The segment of the workforce that has received the greatest benefit from a formalized system of flexible working hours is working parents, particularly mothers.
For working mothers, flexible working hours can help to reduce the stress of balancing work and family responsibilities. They can arrange their work schedules around school drop-offs and pickups, doctor's appointments, and other family commitments. This can also reduce the need for expensive and often unreliable childcare arrangements, which can be a significant burden for working parents.
Flexible working hours also benefit employers by improving employee retention, reducing absenteeism, and increasing productivity. By accommodating employees' needs, employers can create a more supportive and loyal workforce.
However, it is important to note that flexible working hours should not be limited to working parents. All employees can benefit from flexible working hours, particularly those with disabilities, chronic illnesses, or other caregiving responsibilities. A formalized system of flexible working hours can help to create a more inclusive workplace where all employees can thrive.
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Select the qualification that is best demonstrated in each example. Clyde explains the equipment installation process to a customer. Meredith picks up a heavy stereo and puts it in place on a shelf. Brittney figures out what is wrong with a phone line that is not working.
Answer:
D, A, D
Explanation:
dad lol
Answer:
D
A
D
Explanation:
your welcome
What is not a criterion when evaluating financial service providers?
A. financial service provider's history
B. benefits or lack thereof
C. past and current employees
D. emerging technologies
That which is not a criterion when evaluating financial service providers is this: C. past and current employees.
What are the criteria for evaluating financial service providers?To successfully evaluate the qualification of a financial service provider, the customer must be able to look at their present and past history. They should consider their ability to incorporate emerging technologies into their businesses.
It is not really the business of the consumer to dig out the past and current employees of the business. He should be interested in other relevant factors like the above.
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Which of the following is essential for a firm to gain a sustained competitive advantage over its competitors?
Answer:
Down Below
Explanation:
The resources must be valuable, rare, imperfectly imitable, and non-substitutable.
Which of the following programs completes similar functions as those completed by Microsoft® Publisher?
options:
a)Microsoft Access
b)Microsoft Outlook
c)Microsoft PowerPoint
d)Microsoft Word
Answer:
it is D) Microsoft word
Explanation:
Because Microsoft Publisher is a graphic design application that is similar to Microsoft Word but differs in the fact that its emphasis lies more on page layout and design, and less on word composition and formatting.
hope this helps!!! o(〃^▽^〃)o
The programs completes similar functions as those completed by Microsoft® Publisher.
What is Microsoft word?Microsoft word serves as a program that is used in educational area in writing documents.
It is been owned by Microsoft and it can be used in different field even for research purposes.
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How long after the irs accepts your return will it be approved?.
Answer:
When you receive confirmation that the IRS accepted your return, it means that they have reviewed your return, and it has passed their initial inspection. They verify your personal information and other basic items, like if your dependents have already been claimed by someone else.
Explanation:
5. what if the number of units decreased to 40,000 and all unit variable costs stayed the same? indicate the impact on the following costs. a. total direct materials decreases by 20% b. total direct labor increases by less than 20% c. total variable overhead decreases by 20% d. total fixed overhead does not change no change e. unit prime cost increases by more than 20% f. unit conversion cost increases by less than 20% what would the product cost per unit be in this case? $fill in the blank 17 per unit
Total direct materials cost decreases by 20%, total variable overhead decreases by 20%, total fixed overhead does not change, and unit conversion cost increases by less than 20%. Product cost per unit is $17.
The question is asking about the impact on various costs if the number of units decreases to 40,000 while all unit variable costs remain the same. The costs of direct materials and variable overhead would decrease by 20%, while fixed overhead would not change. Direct labor and unit conversion cost would increase by less than 20%, but unit prime cost would increase by more than 20%. The product cost per unit would be $17.
we are given the expected free cash flows of XYZ Corp over the next 12 months, along with the expected growth rate of these cash flows for the subsequent two years and beyond, and various financial information about the company. We use this information to calculate the present value of the company's future cash flows and subtract the value of its liabilities to arrive at the value of its equity. Finally, we divide this value by the number of outstanding shares to arrive at the price per share of XYZ Corp stock.
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Rent is an example of a(n) _____.
a. fixed cost
b. opportunity cost
c. variable cost
d. none of the above
HURRY PLZZZZ FIRST ANSWER GETS BRAINLIEST
Answer:
a. fixed cost
Explanation:
Rent is always negotiated and stated in the tenancy or lease agreement. The lease or tenancy agreement is reviewed either annually or after every two years. The rent amounts remain the same until the time a tenancy agreement is reviewed.
