As an economics major, you rightly conclude that Tabitha had rented the larger booth because the marginal benefit of the new booth is higher than the marginal cost of the booth.
Marginal benefit refers to the additional benefit that an individual gets by consuming an additional unit of a product or service. Marginal cost refers to the additional cost incurred by producing an additional unit of a product or service. A rational individual will make a decision that benefits them more than their current situation.
Tabitha shares a flea market booth with her sister. Her share of the rent is $150 per month. She is considering moving to her own, larger booth which she will not have to share with anyone. The larger booth rents for $450 per month. Tabitha had rented the larger booth because the marginal benefit of the new booth is higher than the marginal cost of the booth. Her marginal benefit is the additional revenue that she is going to earn by renting a larger booth. It will help her to earn more than what she was earning from the shared booth.
Therefore, her rational choice for her was to rent the larger booth.
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Which point on the business cycle BEST represents an expansionary phase?
Answer: the answer is D
Explanation:
Expansionary could also be used as going up
On the given diagram of graph, the business cycle best represents an expansionary phase is Point D. The correct option is (D).
What do you mean by the business cycle?Business cycles are characterized by a country's economic activity experiencing a boom in one period and a fall in the next.
The two key stages of a business cycle are basically prosperity and depression. The expansion, peak, trough, and recovery stages are also intermediate phases.
The expansion phase of a business cycle is represented by the cycle line that rises above the steady growth line. The production, employment, output, wages, profits, demand and supply of goods, and sales all rise during the expansion phase of a business.
Here,
According to the graph, the points represents the phases as:
Point A = Peak phases.
Point B = Recession phases.
Point C = Trough phases.
Point D = Expansion phases.
Therefore, the given diagram of graph, the business cycle best represents an expansionary phase is Point D.
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What is added to the price of goods and services at the time of purchase?
Answer:
VAT
Value Added Tax
______________'_''
A project that provides annual cash flows of $15,400 for nine year costs $67,000 today. What is the NPV if the required return is 8 percent? What if its 20 percent? At what discount rate would you be indifferent between accepting the project and rejecting it?
USING EXCEL FORMULA: SHOW PV FORMULA
We would be indifferent between accepting and rejecting the project if the required rate of return is 13.29%.
What is rate of return?
To calculate the net present value (NPV) using Excel, we can use the following formula:
=NPV(rate, range of cash flows) - initial investment
where:
rate: the required rate of return or discount raterange of cash flows: the range of annual cash flows, starting from year 1 to the last yearinitial investment: the initial cost of the projectUsing this formula, we can calculate the NPV of the project at different discount rates as follows:
At 8% discount rate:
=NPV(8%,{15400,15400,15400,15400,15400,15400,15400,15400,15400})-67000
= $8,435.09
At 20% discount rate:
=NPV(20%,{15400,15400,15400,15400,15400,15400,15400,15400,15400})-67000
= -$10,908.72
To find the discount rate at which we are indifferent between accepting and rejecting the project, we can use Excel's built-in function called IRR (Internal Rate of Return). The IRR is the discount rate at which the NPV of the cash flows is zero. We can use the following formula to find the IRR:
=IRR({-67000,15400,15400,15400,15400,15400,15400,15400,15400})
= 13.29%
Therefore, we would be indifferent between accepting and rejecting the project if the required rate of return is 13.29%.
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POSSIBLE POINTS: 5
Use the sample stock quote below to identify the following figures.
Market Summary> Under Armour Inc Class A
NYSE: UAA
+ Follow
9.77 USD +0.080 (0.83%) +
DT
1 day
5 days
1 month
6 months
YTD
1 year
5 years
Max
10.0
9.77 USD 11:17 AM
9.9
98
9.7..
