction.
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QUESTION 2 of 10: Medicare is a government program funded by tax dollars to:
a) Provide health insurance to children
b) Provide health insurance to working adults
c) Provide hospital insurance for those over 65
M. Pravese the bsse-case, warth-case, snd best-tase calculatons for the eime to complete the project. b. Uve the random rumber 0.9718,0.239,0.9717 and 0.9355 ts simylate the complecon fime of the project an weks. c. Dicass ham simuiatide could be used to entimate the probabity that the project can be completed in acekv of less. of eimei werks and under can be ited ta eitimate the piobabi ty that than praject wel be comaleted within wekis. A project has four activities (A,B,C, and D ) that must be performed sequentially. The probability distributions for the time required to complete each of the activities are as follows: a. Provide the base-case, worst-case, and best-case calculations for the time to complete the project. b. Use the random numbers 0.9718,0.2399,0.9717 and 0.9355 to simulate the completion time of the project in weeks. c. Discuss how simulation could be ùsed to estimate the probability that the project can be completed in weeks or less. Simulation provides a distribution of project completion times. The of times weeks and under can be used to estimate the probability that the project will be completed within weeks.
a) Base-case, worst-case, and best-case calculations for the time to complete the project are given in the table below. Activity Base-case (days) Worst-case (days) Best-case (days) A1110B68C47D22. The base-case is the normal time that is expected to complete the project when everything goes according to plan, and there are no surprises or disruptions.
The worst-case, on the other hand, refers to the maximum time required to complete the project if everything goes wrong, and every task takes longer than usual. Similarly, the best-case is the minimum time required to complete the project, assuming that every task is completed as soon as possible.
b) To simulate the completion time of the project, we first need to determine the duration of each task. To achieve this, we can use random numbers and the probability distributions given in the table below. Activity Probability distribution (days )A Uniform (10, 12) B Triangular (6, 8, 10)C Triangular (4, 6, 8)D Exponential (1/22). To simulate a random number from a uniform distribution, we can use the following formula: RN = a + (b - a) * R Where RN is the random number, R is the uniform random variable between 0 and 1, a is the minimum value, and b is the maximum value.
Using this formula, we can generate random numbers for Activity A as follows: Activity A Random numbers (days)1st10.632nd11.413rd11.78To simulate a random number from a triangular distribution, we can use the following formula: RN = a + (b - a) * ((M - a) / (c - a))^(1/2)or R N = b - (b - a) * ((c - M) / (c - a))^(1/2)where RN is the random number, a is the minimum value, b is the maximum value, c is the mode, and M is the mean. Using this formula, we can generate random numbers for Activity B and C as follows: Activity B Random numbers (days)1st8.902nd7.103rd6.46Activity C Random numbers (days)1st6.362nd5.683rd4.88 To simulate a random number from an exponential distribution, we can use the following formula: RN = -ln(R) / λwhere RN is the random number, R is the uniform random variable between 0 and 1, and λ is the rate parameter.
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What is a low risk investment?
A low risk investment is an investment that has a relatively low probability of losing value.
What is low risk investment ?Low risk investments tend to offer lower potential returns in exchange for a reduced likelihood of losing money. Examples of low risk investments include:
Savings accounts and certificates of deposit (CDs) at banks and credit unions: These are generally considered very low risk investments, as they are insured by the Federal Deposit Insurance Corporation (FDIC) or the National Credit Union Administration (NCUA). However, they also tend to offer low returns in the form of interest.Money market funds: These are mutual funds that invest in very short-term, high-quality debt instruments such as government bonds and commercial paper. Money market funds are generally considered low risk, but they also offer relatively low returns.To learn more about low risk investment refer :
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Making sure that data collected on customer trends is organized is one way technology can help a business.
True
False
Answer:
True
Explanation:
I would say this statement in TRUE. Here is my reasoning: Data collection is information learned by a business. For example: If you are a moving company and you paid for a TV commercial. Wouldn't you like to know how many people are calling you for moves based on that commercial? Of course. So asking your customers "where did you hear about us?" and hearing "The TV commercial" can identify that not only is your commercial working but that it is paying for itself with the business coming your way. Data collected is a GREAT way to run a business successfully.
Examples of Cost of Resources with an explanation. Will give brainliest
Answer:
A cost resource might represent an expense that you have during the life cycle of the project(s) that has a variation in rate each time it is used. Two good examples are Hotels and Flights
Explanation:
Which of the following statements is true about
education and lifetime earnings?