Fixed costs are the business expenses that remain the same throughout the financial period. A business has to incur fixed costs as long as the business is operational. The level of business activity or output does not affect fixed costs. Rent is a good example of fixed costs. A business has the pay the same amount of rent regardless of its production level.
Answer:
A
Explanation:
I just finished the test
as an economy develops and becomes more integrated into the world economy, how do its costs of production change, and how well can they be managed both in the short-run and long-run?
As an economy develops and becomes more integrated into the world economy, its costs of production tend to undergo certain changes.
In the short run, as industries mature and gain experience, costs of production may initially increase due to the need for investment in infrastructure, technology, and human capital. However, over time, these costs can decrease as economies of scale, efficiency gains, and technological advancements are realized.
In the long run, increased integration into the world economy can provide access to larger markets, diverse inputs, and technological advancements. This can lead to further cost reductions through specialization, increased competition, and improved productivity. Additionally, economies with open trade policies can benefit from comparative advantage, allowing them to allocate resources more efficiently and reduce production costs.
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Question 5 of 10 What does the Occupational Safety and Health Administration (OSHA) do? O A. It requires employers to budget a certain amount of money for health and safety measures. B. It mandates that employees submit to medical testing to determine if they are able and healthy enough to do their jobs. C. It governs job-related health and safety in the private sector and federal government in the United States. D. It requires safety equipment and health exams to be available for railroad workers. please hurry this is timed.
Answer:
C
Explanation:
OSHA governs job-related health and safety in the private sector and federal government in the United States. It sets and enforces standards for workplace safety, provides training and education to employers and employees, and conducts inspections to ensure compliance with regulations. Thus, option C is correct.
What is the Occupational Safety and Health Administration?The Occupational Safety and Health Administration (OSHA) is a United States federal agency that is responsible for setting and enforcing workplace safety and health standards.
It was created as part of the Occupational Safety and Health Act of 1970, and its mission is to prevent work-related injuries, illnesses, and deaths by promoting safe and healthy working conditions.
OSHA establishes and enforces standards, provides training and education, and conducts inspections to ensure that employers are complying with regulations.
Its jurisdiction covers most private sector employers and their workers, as well as some public sector employers and workers in the United States.
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Conservatively leveraged Firm A and highly leveraged Firm B operate at the same level of earnings before interest and taxes. Which firm has a higher change in volume?
A. Firm A
B. Firm B
C. The change in volume does not affect the amount of leverage.
D. There is not enough information to answer the question.
The change in volume does not affect the amount of leverage firm has a higher change in volume. The answer is OPTION C.
Due to the high percentage of fixed expenses in an organisation with strong operating leverage, a significant rise in sales may result in outsized increases in profitability. companies in emerging sectors with strong growth prospects.
Businesses operating in predictable, stable sectors with steady financial flows. technology firms. businesses that are not very profitable. Because expenses are spent regardless of sales levels, a firm will struggle to handle short-term revenue fluctuations if fixed costs are significant. This raises risk and frequently results in a lack of flexibility, which is bad for business.
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Which of the following is NOT true about the Free Application for Federal Student Aid (FAFSA)?
You can fill out the FAFSA if you are an independent or a dependent.
The earliest you can submit your FAFSA is January 1st of each year.
You can fill the form out online or on paper.
Each state may have a different deadline for state financial aid.
Answer:
A
Explanation:because its true
Many states and the federal government have price transparency regulations. The textbook provides examples from the Washington State Hospital Association and New Hampshire’s HealthCost. Search for additional price transparency examples and review the contents and information provided.
After reviewing the sites, answer the following questions.
What were 2-3 key points based on your research? Describe the sites you found and what information they provide.
Do you think price transparency initiatives help the average American better understand the cost and quality of the services at various hospitals?
Is there enough information to help a patient choose the best physician and hospital for treatment?
Price transparency is a crucial element of the healthcare system that enables patients to make informed decisions about their medical care. Price transparency regulations have been established by several states and the federal government to enable patients to know the cost of services before obtaining medical treatment. Two or three key points from the price transparency sites are:
1. The cost of medical procedures varies significantly between hospitals.2. Some hospitals offer less expensive medical procedures than others.3. HealthCost, Washington State Hospital Association, and other price transparency websites provide resources to aid patients in identifying the cost of care and the quality of treatment from various healthcare providers.
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peter plaintiff had his constitutional rights violated by a county sheriff’s department. what steps would peter plaintiff need to take to seek damages under 42 u.s.c. § 1981?