9.6
- Previous
close
959
10:00 AM
12:00 PM
1:00 PM
2:00 PM
SO0 PM
400 PM
Open
High
Low
Mit cap
P/Eroti
Div yield
Prev close
9.91
9.95
9.70
4.198
48.19
52-wk High
52-wk low
22.72
735
Current Price indicates how much one share of stock
costs right now)
Price Change Today (shows if the stock is up or down in
value since the market opened)
Year High Low (shows the highest the price of this stock
has been and the lowest it has been in the past year)
:
Market Cap (shows how much the company is worth in
total. Used to help shareholders understand their
percentage of shares)
Price to Earnings Ratio (shows how much one should
expect to invest in order to experience profits. A high
ratio indicates more money required to see substantial
returns)
Answer:
ok, so it can be all of them but the answer is aaaa
Explanation:
Harris tree owns and operates a gaming center and completed the following transactions during April 2021, its first month of operations. Journalize the transactions
Recording the date, the accounts you're debiting or crediting from, and a short description of the transaction itself are all parts of keeping track of all your commercial transactions, or journalizing them.
How do you Journalize and post transactions?A business transaction is journalized when it is recorded in accounting records. Maintaining records calls for commitment and knowledge, especially for accountants. Every business process is documented chronologically in a journal, commonly referred to as a Book of Original Entry.
Identifying the account as well as the type of account is the first step. Choosing whether each account increases or decreases is the second stage. The third step is to journalize the transaction. Accumulated depreciation is the entire amount of depreciation and amortisation that has been applied to an asset since it was first used.
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An instrument used to enlarge or reduce a map is known as
Answer:
pantograph
Explanation:
you can use a pantograph to do this.
(Bond valuation relationships) The 15-year, $1,000 par value bonds of Waco Industries pay 8 percent interest annually. The market price of the bond is $945, and the market's required yield to maturity on a comparable-risk bond is 7 percent.
a. Compute the bond's yield to maturity.
b. Determine the value of the bond to you given the market's required yield to maturity on a comparable-risk bond.
c. Should you purchase the bond?
Where the above conditions are given,
a. The Bond's Yield to maturity is approximately 8.5%.
b. The bond's value is higher than $945.
c. Yes, you should purchase the bond.
What is the explanation for this ?Using the formula
Bond Price = (Coupon Payment / YTM) * (1 - (1 / (1 + YTM)^n)) + (Par Value / (1 + YTM)^n)
Where -
Coupon Payment = Annual interest payment = 8% of $1,000 = $80
YTM = Yield to Maturity (unknown)
n = Number of years to maturity = 15
Par Value = $1,000
Plugging in the values we have
$945 = ($80 / YTM) x (1 - (1 / (1 + YTM) ¹⁵) ) + ($1,000 / (1 + YTM)¹⁵)
YTM = 8.5%
b) If the market's required yield to maturity on a comparable-risk bond is 7%, and the bond's yield to maturity is 8.5%, it suggests that the bond's yield is higher than the market's required yield of $945
c) Based on the given information, the bond's yield to maturity (8.5%) is higher than the market's required yield (7%), indicating that the bond is undervalued, hence is okay to be purchased.
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Which of the following ways is NOT
legitimate for terminating a contract?
A. Change of mind
B
Lapse
time
C. Performance
D. Breach
Answer:
A. Change of mind
Explanation:
A contract can be defined as an agreement between two or more parties (group of people) which gives rise to a mutual legal obligation or enforceable by law.
There are different types of contract in business and these includes: fixed-price contract, cost-plus contract, bilateral contract, implies contract, unilateral contract, adhesion contract, unconscionable contract, option contract, express contract, executory contract, etc.
Mutual assent is a legal term which represents an agreement by both parties to a contract. When two parties to a contract both have an understanding of the parameters, terms and conditions surrounding a contract, it ultimately implies that they are in agreement; this is generally referred to as mutual assent.
Generally, the three (3) legitimate reasons for which a contract may be terminated or discharged are;
I. Lapse of time.
II. Non-perfomance.
III. Breach of the contractual agreement.
However, a change of mind by either of the parties in a contract is not a legitimate way for terminating a contract because its duration or time period is yet to elapse.
Which of the following choices incur speculative risk?
a.stocks
b.fire insurance on a house
c.options
d.life insurance
e.high interest savings account
Answer: correct option is A.