There is no relationship between the level of
education received and lifetime earnings.
Generally, the less education you receive the higher
your lifetime earnings will be.
Generally, the more education you receive, the
lower your lifetime earnings will be.
Generally, the more education you receive, the
higher your lifetime earnings will be.
The truth exists about education and lifetime earnings is the fact that the the more education you receive, the higher your lifetime earnings will be.
Education and lifetime earnings have a sort of positive relationship given that the more years a person spends in school trying to attain degrees, the more earning they are to receive later.
This can be seen in the sense that a woman with a high school degree would not earn the same amount with a woman that has a masters degree in the work force.
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Answer: The more education (4th answer)
Explanation: I just took the test :P
can you deduct vehicle registration fees on federal taxesA. True
B. False
It is False. We can't deduct vehicle registration fees on federal taxes Option B
Vehicle registration fees are not deductible on federal taxes, except in certain specific cases where the fee is based on the vehicle's value and is considered a personal property tax. In such cases, the registration fee may be deductible as an itemized deduction on Schedule A of your tax return.
However, starting in 2018, the Tax Cuts and Jobs Act (TCJA) limits the total amount of state and local taxes (including personal property taxes) that you can deduct on your federal tax return to $10,000 per year ($5,000 for married taxpayers filing separately).
In summary, vehicle registration fees are generally not deductible on federal taxes unless they qualify as a personal property tax and are within the limits set by the TCJA. It's always best to consult with a tax professional or use tax preparation software to ensure that you are accurately reporting your deductions.
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To estimate the purchase potential of business customers, a marketer must find a relationship between a variable available in industrial classification data, such as number of employees, and the size of _______.a. potential customers' salesb. potential customers' purchasesc. potential customersd. current customers' salese. potential customers' products
Option b is correct. To measure a business buyer's likelihood of purchase, marketers need to establish relationships between variables available in industry classification data such as: Number of employees and size of potential customer purchases.
A person or business that purchases goods or services from another business is called a customer. Consumers are important to businesses because they generate income. Without them, they would cease to exist.
No matter what industry you are in or what services or products you offer, your customers are the most important aspect of your business. There are no sales without customers. Therefore, it is important when crafting marketing strategies and messages.
Buyers of industrial equipment are most likely to use sampling as a purchasing method. Fed Bid is an online reverse auction site for government agencies. A reverse auction is initiated by buyers who invite companies to bid against each other to provide specified goods or services.
A target market is a specific group of people with common characteristics to whom a company sells its products or services. Companies use target markets to fully understand their potential customers and develop marketing strategies that help them achieve their business and marketing goals.
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Brightstone Tire and Rubber Company has capacity to produce 196,000 tires. Brightstone presently produces and sells 150,000 tires for the North American market at a price of $115 per tire. Brightstone is evaluating a special order from a European automobile company, Euro Motors. Euro is offering to buy 23,000 tires for $94. 15 per tire. Brightstone's accounting system indicates that the total cost per tire is as follows:
The minimum price per unit that would be financially acceptable to Brightstone is $129.37.
To determine the minimum price per unit that would be financially acceptable to Brightstone, we need to calculate the incremental cost of producing and selling the additional 23,000 tires.
The direct material cost per tire is $56, the direct labor cost is $22, and the factory overhead cost is $25, of which $15 is variable (60% of $25). The total variable cost per tire is therefore $103 ($56 + $22 + $25 - $15).
The selling and administrative expenses per tire are $26, of which $11.70 is variable (45% of $26). Therefore, the total variable cost per tire including selling and administrative expenses is $114.70 ($103 + $11.70).
Adding the shipping cost per tire of $7.50 and the certification cost of $165,000 divided by 23,000 units or $7.17 per tire, the total incremental cost per tire is $129.37 ($114.70 + $7.50 + $7.17).
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Complete question is:
Brightstone Tire and Rubber Company has capacity to produce 196,000 tires. Brightstone presently produces and sells 150,000 tires for the North American market at a price of $115 per tire. Brightstone is evaluating a special order from a European automobile company, Euro Motors. Euro is offering to buy 23,000 tires for $94. 15 per tire. Brightstone's accounting system indicates that the total cost per tire is as follows:
Direct materials $56
Direct labor 22
Factory overhead (60% variable) 25
Selling and administrative expenses (45% variable) 26
Total $129
Brightstone pays a selling commission equal to 5% of the selling price on North American orders, which is included in the variable portion of the selling and administrative expenses. However, this special order would not have a sales commission. If the order was accepted, the tires would be shipped overseas for an additional shipping cost of $7.50 per tire. In addition, Euro has made the order conditional on receiving European safety certification. Brightstone estimates that this certification would cost $165,000.