If Peter Plaintiff believes that his constitutional rights were violated by a county sheriff's department and he wishes to seek damages under 42 U.S.C. § 1981, he would need to take several steps.
Gather evidence: Peter Plaintiff would need to gather evidence that supports his claim of constitutional rights violation by the county sheriff's department. This may include documents, witness statements, and any other relevant evidence that substantiates his claim.
Consult with an attorney: It is advisable for Peter Plaintiff to consult with an experienced attorney who specializes in civil rights law and has expertise in handling cases under 42 U.S.C. § 1981. An attorney can provide legal guidance, assess the strength of the case, and represent Peter Plaintiff's interests throughout the legal process.
File a lawsuit: Peter Plaintiff would need to file a lawsuit in the appropriate federal court against the county sheriff's department, alleging the violation of his constitutional rights under 42 U.S.C. § 1981. This would involve preparing and filing legal documents, such as a complaint, with the court within the applicable statute of limitations.
Serve the defendants: Peter Plaintiff would need to serve the defendants, in this case, the county sheriff's department, with a copy of the lawsuit and any other required legal documents, in accordance with the rules of civil procedure in the relevant jurisdiction.
Go through the litigation process: Once the lawsuit is filed, Peter Plaintiff would need to go through the litigation process, which may include discovery, depositions, motions, and potentially a trial. The burden of proof would be on Peter Plaintiff to establish that his constitutional rights were violated by the county sheriff's department.
Seek damages: If Peter Plaintiff prevails in the lawsuit, he may be entitled to seek damages, which could include compensatory damages for any harm suffered as a result of the constitutional rights violation, as well as punitive damages in certain cases where the violation was found to be willful or malicious.
Follow legal procedures: It is important for Peter Plaintiff to follow all legal procedures, deadlines, and requirements throughout the litigation process, including any appeals if necessary, to ensure that his claim is properly pursued and his rights protected.
Seeking damages under 42 U.S.C. § 1981 can be a complex and challenging legal process. It is crucial for Peter Plaintiff to seek legal assistance from a qualified attorney to navigate through the legal system and increase the chances of a successful outcome.
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When you put a check you received in the bank, you have immediate access to the money.
True or False.
Answer:
this is true hope this helps
Explanation:
humorous ads receive attention, but many times the humor distracts from the promotional message. group of answer choices true false
True, humorous ads receive attention, but many times the humor distracts from the promotional message.
The statement "humorous ads receive attention, but many times the humor distracts from the promotional message" is true.
Why do humorous ads receive attention?
Humor is an essential component of an advertising campaign that encourages people to share it and gets people's attention. Ads that elicit feelings of happiness or laughter are more likely to be shared on social media, increasing brand exposure and awareness. Humor has long been recognized as an effective marketing technique, and it's been used by businesses for many years. This is because ads that use humor are more likely to stick in consumers' memories and be remembered long after the ad has ended. They are more likely to be shared on social media platforms and become viral. When ads use humor, they receive more attention because humor is a very powerful and positive emotion that can quickly and effectively capture people's attention. However, the humor in the ads can also distract from the promotional message, as the statement implies, which is not a positive outcome.
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bdj co. wants to issue new 25-year bonds for some much-needed expansion projects. the company currently has 4.8 percent coupon bonds on the market that sell for $1,028, make semiannual payments, have a $1,000 par value, and mature in 25 years. what coupon rate should the company set on its new bonds if it wants them to sell at par? hint: the coupon on the new issue will be set at (close to) the yield on the existing bonds.
To determine the coupon rate that bdj co. should set on its new bonds in order for them to sell at par, we need to find the yield on the existing bonds.
Given that the existing bonds have a 4.8% coupon rate, sell for $1,028, make semiannual payments, have a $1,000 par value, and mature in 25 years, we can use the following steps: 1. Calculate the yield on the existing bonds: - First, find the present value of the existing bonds using the formula for the present value of a bond: PV = C * (1 - (1 + r)^(-n))/r + F/(1 + r)^n, where PV is the present value, C is the coupon payment, r is the yield to maturity, n is the number of periods, and F is the par value. - In this case, the coupon payment (C) is $1,000 * 4.8% / 2 = $24, the yield to maturity (r) is unknown, the number of periods (n) is 25 years * 2 = 50 semiannual periods, and the par value (F) is $1,000. - Set the present value (PV) to $1,028 and solve for the yield to maturity (r). 2. Once you have the yield on the existing bonds, set the coupon rate on the new bonds close to this yield. By following these steps, you can determine the coupon rate that bdj co. should set on its new bonds for them to sell at par.