Explanation: A speculative risk can be defined as risk that is taken willingly either it results in profit or loss and the stocks involve in probability of gain and loss making it a speculative risk.
Stocks incur speculative risk. Therefore option A is correct.
What are Stocks?A stock usually referred to as equity, is a type of investment that denotes ownership in a portion of the issuing company. Shares, also known as units of stock, entitle their owners to a share of the company's assets and income in proportion to the number of shares they possess.
Common stock and preferred stock are the two primary categories of stocks.
Owners of common stock are entitled to dividends and the right to vote at shareholder meetings.
Common stockholders often do not have voting rights, while preferred stockholders typically get dividend payments ahead of time and are given preference over common investors in the event of a firm bankruptcy and asset liquidation.
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Now suppose that Rowe has an argument with her husband and wants to withdraw, and what effect would it have on the LLC?
A limited liability business enterprise (LLC) is a business structure allowed with the aid of state statutes. every nation might also use exclusive guidelines, you should check with your nation if you are interested in beginning a constrained legal responsibility enterprise. proprietors of an LLC are called contributors
The nation of Oklahoma, like almost every different nation, has an agency earnings tax. In Oklahoma, the corporate tax is a flat 6% of Oklahoma taxable profits. if your LLC is taxed as an employer you may need to pay this tax. The kingdom's company income tax goes back (shape 512) and is filed with the Oklahoma Tax fee.
To begin an Oklahoma LLC you may want to record the Articles of a corporation with the Oklahoma Secretary of state, which costs $one hundred. you could practice online, by way of mail, or in character. The Articles of the corporation is the felony record that officially creates your Oklahoma limited legal responsibility employer.3 days in the past.
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Which descriptions offer examples of Planning workers? Check all that apply.
Isabel travels to foreign countries to build relationships with political officials.
Mai creates recommendations for how to use land, buildings, and structures.
Lamar writes and analyzes laws.
Francisco creates reports to help a community decide which land to make into parks.
Matthew interviews members of the community to find out which public buildings and parks they use most often.
Ruth analyzes property to determine how much money it is worth.
The descriptions that offer examples of Planning workers are as follows:
B. Mai creates recommendations for how to use land, buildings, and structures.
D. Francisco creates reports to help a community decide which land to make into parks.
E. Matthew interviews members of the community to find out which public buildings and parks they use most often.
Most of the workers involved in city Planning include Architects, Civil Engineers, Economists, Geographers, Landscape Architects, Market Research Analysts, and Political Scientists.
Thus, Mai, Francisco, and Matthew are examples of Planning professionals or workers.
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Answer:
B, D, E
Explanation:
Sorry it's not as fancy as the other one but I just got it right on edge 2022
an employee can be dismissed if their job surplus to requirements' outline why this state ment is false
Between October 1787 and May of 1788, what did the leaders do?
Between October 1787 and May of 1788, the leaders of the newly independent United States were involved in a series of debates and discussions regarding the ratification of the proposed United States Constitution.
What is Ratification?
Ratification is the act of formally approving or confirming a legal document or agreement.
In the context of the United States Constitution, ratification refers to the process by which the proposed Constitution was approved by the required number of states, thereby establishing it as the supreme law of the land.
During the ratification process, each state held a convention to consider the proposed Constitution, and a vote was taken to determine whether the state would ratify or reject it. The Constitution required ratification by at least nine of the thirteen states before it could go into effect.
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24.0omplete question a mutual fund is generally more tax efficient when it has a __________ turnover rate and a __________ dividend yield.
A mutual fund is generally more tax efficient when it has a lower turnover rate and a lower dividend yield.
A lower turnover rate means that the fund buys and sells securities less frequently. When a mutual fund sells securities, it may generate capital gains or losses, which can be taxable to the investors. By keeping the turnover rate low, the fund minimizes the realization of capital gains and reduces the tax liability for the investors.
A lower dividend yield indicates that the fund distributes fewer dividends to its investors. Dividends received from mutual funds are generally taxable to the investors as ordinary income. Therefore, a lower dividend yield means that investors will have lower taxable income from the mutual fund's distributions.
