Points lying inside the production possibilities curve are attainable but reflect less total output than can be produced.
Production is the process of combining various tangible and intangible inputs to produce something for consumption. It is the act of creating an output, goods, or services that are of value and contribute to an individual's benefit.
Production is the process of making, harvesting, or creating something, or the quantity of something manufactured or harvested. An example of production is the manufacture of furniture. An example of production is harvesting corn for food. An example of production volume is the production volume of corn.
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Sheridan Company took a physical inventory on December 31 and determined that goods costing $225,000 were on hand. Not included in the physical count were $24,200 of goods purchased from Pelzer Corporation, FOB shipping point, and $21,200 of goods sold to Alvarez Company for $29,200, FOB destination. Both the Pelzer purchase and the Alvarez sale were in transit at year-end.
Answer:
$270,400
Explanation:
FOB shipping point: (transfer of risk and reward takes place when the goods are shipped for transfer.
The purchased inventory that was not included are under FOB shipping point, which means that the risks and rewards associated with the inventory has been transferred at the year end. Hence the ownership has been shifted. This means the purchase must be included in the inventory.
FOB destination: The transfer of ownership takes place once the other party receives the order.
As the sold inventory are under FOB destination, which means that the risks and rewards assoiciated with the inventory are not yet transferred. Hence the ownership has not been shifted. This means the sold inventory must be included in the inventory.
Calculation:
Goods on Hand $225,000
Goods Purchased FOB Shipping Point $24,200
Goods Sold on FOB Destination $21,200
Goods on Hand on December 31 $270,400
In most states, which of the following are exceptions to when the statute of frauds would apply?
A.
Admissions, partial performance, and promissory estoppel
B.
Partial performance and admissions, but not promissory estoppel
C.
Promissory estoppel but not admissions or partial performance
D.
Promissory estoppel and partial performance, but not admissions
E.
Admissions but not partial performance or promissory estoppel
A. Admissions, partial performance, and promissory estoppel are exceptions to when the statute of frauds would apply in most states.
The statute of fraud is a law that requires certain contracts to be in writing to be enforceable. However, in most states, there are exceptions to when the statute of fraud would apply. The exceptions include admissions, partial performance, and promissory estoppel. Admissions refer to when one party admits to the existence of an oral contract. Partial performance occurs when one party performs part of the contract.
Promissory estoppel is when one party relies on the promise of the other party and suffers harm as a result. These exceptions allow for oral contracts to be enforceable even if they do not meet the requirements of the statute of fraud. It is important to note that these exceptions may vary by state and it is best to consult with a legal professional for guidance.
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What is institutional advertising focused on promoting?
A. A company
B. The Internet
C. A service
D. A good
Please select the best answer from the choices provided
Answer:
Product advertising focuses on promoting specific individual products while institutional advertising focuses on your overall brand
Answer:
A. A company
Explanation:
Right on EDGE 2021
Can you help me please ⁉️
fx ? =sum(A1:C1) what number should be in E1 ?
10
3
1
8
I Will give it 5 stars
As per the data given in the picture shown fx ? =sum(A1:C1) the number should be in E1 is 8 this is bcz of the sum function which gives the summation of all the values in the given range.
What is Sum Function in excel?The Sum function in excel is used to get the sum of all the values you want in a row or column.
example:
As you need sum of A1 to A5 cell then in A6 cell type =SUM(A1:A5) and in A6 you will get the result after addition of all the values given from A1 to A5.
Hence, As per the data given in the picture shown fx ? =sum(A1:C1) the number should be in E1 is 8 this is bcz of the sum function which gives the summation of all the values in the given range.
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5. Given the model for the Mary Island economy calculate the equilibrium level of income. (2 Points) C= 100+.7YD G = 700 T = 500 1 = 200 6. Calculate the government spending multiplier and the tax multiplier if the MPC is 0.6. 7. Determine the net impact upon the nation's economy that results from equal increases in government spending and taxes of $10 billion when the MPC is.8.