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To determine the coupon rate that bdj co. should set on its new bonds in order for them to sell at par, we need to find the yield on the existing bonds.
Given that the existing bonds have a 4.8% coupon rate, sell for $1,028, make semiannual payments, have a $1,000 par value, and mature in 25 years, we can use the following steps: 1. Calculate the yield on the existing bonds: - First, find the present value of the existing bonds using the formula for the present value of a bond: PV = C * (1 - (1 + r)^(-n))/r + F/(1 + r)^n, where PV is the present value, C is the coupon payment, r is the yield to maturity, n is the number of periods, and F is the par value. - In this case, the coupon payment (C) is $1,000 * 4.8% / 2 = $24, the yield to maturity (r) is unknown, the number of periods (n) is 25 years * 2 = 50 semiannual periods, and the par value (F) is $1,000. - Set the present value (PV) to $1,028 and solve for the yield to maturity (r). 2. Once you have the yield on the existing bonds, set the coupon rate on the new bonds close to this yield. By following these steps, you can determine the coupon rate that bdj co. should set on its new bonds for them to sell at par.
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Time Value of Money Annuity Cash Flows Solve the following problems and answer the last question. Example problems can be found on the "Example-Annuity Cash Flow" tab. Create an appropriate (TVM) formula using the supplied values in the appropriate cell so Excel can calculate the answer. Calculations 1. What is the future value of a $1,000 annuity payment over five years if interest rates are 9%? Write the formula here] [Answer here] 2. What is the present value of a $800 annuity payment over six years if interest rates are 10 % ? [Write the formula here] (Answer here). 3. Assume you purchased a house on January 1, 2020 for $200000. You had made a down payment of 20% on the house and the balance was financed with a 30 year loan at 5% per annum stated APR with monthly payments to be made beginning January 1, 2020. What are your monthly [Answer here] [Write the formula here]
The future value of a $1,000 annuity payment over five years at a 9% interest rate is $5,639.87.
The present value of an $800 annuity payment over six years at a 10% interest rate is $3,791.71.
Your monthly mortgage payment for the house is $1,073.64.
Future Value of a $1,000 annuity payment over five years at 9% interest rate:
Formula: FV = P * [(1 + r)^n - 1] / r
FV = $1,000 * [(1 + 0.09)^5 - 1] / 0.09
FV = $5,639.87
Present Value of an $800 annuity payment over six years at 10% interest rate:
Formula: PV = P * [1 - (1 + r)^(-n)] / r
PV = $800 * [1 - (1 + 0.10)^(-6)] / 0.10
PV = $3,791.71
Monthly payments on a $200,000 house financed with a 30-year loan at 5% interest rate:
Formula: PMT = P * r / (1 - (1 + r)^(-n))
PMT = $200,000 * 0.05 / (1 - (1 + 0.05)^(-360))
PMT = $1,073.64
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Alice Miller works for a paint manufacturer. She is paid 3% commission on her first $20,000 if monthly sales and 8% commission on all sales over $20,000. In March her sales were $54,500; in April, her sales totaled $47,300. What were the total commissions she earned for the 2 months?
Answer:
$6,144
Explanation:
sales commissions during March:
$20,000 x 3% = $600
$34,500 x 8% = $2,760
total = $3,360
sales commissions during April:
$20,000 x 3% = $600
$27,300 x 8% = $2,184
total = $2,784
if we add both months, then the total sales commissions earned by Alice = $6,144
1. What's the main reason our culture has normalized credit cards over the past 60 years? What can we do to change the normalization of debt in the future?
Our culture has become accustomed to debt mainly because the capitalist system in which we find ourselves favors the management of loans for the acquisition of goods and services.
These, due to their cost, are difficult or impossible to access through cash payments without any type of installment or ease of payment.
Therefore, credit cards are ways of acquiring debt to finance certain consumption, which is why they have become a financial tool that is totally socially accepted.
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Why might it be risky to purchase a preowned vehicle from a
private owner?
Kathy and Jake are purchasing a house and are financing $465,000. The mortgage is a 20-year
5/1 ARM at 3.5% with a 2/7 cap structure. What will the remaining balance be after the first 5 years?
a $396,038.65
b$427,354.28
c $407,836.29
d $377,238.57
Answer:
D
Explanation:
The remaining balance on a 20-year 5/1 ARM at 3.5% interest with a 2/7 cap structure after 5 years will be $377,238.57.
Pro life tip: Do NOT finance your home with an ARM mortgage.
Good luck in your studies!
This photo shows a label that appears on food products in the United States.
