Scenario 1 is an example of an electronic data interchange (EDI), a type of technology that allows companies to exchange information electronically.
In this case, Kristen is contacting each location to standardize their identification systems, which implies the need for a streamlined and automated process of exchanging shipment data between the shipping company and the various locations. EDI enables the electronic transmission of structured data, such as shipment information, between different organizations, improving efficiency and accuracy in data exchange.
Scenario 2 involves Hannah creating a communication network that ensures the secure exchange of information between various companies and systems sharing data with a local hospital. In this case, the need for privacy and confidentiality of health records requires a system that does not require knowledge of each entity's computer information system. Hannah is likely implementing a health information exchange (HIE) system, which allows for the secure and interoperable exchange of health-related information between different organizations while ensuring compliance with privacy regulations.
Regarding the reference to specialized information systems that aid decision-making, it is likely referring to decision support systems (DSS). DSS are computer-based tools that provide managers with analytical capabilities and access to relevant data to assist in making informed decisions. These systems utilize various techniques, such as data analysis, modeling, and visualization, to support managerial decision-making processes.
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Conflicts of Interest Between Ethical Standards Manuel knows that his company plans to purchase land near his friend Samantha's house and sell it to a developer that would build a large facility that would bring traffic and noise to the currently quiet area. The deal is to remain a company secret until it is made, but Manuel wants to let Samantha know what is going to happen so she can plan for it What conflict of interest is Manuel faced with? What sets of standards conflict here? Type answer here...
a. What is Dozier's horizon value? (Hint: Find the value of all free cash flows beyond Year 3 discounted back to Year 3 .) Enter your answers in millions. For example, an answer of $10,550,000 should be entered as 10.55. Round your answer to two decimal places. $ million b. What is the current value of operations for Dozier? Do not round intermediate calculations. Enter your answers in millions. For example, an answer $10, shour be entered as 10.55. Round your answer to two decimal places. $ million c. Suppose Dozier has $10 million in marketable securities, $100 million in debt, and 10 million shares of stock. What is the intrinsic price per share? intermediate calculations. Round your answer to the nearest cent. $
The Horizon value is $132.31 million. The Current value of operations is $141.33 million. The Intrinsic price per share is $5.13 per share.
a. To find the horizon value, the free cash flows that come after year three need to be discounted back to year three. Here's how to calculate it:
Discount factor = (1 + WACC)^n-3
where n = year
Horizon value = free cash flow for year four discounted back to year three + free cash flow for year five discounted back to year three + free cash flow for year six discounted back to year three + free cash flow for year seven discounted back to year three
Horizon value = ($13,545,600 / 1.089^1) + ($14,732,160 / 1.089^2) + ($15,945,446 / 1.089^3) + ($3,276,642,542 / 1.089^4)
Horizon value = $132.31 million
b. To find the current value of operations, the free cash flows need to be discounted back to the present value.
Here's how to calculate it:
Discount factor = (1 + WACC)^n Current value of operations = free cash flow for year one / (1 + WACC)^1 + free cash flow for year two / (1 + WACC)^2 + free cash flow for year three / (1 + WACC)^3 + horizon value
Current value of operations = $9,917,280 / 1.089^1 + $10,745,280 / 1.089^2 + $11,615,078 / 1.089^3 + $132.31 million
Current value of operations = $141.33 million
c. To find the intrinsic price per share, you need to subtract the total debt from the current value of operations, add cash and marketable securities, and divide by the number of shares outstanding.
Intrinsic price per share = (current value of operations - total debt + cash and marketable securities) / number of shares outstanding
Intrinsic price per share = ($141.33 million - $100 million + $10 million) / 10 million shares
Intrinsic price per share = $5.13 per share (rounded to the nearest cent)
Therefore, the answers are: a. $132.31 million b. $141.33 million c. $5.13 per share.
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which country has the highest demand in the low tech segment in round 0?
In Round 0, the country with the highest demand in the low tech segment is India. This is because India has a large population and a developing economy, which means there is a significant need for affordable low-tech products.