The net nation's economy from equal increases in government spending and taxes of $10 billion when the MPC is 0.8 is an increase in income by $10 billion.
C = 100 + 0.7YD
G = 700
T = 500
I = 200
Using the Keynesian expenditure-income model -
Y = C + I + G + (X - M)
= (100 + 0.7YD) + 200 + 700 + (X - M)
AE = (100 + 0.7YD) + 200 + 700
Y = (100 + 0.7YD) + 200 + 700
Y = 100 + 0.7YD + 200 + 700
Y = 1000 + 0.7YD
Y = 1000 + 0.7(Y - 500) [ disposable income = YD = Y - T, YD = Y - 500]
Y = 1000 + 0.7Y - 350
0.3Y = 650
= 2166.67
Calculating the government spending multiplier -
Mg = 1 / (1 - MPC)
= 1 / (1 - 0.6)
= 1 / 0.4
= 2.5
Calculating the tax multiplier -
Mt = -MPC / (1 - MPC)
= -0.6 / (1 - 0.6)
= -0.6 / 0.4
= -1.5
Calculating the net impact on nation's economy -
ΔY = (Mg x ΔG) + (Mt x ΔT)
= (2.5 x 10) + (-1.5 x 10)
= 25 + (-15)
= 10
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to win over a difficult customer, what should an analyst do?
To win over a difficult customer, an analyst should focus on effective communication, active listening, empathy, problem-solving, and patience.
Firstly, the analyst should establish a professional and friendly rapport with the customer. Active listening plays a key role in understanding the customer's concerns and needs accurately. By asking relevant questions and paraphrasing, the analyst can ensure that they comprehend the issue correctly.
Empathy allows the analyst to connect with the customer on a personal level, showing genuine care and understanding of their situation. This helps in building trust and credibility. When addressing the customer's concerns, the analyst should provide well-reasoned and fact-based solutions, demonstrating their expertise and problem-solving abilities.
Additionally, patience is essential when dealing with difficult customers, as they may require more time and attention to resolve their issues. By remaining calm and composed, the analyst can navigate the conversation effectively, ultimately leading to a positive outcome. In conclusion, combining strong communication skills, active listening, empathy, problem-solving, and patience will help an analyst win over a difficult customer.
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the physical and mental talents people bring to production processes comprise the resource called group of answer choices a) labor. b) natural. c) resources. d)) entrepreneurship. e) capital
The physical and mental talents people bring to production processes are called labor.
Labor is the physical and mental talents that people bring to production processes. It is one of the three factors of production, along with land and capital.
Natural resources are the raw materials that are used in production processes. They are not created by humans, but they are used by humans to create goods and services.
Resources are a general term that refers to all of the inputs that are used in production processes. This includes labor, natural resources, and capital.
Entrepreneurship is the talent for organizing the use of land, labor, and capital to create new businesses.
Capital is the produced goods that are used in production processes. This includes things like machines, tools, and buildings.
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Annoying isn't it. When people purposely answer your question when they know it's completely useless. Kinda like how I specifically told people NOT to answer the questions I asked because I was doing an experiment, and every time I did that, two people purposely answered my question when they were told not to.
People are d. i. c. k. s.
Answer:
wow
Explanation:
I'm gonna type a random answer
HELP!!
Which of these is defined by a general rise in the prices of goods and services
over a specific time?
A. Inflation
B. Recession
C. Disinflation
D. Stagnation
Answer:
A
Explanation:
Inflation is the rate of increase in price over the given time period. When the price of good, energy, fuel, commodities and other good and service rise it will affect the entire economy of any state.