What is minimum price per unit that would be financially acceptable to Brightstone?
(25 marks) b. How is stock market liquidity defined and what factors determine whether a market for a particular stock is likely to be liquid? Building on your description of the factors that influence liquidity, do you expect it to be fairly stable across time? [Write no more than 8 sentences.] (25 marks) c. Give a brief overview of the evidence for and against the Capital As- set Pricing model. Refer explicitly to published work on this topic. Given this evidence, what is your view on the value of the CAPM to investors, risk managers and others? [Write no more than 8 sentences.] (25 marks) d. Give a concise and intuitive explanation which explains why modern finance theory emphasises covariances between returns when dis- cussing the measurement of risk faced by investors rather than variances of returns. Give examples to illustrate your arguments. [Write no more than 8 sentences.] (25 marks)
b. Stock market liquidity refers to the ease with which investors can buy or sell securities without significantly impacting the market price.
Factors that determine whether a market for a particular stock is likely to be liquid include trading volume, bid-ask spreads, transaction costs, market depth, and market volatility. Higher trading volumes, narrower bid-ask spreads, lower transaction costs, deeper markets, and lower volatility are all indicative of greater liquidity. Liquidity can fluctuate over time, influenced by changes in market conditions, company-specific news, and other factors. However, certain stocks and markets are generally more liquid than others.
c. The Capital Asset Pricing Model (CAPM) attempts to explain the relationship between risk and expected returns. Evidence for the CAPM includes studies that find a positive correlation between a stock's beta (systematic risk) and its returns. However, some studies have found that the model's assumptions do not hold in real-world conditions, leading to mixed results. While the CAPM can be a useful tool for investors and risk managers, it should not be relied upon solely, and other factors such as company-specific risk and market conditions should also be considered.
d. Modern finance theory emphasizes covariances between returns when discussing the measurement of risk faced by investors because it takes into account the interdependence of assets in a portfolio. A portfolio of assets with low covariances will generally have lower risk than a portfolio of assets with high covariances, even if both have similar variances. For example, a portfolio with stocks from different industries is likely to have lower covariances and lower risk than a portfolio with stocks only from one industry. By considering covariances, investors can construct portfolios that balance risk and return more effectively.
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In a perfectly competitive​ market, if one seller chooses to charge a price for its good that is slightly higher than the market​ price, then it will
In a perfectly competitive market, if one seller chooses to charge a price for its good that is slightly higher than the market price, then it will lose all or almost all of its customers
What is a perfectly competitive market?A hypothetical market system is referred to as perfect competition. There are no monopolies under a scenario of perfect competition. A few essential traits of this type of structure include:
All businesses sell the same thing (the product is a commodity or homogeneous).Every company is a price taker (they cannot influence the market price of their products).Price changes are unaffected by market share.Buyers have complete or perfect knowledge of the product being offered and the prices each company is asking (in the past, present, and future).Labor and capital resources are completely mobile.Companies are not charged to enter or leave the market.To learn more about perfectly competitive market with the given link
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Which of the following is NOT affected by marketing?
A. The locations you shop
B. The items you purchase
C. The product regulations
D. The use of the products
Answer:
D, The use of products.
The use of the products is not affected by marketing. Thus, option D is appropriate.
Marketing describes the actions a business takes to encourage the purchase or sale of a good or service. Advertising, selling, and delivering goods to customers or other firms are all included in marketing. Affiliates perform some marketing on behalf of businesses.
Marketing is the procedure of discovering, developing, and providing value to satisfy a target market's needs in terms of products and services, which may also involve choosing a target audience. The process of developing, communicating, delivering, and trading offerings that are valuable to customers, clients, partners, and society at large collectively is known as marketing.
Thus, option D is correct.
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you have decided that you want to attend a costume party as your favorite marvel character. you estimate that it will cost $60 to assemble your costume. after spending $60 on the costume, you realize that the additional pieces you need will cost you $35 more. the marginal cost of completing the costume is .
The marginal cost of completing the costume is $35.
The difference in overall production costs caused by creating or producing one more unit is known as the marginal cost.
We have given in the question,
Estimate cost = $60
Spending on costume = $60
Additional pieces cost = $35
To find out the marginal cost of completing the costume is:
We know where we consume $60 and we spent that all then $35 need more
So here we can say that marginal cost is the cost added for getting an additional unit of product or service.