The demand for low-tech products such as basic mobile phones, entry-level laptops, and low-cost televisions is high in India due to the affordability factor. Additionally, there is also a growing trend of consumers in India looking for eco-friendly products, which further drives the demand for low-tech options. Furthermore, India has a growing middle class, which is also contributing to the demand for low-tech products. As more people enter the middle class, they are looking for affordable options that can meet their needs without breaking the bank. This has led to an increase in demand for low-tech products such as entry-level smartphones and basic laptops. Overall, India's large population, developing economy, and growing middle class make it a prime market for low-tech products, leading to high demand in this segment in Round 0.
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Yuri wants to pay for his new chair using a check. What must he consider before using that method of payment? Yuri must check his credit history. Yuri must know the interest rate on a furniture loan. Yuri must be sure he has enough left in his checking account for any expenses and automatic payments. Yuri must check his credit card balance.
Answer:
C. Yuri must be sure he has enough left in his checking account for any expenses and automatic payments.
Explanation:
There are different ways to make payment. What he must consider is that Yuri must be sure he has enough left in his checking account for any expenses and automatic payments.
What is checking account?A checking account is known to be a type of bank account that allows a person to make deposit and withdrawal of their money for daily transactions very easy.
This also include when one deposit a check that one receive, taking out cash from the account with your debit card and others. He must make sure he has enough left in his checking account before ordering.
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Explain the difference between a direct tax and an indirect tax.
Answer:
Taxes can be either direct or indirect. A direct tax is one that the taxpayer pays directly to the government. These taxes cannot be shifted to any other person or group. An indirect tax is one that can be passed on-or shifted-to another person or group by the person or business that owes it.
Explanation:
Answer:
see the pic hope it would be helpful.
Explanation:
by the rule of 72, what annual interest rate would be required to turn $100 into $200 in approximately six years?
According to the question the interest rate required to double the investment in approximately six years is approximately 12% per year
The rule of 72 is a simplified formula used to estimate the time it takes for an investment to double based on a fixed interest rate. By dividing 72 by the interest rate, you can roughly determine the doubling period. In this case, we want to find the interest rate required to double an investment of $100 to $200 in approximately six years.
Using the formula, we can calculate the interest rate:
72 / N = 6
Where N represents the number of compounding periods (in this case, years).
Rearranging the equation to solve for N:
N = 72 / 6 = 12\
Therefore, the interest rate required to double the investment in approximately six years is approximately 12% per year. It's important to note that this is a rough estimate, and actual investment returns may vary due to factors such as compounding frequency, fees, and market conditions.
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Without ____, it would be impossible to stay in business.
Group of answer choices
growth
profit
IPO
marketing
strategy
An investor buys a $100,000, 10orporate bond maturing in 2032 for $125,000. the bond is callable starting in the year 2022. What is the most appropriate measure for calculating yield?
The most appropriate measure for calculating yield is the yield of call.
This investor pays $125,000 for a 10% bond with a face value of $100,000. Therefore, the investor pays a premium of he 25% for the bond. If the bond is called before maturity (very likely because the current market interest rate must be lower than the coupon rate, otherwise the bond will not trade at a premium and The issuer can refinance itself by calling the bond issuance at a lower current market yield), losing the premium sooner than if the bond had been held to maturity, lowering the effective yield.
To do. Therefore, the yield on this bond is lower than the yield to maturity. Additionally, this bond is likely to be called, so using the call date is a good time frame to calculate the yield on this bond. By the way that is a difficult question.
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purchasing and engineering personnel visit suppliers to assess their facilities, capacity, and quality control during which stage in the organizational buying process?
At the alternative evaluation stage of the organizational buying process, purchasing and engineering staff would visit potential suppliers to evaluate their quality control.
What is the organizational purchase process?The method by which industrial purchasers choose their purchases is referred to as the organizational buying process. Every corporation must buy products and services to maintain its operations, which necessitates a difficult problem-solving and decision-making process. These inputs and outputs within organizations can be as diverse as the resources, information, and personnel.
Processes like new product creation, order fulfillment, and customer support are typical examples. There are two distinct groups of organizational purchasers. These are government, industrial, and reseller. Straight repurchase, modified repurchase, and new tasks are examples of common purchasing scenarios. The simplest scenario is a "straight rebuy," in which an organization just orders the same product or service.