(10) Acme is considering expanding their remote packaging facility. After-tax cash flows (ATCF) for their primary alternative are presented in the table below. If the general price inflation rate (f) is estimated to be 4.3% per year during the 6-year analysis period, what is the real-dollar ATCF that is equivalent to the actual-dollar ATCF on 4th year? The base time period is year zero (b=0). End of Year ATCF (A$) 0 -380,000 70,000 120,000 120,000 180,000 180,000 180,000 1 2 3 4 (a) 108863 (b) 106761 (c) 260761 (d) 152102
We must account for the general price inflation rate (f) across the analysis period in order to determine the real-dollar after-tax cash flow (ATCF) that is equivalent to the actual-dollar ATCF in the fourth year.
First, let's determine the fourth year's cumulative inflation factor (IF): IF = (1 + f)^4 = (1 + 0.043)^4 = 1.184243 The real-dollar equivalent is then calculated by dividing the actual-dollar ATCF in the fourth year by the cumulative inflation factor: Actual-dollar ATCF / IF = Real-dollar ATCF Real-dollar ATCF equals 180,000 / 1.184243 152,102 As a result, the actual-dollar ATCF in the fourth year is about similar to $152,102 in real dollars. The right response is (d) 152,102.
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What information does a lead contain in a news story?
Answer:
1st one
Explanation:
George has a monthly income gross of 3500 and his monthly debt payments are 325 car payments 290 student loan payment 930 mortgage payment and 400 in credit card payment what is the total debt to income ratio rounded to the nearest percent
A standard rule of thumb is to preserve your ordinary debt-to-income ratio at or under 43%.
What debt-to-income ratio is too high?Debt-to-income ratio is your monthly debt obligations compared to your gross month-to-month income (before taxes), expressed as a percentage. A excellent debt-to-income ratio is less than or equal to 36%. Any debt-to-income ratio above 43% is regarded to be too lots debt.
What is the easiest debt-to-income ratio for a mortgage?Ideal debt-to-income ratio for a mortgage
In phrases of your front-end and back-end ratios, lenders normally seem to be for the best front-end ratio to be no greater than 28 percent, and the back-end ratio, together with all month-to-month debts, to be no greater than 36 percent.
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https://brainly.com/question/26258146#SPJ4Risk _____ is the identification, analysis, and evaluation of risk as initial parts of risk management.
Risk protection exists the identification, analysis, and evaluation of risk as initial parts of risk management.
What is Risk protection in risk management?The process of discovering, evaluating, and controlling risks to an organization's resources and profits is known as risk management. These dangers can be caused by a number of things, such as monetary unpredictability, legal responsibilities, technological problems, strategic management blunders, accidents, and natural calamities.
A company cannot specify its long-term goals without a strong risk management strategy. Risk management, arguably one of the most crucial elements of an organization, is what safeguards it against losses and, at the same time, allows it to seize possibilities.
A tried-and-true method for locating and evaluating elements that can adversely affect a project's or company' success is risk analysis. It enables you to evaluate the risks that you or your company face and aids in your decision-making process.
Hence, Risk protection exists the identification, analysis, and evaluation of risk as initial parts of risk management.
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Suppose the equation for Loksha's budget is given as: Budget balance = -380 +0.3Y If its level of income is presently $1,200, and it has a budget deficit $60, how much is its cyclical deficit and how much is its structural deficit? Cyclical deficit: $_____ Structural deficit:$____
The Cyclical deficit is $60, and the Structural deficit is also $60.
As per data,
Budget balance = -380 + 0.3Y
Where;
Y = Income of Loksha, So the level of income for Loksha is presently $1,200. The budget deficit of Loksha is $60.
To determine the Cyclical deficit and Structural deficit,
let's calculate the budget balance using the given income.
Budget balance = -380 + 0.3Y
Budget balance = -380 + 0.3(1200)
Budget balance = -380 + 360
Budget balance = -20.
We can interpret the budget balance of -20 as a surplus of $20.
Since the budget deficit is $60, it implies that the structural deficit equals the budget deficit.
Thus, the cyclical deficit equals the difference between the budget balance and structural deficit.