By having a lower turnover rate and a lower dividend yield, the mutual fund reduces the tax consequences for its investors. It allows investors to potentially defer taxes on capital gains and lowers their overall taxable income, resulting in increased tax efficiency for the fund. This can be beneficial for investors seeking to maximize after-tax returns and minimize their tax liability.
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its
a NET REALIZABLE VALUE METHOD . ive aiready had 3 tutors answer the
question incorrectly.
1oint Coit Allocation-Net. Fostizatle Value Method Aliocile the joint coses of production to each product using the net realizable value method.
The net realizable value method is used to allocate joint costs of production to each product. It involves assigning costs based on the estimated selling prices of the products.
The net realizable value method is a cost allocation technique used to assign joint costs to individual products based on their estimated selling prices. Joint costs are costs incurred in the production of multiple products that cannot be easily traced to specific products. The net realizable value is calculated by subtracting the estimated separable costs (costs that can be directly traced to a specific product) from the estimated selling price of each product. The ratio of the net realizable value of each product to the total net realizable value of all products is then used to allocate the joint costs.
For example, suppose a company produces three products: A, B, and C. The estimated selling prices for these products are $100, $150, and $200, respectively. The estimated separable costs for each product are $30, $40, and $50, respectively. To allocate the joint costs using the net realizable value method, we calculate the net realizable value for each product as follows: Product A: $100 - $30 = $70, Product B: $150 - $40 = $110, and Product C: $200 - $50 = $150. The total net realizable value for all products is $330 ($70 + $110 + $150). To allocate the joint costs, we divide the net realizable value of each product by the total net realizable value and multiply it by the total joint costs incurred. This will give us the allocated joint costs for each product.
By using the net realizable value method, companies can allocate joint costs based on the relative value of each product in the market. It provides a fair and logical basis for cost allocation, taking into account the estimated selling prices of the products.
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question content area the sarbanes-oxley act applies only to companies whose stock is traded on public exchanges. true false
It is TRUE that, The Sarbanes-Oxley Act applies only to companies whose stock is traded on public exchanges.
The Sarbanes-Oxley Act of 2002 was enacted by the US Congress on July 30 of that year in an effort to safeguard investors from corporate financial reporting that was false or misleading. The SOX Act of 2002, also known as the Dodd-Frank Act, required stringent updates to current securities laws and imposed severe new penalties on offenders.
In response to early 2000s financial scandals involving publicly traded businesses like Enron Corporation, Tyco International plc, and WorldCom, the Sarbanes-Oxley Act of 2002 was passed. Investor confidence in the reliability of corporate financial statements was shaken by the high-profile frauds, which prompted many to call for an update to the regulations' long-standing requirements.
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a) Define "Comparative Advantage". (2 points) b) In your own words, explain why having comparative advantage help promote international trade. Give example as needed. c) If comparative advantage promotes trade, which can potentially benefit countries that trade with each other, give at least two reasons why countries sometimes restrict trade. Briefly explain your answers. (4 points)
a) Comparative Advantage can be defined as the capability of a country to produce a particular good at a lower opportunity cost than any other country.
b) Having a comparative advantage helps promote international trade because it enables countries to specialize in producing goods and services that they are efficient at producing, and then trade them with other countries for goods and services they are not efficient at producing. Example: If the USA can produce cheese and cars more efficiently than the UK, and the UK can produce tea and whiskey more efficiently than the USA, then both countries can specialize in the production of these goods. USA can produce cheese and cars and then trade them with the UK in exchange for tea and whiskey .c) Countries sometimes restrict trade due to the following two reasons:1. Protection of Domestic Industries: Tariffs are imposed to protect domestic industries from foreign competition. This is because the domestic industries will not be able to compete against the cheaper foreign goods which will result in a loss of jobs and closure of domestic firms.2. Protection of National Security: Import restrictions may be imposed on goods that are deemed to be dangerous to the country's national security. Such goods can include firearms, chemicals, or technologies that can be used for military purposes.
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The union strategy in the west centered on control of what river?.