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Ayman has a credit card with a balance of $4750 CAD and an annual interest of 21.5% compounded
monthly. He plans on paying off the loan completely in two years using monthly payments. What is the
total amount of interest he will pay once the card is paid off?
#1 $128.03
#2 $1136.00
#3 $4878.03
#4 $5886.00
Case 5-1
You have written the code below and you want to step through it with some actual values to make sure that it is working in practice the way you expect it to work.
If decGPA mayor 3.5 Then
If intSatScore mayor 1000 Then
lblAdmissionsStatus.Text = "You have earned admission"
Else
lblAdmissionsStatus.Text = "Retake the SAT exam"
End If
Else
If intSatScore mayor 1200 Then
lblAdmissionsStatus.Text = "You have earned probationary admission"
Else
lblAdmissionStatus.Text = "You have been denied admission"
End If
End If
Assuming that an applicant has a GPA of 3.54, what is the vlaue of lblAdmissionsStatus.Text if the applicants SAT score is 1000?
If the applicant has a GPA of 3.54 and the SAT exam score is 1000, the value of lblAdmissionsStatus.Text is "Retake the SAT exam".
The code below and the values of the variables show the actual process that is being followed to evaluate the value of:-
lblAdmissionsStatus.Text:If decGPA >= 3.5 ThenIf intSatScore >= 1000 ThenlblAdmissionsStatus.Text = "You have earned admission"ElselblAdmissionsStatus.Text = "Retake the SAT exam"End IfElseIf intSatScore >= 1200 ThenlblAdmissionsStatus.Text = "You have earned probationary admission"ElselblAdmissionStatus.Text = "You have been denied admission"End IfTo begin with, if decGPA is 3.54, then the first conditional statement (If decGPA >= 3.5 Then) is TRUE, and the code proceeds to evaluate the second condition, which is if intSatScore mayor or equal to 1000. However, if the intSatScore is 1000, the conditional statement (If intSatScore >= 1000 Then) is TRUE, and the value of lblAdmissionsStatus.Text is "You have earned admission" (lblAdmissionsStatus.Text = "You have earned admission").
Thus, if the applicant has a GPA of 3.54 and the SAT score is 1000, the value of lblAdmissionsStatus.Text is "Retake the SAT exam".
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3. Not all the busines contracts
are legal. Justify.
Answer:
They could be scams wanting money out of you. It is simple as that they can act as a business but they aren't. To be honest with you you are your own business because whatever you do is good or well so you don't need approval on others so my answer is scammers cause other businesses are working hard to make money and respect their customers!
What does visual merchandising and display consist of?
Visual merchandising and display consist of the physical elements which merchandises use to project an image to customers.
Visual merchandising is considered to be the practice of organizing and as well as displaying products in a retail space. So, visual merchandising is a marketing practice which directly uses color, floor plans, lighting, technology, displays, and other elements to attract the customer attention.
So, visual merchandising and display consists of physical elements which merchandises use in order to project an image to their customers. Thus, a visual merchandiser is the person behind the magic.
Hence, a visual merchandisers display, present, arrange the items in stores.
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An insured makes regular contributions to his Health Savings Account. How are those contributions treated in regards to taxation?
An insured makes regular contributions to his Health Savings Account. These contributions to Health Savings Account (HSA) are tax-deductible. Therefore, such contributions are not subjected to taxation. Health Savings Account is a kind of savings account that an individual can use for medical expenses.
What is a Health Savings Account?Health Savings Account (HSA) is a savings account specifically created to help individuals pay for medical expenses. HSAs are tax-advantaged savings accounts that are intended to assist with medical costs. HSA contributions are tax-deductible, which means the insured person will reduce their taxable income by the amount of their contribution. HSAs allow for tax-free growth and withdrawals, so the account holder can contribute money to an HSA and then withdraw it tax-free to pay for qualifying medical expenses.
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What are the main causes of demand-pull and cost-push inflation?
When there is an increase in demand for products and services, demand-pull inflation, a particular type of inflation, happens. This kind of inflation is often brought on by an increase in the inflation rate, technical advancements, or general economic expansion. Cost-push inflation happens when rising input costs force enterprises to pass along the cost to customers. Several things could cause this to happen. For instance, a tightening labor market may result in higher labor costs or the price of materials beginning to rise.