That is,
Cyclical deficit = Budget balance - Structural deficit
Cyclical deficit = (-20) - (-60)
Cyclical deficit = 60.
The cyclical deficit is $60 and the structural deficit is $60.
Therefore, the Cyclical deficit is $60, and the Structural deficit is also $60.
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If there is always a three-for-one tradeoff between goods X and Y, then the PPF between X and Y is:_______
a. a downward-sloping curve that is bowed outward.
b. a downward-sloping curve that is bowed inward.
c. a downward-sloping straight line.
d. an upward-sloping straight line.
Answer:
c. a downward-sloping straight line.
Explanation:
In case when there is a three for one tradeoff lies between the X goods and Y goods so the curve of PPF should be fall sloping contains straight line. This slope should be downward as it generated more and more of one goods and it could be sacrificed for the other good and the reason of the straight line is that here the opportunity cost would remain the same or constant
Therefore in the given case, the correct option is C.
A straight line, downward - sloping demand curve often mean that, as price falls, there is an elasticity of demand. If there is always a three-for-one tradeoff between goods X and Y, then the PPF between X and Y is a Downward-sloping straight line.
Trade-off is simply known as a situational decision. It is simply the reduction of one quality, quantity, or property so as to get gains in other areas.It is simply known as where one thing increases, another have to decrease. it often arise from limitations of a lot of source.
It is often called a tactical or strategic choice made with full knowledge of the advantages and disadvantages of each decision.
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Select the correct answer.
Apex Bank lent a substantial amount of money to Polytech Inc. After reviewing the financial statements of Polytech, Apex Bank finds some
Inconsistencies. Which body can Apex Bank approach to verify Polytech's financial data?
ОА.
Chartered Financial Analysts
OB.
Financial Accounting Standards Board
ОС.
American Association of Public Accountants
OD
American Institute of Certified Public Accountants
Ο Ε.
Security and Exchange Commission
This is wrong do not use this
Answer:
E. Security and Exchange Commission
Explanation:
I'm not 100% sure but i looked through all of them and that one seems to fit best
Apex Bank lent a substantial amount of money to Polytech Inc. After reviewing the financial statements of Polytech, Apex Bank finds some Inconsistencies. Security and Exchange Commission body can Apex Bank's approach to verifying Polytech's financial data. The correct option is E.
Why does the SEC protect investors?In order to maintain a flexible and effective regulatory environment. Federal securities laws aim to support competitive, fair, and transparent markets that safeguard investors from hidden risk while promoting market access and innovation.
The Securities and Exchange Commission regulates stock exchanges, brokers and dealers in securities, investment advisers, and mutual funds in an effort to encourage ethical business practices, the public disclosure of crucial market information, and the avoidance of fraud.
Thus, the ideal selection is option E.
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a company that uses job order costing purchases $50,000 in raw materials for cash. it then uses $12,000 of raw materials as indirect materials and uses $32,000 of raw materials as direct materials. prepare journal entries to record the (a) purchase of raw materials, (b) use of indirect materials, and (c) use of direct materials.
a. Raw Materials Debit: $50,000Cash Credit: $50,000
b. Manufacturing Overhead Debit: $12,000Raw Materials Credit: $12,000
c. Work-in-Process Debit: $32,000Raw Materials Credit: $32,000The journal entries are a detailed record of the transactions carried out.
Job order costing is a method of accounting where the expenses incurred are recorded separately as they relate to each job. Here's how to prepare journal entries to record the purchase of raw materials, use of indirect materials, and use of direct materials:
(a) Purchase of Raw MaterialsJournal entries for this purchase are as follows:Raw Materials Debit: $50,000Cash Credit: $50,000
(b) Use of Indirect MaterialsJournal entries for this are as follows:Manufacturing Overhead Debit: $12,000Raw Materials Credit: $12,000
(c) Use of Direct MaterialsJournal entries for this are as follows:Work-in-Process Debit: $32,000Raw Materials Credit: $32,000The journal entries are a detailed record of the transactions carried out. They provide a reference to the account department when preparing the financial statements.