Early in the American Civil War, Union General Winfield Scott suggested the "Anaconda Plan," a military tactic. The strategy planned for the strangulation of the South by Union land and naval forces.
A naval blockade of the Confederate littoral, and a thrust down the Mississippi. The Anaconda Plan was the name given to the North's military tactics. The idea was to divide the Confederacy in half by using its fleet to blockade Southern ports and seize control of the Mississippi River.
Grant wanted to give the Union sovereignty over the Mississippi River. By controlling the river, Union forces would be able to divide the Confederacy in half and have access to a crucial supply and transportation corridor.
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Risk can be thought of as the possibility of incurring??
Answer:
Risk can be thought of as the possibility of incurring a loss.
Explanation:
Loss.
this storefront design feature is characterized by its flexibility and low cost. (True or False)
False. To give a long answer, the question seems to be referring to a specific storefront design feature, but without more context or information, it is difficult to determine which one it is.
However, in general, storefront design features can vary widely in terms of flexibility and cost. Some storefront designs may be very flexible and allow for easy customization, while others may be more rigid and difficult to change. Similarly, some storefront designs may be relatively low-cost, while others may be more expensive. Ultimately, the answer to this question would depend on the specific storefront design feature being referred to.
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You are on your daily jog when a car negligently pulls in front of you. Unable to stop, you run
into it and injure yourself should you be able to recover from the harm done to you?
Answer:
medically speaking, Yes!
Explanation:
Since the scenario only involves the individual running into the car, not the car hitting the individual; meaning that he'll have less severe injuries.
To be able to recover from the harm done, the individual may need first aid treated.
Justin has hired someone to handle all of the financial issues for his small business. He hired a:
Accountant is the right answer hope this help
Answer:
accountant
Explanation:
I just took the quiz:)
Which of the following characteristics of a professional business letter distinguishes it from a personal business letter?
Characteristics of a professional business letter distinguish it from a personal business letter is many professional business letters are printed on letterhead". Option (D) is correct.
What is Business letter?A business letter is a communication between two businesses, or between businesses and their clients, consumers, or other outside parties. The relationship between the parties affects the letter's overall style.
Formal letters address someone professionally, whereas informal letters do so in a more personal manner. This is the major distinction between formal and informal letters. In addition, professional letters must adhere to a particular format, whereas casual letters can use any format.
Therefore, Option (D) is correct.
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Your question is incomplete, the complete question is;
which of the following characteristics of a professional business letter distinguishes it from a personal business letter? a. professional business letters come from individuals writing on their own behalf. b. many personal business letters are printed on letterhead. c. personal business letters come from individuals representing a company. d. many professional business letters are printed on letterhead.
Jacqueline was moved to a different office at work but struggles to adjust to her new setting. Which soft skill should she work to improve?
Adaptability
Leadership
Problem solving
Teamwork
The soft skill that Jacqueline should work on improving would be adaptability in her new office.
What is adaptability?It is the individual's ability to adapt to a new environment and its characteristics. This is an essential skill for the job market, since there are always new developments for which the company will shape itself in order to innovate and meet internal and external needs.
Therefore, adaptability would lead Jacqueline to face the challenge of moving to a different office in a positive way, seeking to understand how the place works, and contributing with her work to achieve integration into the environment.
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Given the 2020 recession, what should be the goal of monetary policy? Should the Fed enact expansionary or contractionary policy? In other words, should the Fed increase the money supply/credit supply or decrease the money/credit supply. Explain what they might do to achieve their goal.
Answer:
Expansionary monetary policies
Explanation:
A recession is characterized by reduced economic activities, a high unemployment rate, and low business incomes. The economy experiences a reduced demand for products and services, leading to low production and a slow economic growth rate.
In a recession like in 2020, the Fed should employ measures that will stimulate economic growth. The appropriate measures are the expansionary monetary policies. These policies seek to increase liquidity in the market, thereby increasing the aggregate demand. Expansionary monetary policies increase the money supply in the economy; they include a reduction in the reserve requirement, reduction in the discount rate, and open market purchases.
What is an example of a common part of a company's brand that would be represented in television
commercials?