What is demand-pull and cost-push inflation?
The reduction in the overall supply of products and services brought on by an increase in the cost of production is known as cost-push inflation. Demand-pull inflation is an increase in total demand, which the macroeconomy's four sectors—households, businesses, governments, and foreign buyers—divide into.
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List three (3) Safety measures the cashier must take into consideration when doing/making a lodgment at any Financial Institution.
A cashier must accurately check the number of notes and currency; check the authenticity of the notes with a vending machine, and also ensure the offer of receipt to the person.
What are the roles of a cashier?A cashier is someone who handles the daily inflow and outflow of cash in any financial institution. There shall be zero to less fungibility in the work of a cashier.
To ensure that the cash transactions are true and correct, a cashier must take the following safety measures :
Accuracy in number of notes and currencies received throughout the day. Authenticate the notes and currencies with the help of vending machine. When a transaction is completed, a cashier must give the receipt of the same to the customer.Hence, the aforementioned safety measures are to be taken by the cashier while making transactions at a financial institution.
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Implementation is the final phase of the creation of a system
a. True
b. False
2. Select all that are key drivers of procurement
a. Time
b. Purchase
c. Cost
d. process e. control
Implementation is the procurement final phase of the creation of a system. Answer: b. False Implementation is an important phase in the creation of a system, but it is not necessarily the final phase.
procurement The system development lifecycle typically consists of several phases, including requirements gathering, analysis, design, development, testing, deployment, and maintenance. Implementation is usually one of the phases within this lifecycle, but it is not always the last one. Select all that are key drivers of procurement Answer: a. Time, c. Cost, d. Process, e. Control Key drivers of procurement vary depending on the specific context and organization, but commonly recognized drivers include: a. Time: Ensuring timely procurement to meet project deadlines or operational needs. c. Cost: Obtaining goods or services at the best possible price, considering factors such as quality, value, and total cost of ownership. d. Process: Implementing efficient procurement processes that are transparent, compliant with regulations, and minimize risks. e. Control: Establishing control measures to manage procurement activities effectively.
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list the stages of team development
Answer:
Stage 1: Forming. Feelings. ...
Stage 2: Storming. Feelings. ...
Stage 3: Norming. Feelings. ...
Stage 4: Performing. Feelings. ...
Stage 5: Termination/Ending. Some teams do come to an end, when their work is completed or when the organization's needs change.
HURRY IM TIMED. A BLANK
is capable of producing outcomes that surpass the scope and efficiency of many individual efforts
team
computer
temporary worker
none of the above
Answer:
team
Explanation:
got it right on my quiz
When employers give raises, they're using _______ power.
legitimate
reward
referent
absolute
Answer:
absolute powerrrrrrrrrr
When employers give raises, they're using reward power. Thus, option (b) is correct.
Being able to give others rewards or incentives gives one a form of power known as reward power. Employers might utilize incentives such as increases, bonuses, promotions, or other rewards to encourage workers at work.
Employers have the capacity to shape their employees' behaviour and motivate them to put in more effort or deliver better work by employing the power of rewards. Legitimate power, on the other hand, comes from a person's position or title within an organization. This form of power is distinct from that.
As a result, the significance of the employers give raises, they're using reward power are the aforementioned. Therefore, option (b) is correct.
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Summarise your understanding of the core aspects of an OSHMS and
briefly explain each aspect as it would apply to your organisation.
(6) "Back injuries account for the highest number of on-the-job
e
OSHMS stands for Occupational Safety and Health Management System. The organization can continuously improve its health and safety performance, prevent accidents and illnesses, and reduce the costs associated with injuries and illnesses on the job.
An OSHMS is a management system that enables organizations to integrate health and safety management into their overall management system, thereby assisting them in managing their health and safety risks and improving their overall safety and health performance. Below are the core aspects of an OSHMS and a brief explanation of each aspect that applies to the organization: Hazard identification, risk assessment, and determining controls: The primary purpose of this core aspect is to identify, evaluate and control hazards that could cause injury or illness to employees or other people affected by the company's operations.