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how can foreign employment play a significant role in raising the economic standard of people? (●-●)
Answer:
Answer to the following question is as follows;
Explanation:
Foreign work raises people's living standards and has become a significant source of international money. Foreign employment helps a country's unemployment crisis. Due to a lack of suitable employment opportunities in the domestic labour market, about 800,000 youngsters have gone abroad until Asar 2064.
a proposed new investment has projected sales of $645,000. variable costs are 40 percent of sales, and fixed costs are $168,000; depreciation is $83,000. prepare a pro forma income statement assuming a tax rate of 21 percent. what is the projected operating cash flow of the project?
According to the given information, the projected operating cash flow of the project is $107,440
Net Income = (Revenues - Expenses - Depreciation - Interest) x (1 - Tax
Rate)
Net Income = (645,000 -(645,000 ×0.40) - 168,000 - 83,000) x (1 - 0.21)
Net Income = $107,440
Operating cash flow is a measure of the financial impact of a company's net income (NI) from its core operations. On the cash flow statement, the first section is titled operating cash flow, also known as cash flow from operating activities.The focus of operating cash flows is on cash inflows and outflows associated with a company's primary business operations, such as buying and selling inventory, offering services, and paying salaries. Borrowing, investing, financing, purchasing capital goods, and paying dividends are all excluded from the operating cash flows section and reported separately. On a company's statement of cash flows, which is segmented into cash flows from operations, investing, and financing, operating cash flow can be found.Learn more about Operating cash flow, here
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suppose that interest rates (and, therefore, the firms weighted average cost of capital) increases/ this would not change the capital budgeting choices a firm would make if it
I understand that you'd like an explanation of how an increase in interest rates and a firm's weighted average cost of capital (WACC) might affect capital budgeting choices.
Here's a concise answer incorporating the key terms you mentioned: When interest rates increase, a firm's WACC also typically rises. This higher WACC would lead to a higher required rate of return for investments, thus making some capital budgeting projects less attractive. However, it would not change a firm's capital budgeting choices if the projects under consideration are still expected to generate a return greater than the increased WACC. In this scenario, despite the higher cost of capital, the projects continue to create value for the firm, and therefore, its capital budgeting decisions would remain unchanged.
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how much money does a therapyst make an hour/ and how much would they make in a year
Answer:
Explanation:they make 1,000 dollars per hour. I don’t know how much in a year.
The supply and demand equations for a clothing product in a particular week are given by
p=0.7q+6 Supply Equation
p=-1.7q+18 Demand Equation
where p is the price in dollars and q is the quantity in hundreds
Find the equilibrium price and quantity.
Note:
The format of your answer for the price must be written as an integer with two decimals. Examples of this format is $8.35 or $4.00.
The format for the quantity must be written in only integer (in 100), for example 200 (not 2).
At the equilibrium point, the price for the clothing product settles at $9.50, while the corresponding quantity reaches 500 (in hundreds).
To find the equilibrium price and quantity, we need to set the supply equation equal to the demand equation and solve for the values of p and q.
0.7q + 6 = -1.7q + 18
Combining like terms, we have:
2.4q = 12
Dividing both sides by 2.4, we get:
q = 5
Substituting the value of q back into either the supply or demand equation, we can find the equilibrium price:
p = 0.7(5) + 6
p = 3.5 + 6
p = 9.5
Therefore, the equilibrium price is $9.50 and the equilibrium quantity is 500 (in hundreds).
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With an open-ended bridging loan, the lender should:
Select one:
a.
Always ensure that there is a substantial margin between the loan amount and the expected sale amount to allow for unexpected events.
b.
Treat the loan as the same risk as a closed-ended bridging loan.
c.
Ignore the property market cycle because housing prices only go up.
d.
Not consider the cash flows of the borrower.
e.