Answer:
logos, product, company's name, :DDD and endorsers
3. compute the early, late, and slack times for the activities in the network that follows, assuming a time-constrained network. which activities are critical? what is the time-constrained project duration?
To compute the early, late, and slack times for the activities in a time-constrained network, we need to perform a forward and backward pass using the critical path method (CPM).
First, we start with the forward pass to calculate the earliest start time (ES) and earliest finish time (EF) for each activity. We assume that the project starts at time zero.
Activity A: ES = 0, EF = 6
Activity B: ES = 6, EF = 10
Activity C: ES = 10, EF = 16
Activity D: ES = 6, EF = 9
Activity E: ES = 16, EF = 22
Activity F: ES = 9, EF = 12
Activity G: ES = 22, EF = 27
Activity H: ES = 12, EF = 16
Next, we perform the backward pass to calculate the latest start time (LS) and latest finish time (LF) for each activity. We assume that the project is time-constrained and must be completed in 27 units of time.
Activity H: LS = 27 - 4 = 23, LF = 27
Activity G: LS = 27 - 5 = 22, LF = 27
Activity F: LS = 16, LF = 19
Activity E: LS = 22 - 6 = 16, LF = 22
Activity D: LS = 19 - 3 = 16, LF = 19
Activity C: LS = 22 - 6 = 16, LF = 22
Activity B: LS = 19 - 9 = 10, LF = 19
Activity A: LS = 16 - 6 = 10, LF = 16
Finally, we can calculate the slack time (ST) for each activity by subtracting the EF from the LF or the LS from the ES, whichever is smaller.
Activity A: ST = 0
Activity B: ST = 0
Activity C: ST = 0
Activity D: ST = 0
Activity E: ST = 0
Activity F: ST = 3
Activity G: ST = 0
Activity H: ST = 4
The critical activities are those with zero slack time, which are activities A, B, C, D, E, and G. The time-constrained project duration is 27 units of time, which is the latest finish time for activity H.
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How should you dress for a phone interview? (Site 1)
online content
Answer:
You should at least have a nice top on because only the camera will see that. If you are a girl you could just wear a dress, probably a black one because that is what I wore to my interview yesterday because there is no pattern or anything it's just a plain black one, but that was in person. if you're a guy you need to wear a suit and tie,but you could probably just wear shorts because they won't see the bottom half of you
Explanation:
I hope this helps out a little bit :-)
An interview is a formal process by which an employee is assessed for his/her performance by the employer.
For a phone interview, one should be dressed properly as the interviewer can see you through the camera.
For a girl, you should be dressed nicely and no revealing or extra shiny clothes should be wore.
In the case of a man, one should be properly dressed in suits or formal shirts.
Try to wear dark black or blue coloured clothes and sit in a properly lighted area.
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Which is the most important decision factor in transportation?
A.capacity
B. Cost
C.capability
D.reliability
When the price of a good increases, holding all else constant
a.the demand for all of that good's substitutes will decrease.
b.the quantity demanded for that good will increase.
c.the demand for all of that good's complements will increase.
d.the demand for all of that good's substitutes will increase.
e.the demand curve will shift to the left.
When the price of a good increase, holding all else constant the demand for all of that good's substitutes will increase.
When a good's price rises, demand for all of its alternatives may rise, fall, or stay the same depending on a variety of variables such the availability and cost of those alternatives, consumer preferences, and the degree to which the alternatives are similar to or dissimilar from the original good. An increase in the price of a good may generally cause consumers to switch to the alternatives if they are close equivalents and easily accessible at comparable rates, which will increase demand for the substitute goods. For instance, if Fanta's price rises, consumers may transfer to Mirinda, which could raise Mirinda's demand.
A good's price increase may not, however, result in an increase in demand for alternative items if those commodities are not exact equivalents, are not easily accessible, or have costs that are much higher than those of the original good. Consumers can keep buying the original product despite it costing more money. As a result, while it is possible that a rise in the price of a commodity may raise demand for alternatives, this is not always the case and depends on a number of variables.
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