And the last products demanded costs = $35
Therefore, it is the marginal cost i.e $35.
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How is savings represented on the loanable funds graphic?.
The loanable funds graphic is a visual representation of the money available for lending and borrowing. It shows the relationship between the supply of loanable funds and the demand for those funds.
Savings is represented on the loanable funds graphic as the supply of loanable funds. This is because savings is money that is available to be loaned out or invested. When people save money, they are adding to the pool of loanable funds that is available to others. This increases the supply of loanable funds, which is shown as a shift to the right of the supply curve on the loanable funds graphic. This, in turn, leads to a decrease in the interest rate and an increase in the quantity of loanable funds demanded.
In summary, savings is represented as an increase in the supply of loanable funds on the loanable funds graphic.
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Tickets to a fundraiser are $14 if purchased ahead of time and $25 if purchased at the door. The total amount raised from all ticket sales was $625. If eleven tickets were purchased at the door, how many tickets were purchased ahead of time?.
is it ethical or unethical to cheat on your taxes? Explain why or why not
Answer:
it would be unethical to do that because you are breaking the law
Answer:
It would be unethical.
Explanation:
coconutoil2217 is correct, it would be unethical to cheat on your taxes.
suppose provo city officials determine that renters often impose negative externalities on neighboring home owners, and implement the efficient command and control restriction on numbers of renters. but then the home owners themselves protest, feeling that the rule set a bad precedent. this would be an example of government failure due to
This would be an illustration of a government failure brought on by choice limitations.
This would be an illustration of a government failure brought on by choice limitations. An externality is a cost or benefit a producer generates but does not personally bear or receive. An externality can be both positive and negative and might emerge from the production or consumption of a good or service. Natural environmental externalities, such those related to public health or natural resources, are the normal. An example of a negative externality is a company that produces pollution that decreases locals' property values or health. An activity that reduces the transmission of illness or refrains from using lawn fertilizers that wash into rivers and encourage overgrowth of plants in lakes is said to have a positive externality.
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Suppose you are the owner of a small t-shirt printing business. While conducting a cost analysis of your business you find out that at current production levels, your average total costs (ATC) are $10. You also know that if you increase production by one more unit the marginal cost of that unit will be $5. Since you are taking a course in economics this semester, you also know that if you produce another t-shirt:a) the marginal costs of production will increase
b) the marginal costs of production will decrease
c) the average total costs of production will increase
d) the average total costs of production will decrease
When the owner of a small t-shirt printing business produces another t-shirt, the average total costs of production will decrease. The correct option is d) the average total costs of production will decrease.
The average total cost (ATC) is the total cost of production divided by the quantity of goods produced in a given period. ATC is the sum of all costs divided by the total number of units of output. It comprises fixed and variable costs of production. Marginal cost (MC) is the cost of producing one more unit of a good. It is calculated by subtracting the total cost of producing one level of output from the total cost of producing one more unit.
Marginal cost (MC) is the change in total cost as a result of producing one additional unit of output .What happens to ATC and MC When production levels increase, the marginal cost of production decreases up to a certain point, and the average total cost of production decreases.
Marginal cost, on the other hand, starts to rise when production levels continue to rise beyond that point. After that point, the cost per unit increases as a result of the marginal cost of producing one more unit increasing. When production is at its maximum point, the marginal cost will equal the average total cost of production (ATC).
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What are some benefits of using computers for accounting purposes?.
9 Advantages to Using Computerised Accounting Systems
Automation. To make sure that all calculations are correct and accurate it is important to use something other than pen and paper. ...
Data Access. ...
Accuracy. ...
Reliability. ...
Speed. ...
Security. ...
Scalable. ...
Visuals.
severely affecting the health of miners, workers and surrounding communities.
Mining operations can have detrimental effects on the well-being of miners, workers, and communities living in close proximity.
The process of mining can result in environmental contamination through the release of harmful substances such as heavy metals and chemicals, which can contaminate water sources and pose health risks to nearby communities. Additionally, the dust, noise, and vibrations produced during mining activities can lead to respiratory issues, hearing loss, and other health complications for both workers and residents in the vicinity. Furthermore, the use of heavy machinery and explosives increases the potential for accidents and injuries among workers and nearby communities. To mitigate these risks and safeguard human health and the environment, it is imperative to enforce stringent regulations and implement robust safety measures in mining operations.As a result, implementing stringent regulations and safety protocols becomes imperative in order to mitigate these risks effectively and safeguard the well-being of individuals and the environment.
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