Hazard identification involves examining each task, procedure, and material that could potentially cause harm. A hazard assessment looks at the probability of harm and its consequences. Then the company must determine how to mitigate or control the risk.Education and training: It is critical to educate and train employees on how to work safely. To achieve this, the organization should provide information and instruction about the hazards and how to prevent them. It is also necessary to train employees to operate safely, regardless of their level of experience. Also, OSHMS may require periodic refresher training and updates to ensure employees stay informed on health and safety guidelines.
Report and record-keeping: OSHMS requires record-keeping and reporting to monitor the effectiveness of the system. All incidents, accidents, near-misses, and other issues should be recorded. The data can help in analyzing trends, identifying areas that need attention, and providing feedback on the performance of the OSHMS.Ongoing management and review: OSHMS is an ongoing process that requires regular monitoring and review. The company should audit the system regularly to ensure it is functioning properly. It is necessary to assess the performance of the system, implement corrective action where required and also continuously review and refine the system to ensure it stays up-to-date on new hazards or changes in the industry.
Regulatory compliance: OSHMS should meet regulatory requirements that apply to the organization. This includes ensuring that the company complies with all relevant health and safety legislation and standards and ensuring that the OSHMS meets regulatory requirements.A continuous improvement cycle: OSHMS should be an ongoing process of continuous improvement. To improve the system, the organization should assess its performance, identify areas that need attention, implement corrective action, and review the system. By doing this, the organization can continuously improve its health and safety performance, prevent accidents and illnesses, and reduce the costs associated with injuries and illnesses on the job.
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Identify and explain two ways in which managers could use information obtained in the income statement?
Answer:
An income statement is one of the three major financial statements that reports a company's financial performance over a specific accounting period.
Explanation:
Search the meaning of ‘safe haven’. Now, obtain the data on (1) (USD Index - US Dollar Index Futures (DXU0), (2) USD/JPY - US Dollar Japanese Yen, (3) EURUSD, and (4) XAU/USD - Gold Spot US Dollar from 2002 to-date, calculate the daily returns on each of them and prepare the correlation matrix. What can you observe about the pattern of the movements of funds among the world’s major currencies?
The term "safe haven" refers to an investment or asset that is expected to retain or increase its value during times of market volatility or economic uncertainty. Investors often seek safe havens as a way to protect their wealth when other investments may be at risk.
To analyze the pattern of movements of funds among the world's major currencies, we need to gather data on the daily returns of the (1) USD Index - US Dollar Index Futures (DXU0), (2) USD/JPY - US Dollar Japanese Yen, (3) EURUSD, and (4) XAU/USD - Gold Spot US Dollar from 2002 to date.
Once we have obtained the data, we can calculate the daily returns for each currency pair or asset by taking the percentage change in value from one day to the next. This calculation allows us to measure the volatility and performance of each currency or asset.
Next, we can create a correlation matrix to observe the relationship between the daily returns of these currencies and assets. The correlation matrix helps us understand how closely the movements of one currency or asset are related to the movements of others.
By analyzing the correlation matrix, we can observe whether certain currencies or assets tend to move together or move in opposite directions. A positive correlation indicates that the currencies or assets move in the same direction, while a negative correlation suggests they move in opposite directions.
Additionally, we can look for periods of high volatility or significant movements in the currencies or assets. This information can provide insights into the behavior of investors during times of market uncertainty and may reveal patterns in the allocation of funds among safe haven assets.
Overall, analyzing the correlation matrix and patterns of movement in the world's major currencies can help us understand how investors allocate funds during times of economic uncertainty and identify safe haven assets that tend to perform well during turbulent market conditions.
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Recording, classifying, and summarizing economic events in a logical manner for the purpose of providing financial information for decision making is commonly called Group of answer choices auditing. economics. finance. accounting.
Recording, classifying, and summarizing economic events in a logical manner for the purpose of providing financial information for decision making is commonly called accounting.
Accounting is a fundamental process in business and financial management. It involves systematically recording financial transactions, classifying them into appropriate categories, and summarizing the information to create financial statements such as the income statement, balance sheet, and cash flow statement. These financial statements provide a snapshot of a company's financial performance, position, and cash flows, enabling decision-makers to analyze and make informed decisions about the organization's operations, investments, and financial strategies.