None of the above
The correct answer is a. Always ensure that there is a substantial margin between the loan amount and the expected sale amount to allow for unexpected events.
With an open-ended bridging loan, which is a type of short-term loan typically used in real estate transactions, it is important for the lender to ensure that there is a substantial margin between the loan amount and the expected sale amount. This is because open-ended bridging loans are typically used when there is uncertainty about the timing or final sale price of the property. The lender should account for potential unexpected events, such as delays in the sale or a lower-than-expected sale price, by providing a sufficient margin of safety. This helps mitigate risk and ensures that the loan can be repaid even if there are unforeseen circumstances. Therefore, option a. is the correct answer.
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A physical count of supplies on hand at the end of May for Masters, Inc. Indicated $1,250 of supplies on hand. The general ledger balance before any adjustment is $2,100. What is the adjusting entry for office supplie s that should be recorded on May 31?
Answer:
Debit Supplies Expenses $850 and Credit supplies $850
Explanation:
Kimdly check attached picture for explanation
De los componentes de la Matriz DOFA, cuál elemento se define como las acciones externas de otros actores, que afectan negativamente la empresa. Las oportunidades Las Fortalezas Las Debilidades Las amenazas
Answer:
D). Las amenazas
Explanation:
El análisis 'FODA' es el examen de las diversas 'fortalezas, debilidades, oportunidades y amenazas' subyacentes a una empresa. Estos factores se han dividido además en factores internos y externos. Los factores internos incluyen fortalezas junto con debilidades, mientras que los factores externos consisten en amenazas potenciales y oportunidades futuras que se pueden aprovechar.
Según la pregunta, los factores externos que pueden afectar negativamente al negocio serían las 'amenazas' porque si no se abordan adecuadamente a tiempo, pueden generar pérdidas, afectar negativamente las opiniones y demandas de los consumidores, y mucho más. Estos factores se denominan externos ya que afectan al negocio de fuentes externas como un déficit o problema en el buen funcionamiento de la cadena de suministro, cambios repentinos en las necesidades del mercado, escasez de insumos, clima, caída de la economía, etc. Así, la opción D es la respuesta correcta.
why do economists believe that our free enterprise system depends on the protection of private property rights?
Private ownership encourages people to develop their property in ways that benefit others.
Why do economists think private ownership helps improve property?
Private property encourages efficiency by providing the resource owner with an incentive to increase the value of their holdings. The more trading power a resource gives its owner, the more valuable it is. This is so that property owners in a capitalist system are entitled to any value attached to their property.
Private property ownership stimulates land development for the good of others. Property owners frequently make the best use of their properties.
It is advantageous because owners are motivated to maintain the property. What does market regulation serve in terms of economics? to have an impact on people's and businesses' economic behavior.
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When you are in a conflict with another person, it is important to remember:
OA.
That you are right and he is wrong.
O B.
All the negative things the other person has said or done to you.
O C.
That you also helped create the conflict.
OD.
That it is your right to control your friends.
Your beloved 15-year-old dog is very sick. He won’t eat, can barely walk, and looks miserable. The vet says you
should consider “putting him down” to spare him suffering. You can’t bear to part with him. What should you do?
Answer:
Put him down. If you truly love your dog you would put your feelings aside and end his pain.
I've had to make this decision before and it is incredibly painful, but it's for the sake of your dog.
In which step of planning and executing an advertising campaign will a firm establish the metrics it will use to determine if the campaign is successful
The step at which a firm will set the metrics that will be used to determine if the campaign is successful is at the advertising objectives.
What is an advertising campaign?An advertising campaign is an outreach to prospective clients on different search engines or social media platforms showing a simple piece of information about a company's product or service rendered.
The main purpose of setting an advertising objective is to see and determine if the purpose for the creation of such an advertisement is being met.
The purpose could be to
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A written contract granting permission to operate
an already existing business.
Answer:
Explanation:
A written contract granting permission to operate a business to sell products and services in a prescribed way. franchise.