While auditing, economics, and finance are related disciplines, each has its own distinct focus. Auditing involves examining and evaluating financial records and statements to ensure accuracy, compliance, and reliability. Economics studies the production, distribution, and consumption of goods and services within an economy. Finance, on the other hand, focuses on managing financial resources, investments, and the financial aspects of decision making. However, accounting serves as the foundation for providing the necessary financial information in these areas.
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Lisa is considering becoming a vet, so she has offered to help at the animal shelter without being
Paid.Lisa is doing what?
Answer:
volunteering
Explanation:
Hope this helps :)
2. 37 A paused rainbow is a cash-flow stream which pays $1 at time 1 and 2n; $2 at time 2 and 2n – 1;. ;$(n-1) at time n - 1 and n + 2; and $n at time n and n + 1. Find the present value of the paused rainbow. 2. 38 (a) Find the present value of a perpetuity of $1 at time 0, $2 at time 3, $3 at time 6, $4 at time 9, at an effective rate of interest of 3%. (Hint: Use the result in Exercise 2. 25. ] (b) Hence, find the present value of a perpetuity which pays $1 at the end of the 3rd, 4th and 5th year, $2 at the end of the 6th, 7th and 8th year, $3 at the end of the 9th, 10th, 11th year and so on, at an effect rate of interest of 3%. 2. 39 Express (D3), in terms of i and n under simple interest. [Hint: The symbol (D3) is defined similarly as in Exercise 2. 25. ] 2. 40 Eric makes deposits into a retirement fund earning an annual effective rate of 7%. The first deposit of $1,000 is made on his 38th birthday and the last deposit is made on his 64th birthday. Every year his deposit increases by 3%. When he attains age 65, he will withdraw all the money in the re- tirement fund to purchase an annuity-immediate which provides him with monthly payment for 25 years. The nominal rate of interest on the annuity is convertible monthly at 6%. Find the amount of each monthly payment
The detailed answer of Cash Flow is given in the attachment below:
What is Cash Flow?The flow of money into and out of a business is known as cash flow. Cash spent indicates outflows, while cash received indicates inflows. A financial statement called the cash flow statement details a company's cash sources and uses over time.
A real or virtual movement of money is called a cash flow: A payment, especially from one central bank account to another, is a cash flow in its broadest sense. A cash flow from operations is made up of expenses made in the normal course of business. Payroll, the cost of goods sold, rent, and utility costs are examples of these cash outflows.
No, the two metrics are very different from one another. Profit is the portion of your revenue that remains after costs are deducted, while cash flow is the money that enters and exits your business over a specific time period.
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Which type of system would you find citizens paying higher taxes in order to have the Government provide some benefits for society such as healthcare, job training, and welfare programs
Answer:
ghihgihihgiogiog
Explanation:
Which city-states had democracy?
Answer:
the city states are, Athens, Sparta, Thebes, Corinth, and Delphi.
Explanation:
If a country has a comparative advantage in the production of some good then A. that country can produce the good at a lower opportunity cost compared to other producers. B. that country should specialize in the production of that good and not trade with other nations so that they can keep all the gains for themselves. C. that country should let other nations produce that good so that they may focus on new products that will expand job opportunities for their citizens. D. All of the above.
Answer:
Explanation:
C.
A country can produce a good at a lower opportunity cost than other producers if it has a comparative advantage in producing that good. As a result, choice (A) is the right response.
What is comparative advantage?When manufacturing a specific good, agents in an economic model have a comparative advantage over rivals if they can do so at a lesser opportunity cost or autarky price, that is, at a lower relative marginal cost before the trade.
Comparative advantage is the term used to express the economic reality of trade-related employment advantages for individuals, businesses, or nations that result from variations in their factor endowments or technology advancement.
The classical theory of comparative advantage was created by David Ricardo in 1817 to explain why nations engage in international trade even when their employees are more effective at producing each and every good than those in other nations.
Hence, option (A) is the right choice.
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. How is marginal utility per dollar calculated?