"Regulation by an administrative body," Although a picture isn't offered, I was able to get one online.
An example of regulation would be nice.
In order to regulate how things are done and how people behave, governments and other authorities make regulations. By applying the new legislation, employers are forcing those over 65 out of work. Pressure from the American government forced manufacturers like Fiat and others to adhere to the new safety standards.
either being regulated or the process of being regulated. Specifically: a rule or order issued by a government agency that frequently has legal effect; also see Administrative Procedure Act.
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15 $ x 140 hours a month
15 × 140 × 12
= $ 25200
IT IS 15 TIMES THE HOURS TIMES THE MONTHS SINCE THERE ARE TWELVE MONTHS
If MM's Proposition I holds, minimizing the weighted average cost of capital (WACC) is the same as maximizing the
a. profits of the firm.
b. book value of the firm.
c. market value of the firm.
d. liquidating value of the firm
If MM's Proposition I holds, minimizing the weighted average cost of capital (WACC) is the same as maximizing the market value of the firm. The Modigliani-Miller Proposition I is a financial theory that states that the value of a company is independent of its capital structure.
The correct option is c .
In other words, the total value of the firm is determined by its earning power and the risk of its underlying assets, which are unaffected by its choice of financing. MM Proposition I implies that the cost of capital of a company is independent of its financing mix, whether it is financed by equity or debt, and therefore there is no optimal capital structure. What is the weighted average cost of capital (WACC)?The weighted average cost of capital (WACC) is the average cost of a company's debt and equity capital, weighted by their respective proportions.
It is the minimum return that investors require to finance a company's operations, and it reflects the riskiness of the company's assets and the cost of borrowing. What is the relationship between WACC and firm value?According to MM Proposition I, the weighted average cost of capital (WACC) is independent of a company's capital structure, and therefore minimizing WACC is the same as maximizing the market value of the firm. This means that the lower a company's WACC, the higher its market value, because a lower WACC means that the company is less risky and more profitable. Therefore, by minimizing WACC, a company can increase its market value, which is the ultimate goal of any firm. Thus, option (c) is the correct answer. To summarize, MM Proposition I states that the value of a company is independent of its capital structure, and minimizing WACC is the same as maximizing the market value of the firm.
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Consumers tend to purchase a good at a lower than at a higher price. Why (state any assumptions made)? Do consumers always behave this way? Explain your response.
According to the law of demand, the price of a good is negatively related to the quantity demanded all other things remaining equal.
Consumers do not always buy good at a lower price than at a higher price.
What is the law of demand?According to the law of demand, the higher the price, the lower the quantity demanded and the lower the price, the higher the quantity demanded. there is an inverse relationship between price and quantity demanded.
Consumers do not always buy goods at a lower price than a higher price. For example, for luxury goods, consumers would prefer to buy it at a higher price than at a lower price. This is because luxury goods are used to show wealth. If the price of a good that is considered to be used solely be wealthy people declines, some rich people would not want to purchase the goods again because it is now affordable by the masses.
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Following is information on two alternative investment projects being considered by Tiger Company. The company requires a 7% return from its investments. (PV of \$1. FV of \$1, PVA of \$1, and FVA of \$1) (Use appropriate factor(s) from the tables provided.) a. Compute each project's net present value. b. Compute each project's profitability index. c. If the company can choose only one project, which should it choose on the basis of profitability index? Complete this question by entering your answers in the tabs below. Compute each project's profitability index.
The profitability index provides a measure of the value created per unit of investment. By comparing the profitability indexes of the projects, we can determine which project should be chosen if only one can be selected.
To calculate the profitability index, we divide the present value of cash flows by the initial investment for each project. The project with a higher profitability index indicates a higher value creation per unit of investment.
First, we calculate the present value (PV) of cash flows for each project. The PV factor is determined based on the required return of 7% and the time period of cash flows.
For Project A, if the initial investment is $100,000, and the cash flows for each year are as follows: Year 1: $30,000, Year 2: $40,000, Year 3: $50,000, Year 4: $60,000.
The PV of cash flows is calculated by discounting each cash flow to present value using the appropriate PV factor. Summing up the present values gives us the net present value (NPV) of Project A.
Similarly, for Project B, if the initial investment is $150,000, and the cash flows for each year are as follows: Year 1: $50,000, Year 2: $40,000, Year 3: $30,000, Year 4: $20,000. The PV of cash flows is calculated, and the NPV of Project B is determined.
Next, we calculate the profitability index by dividing the present value of cash flows by the initial investment for each project. The project with the higher profitability index is considered more favorable.
Finally, by comparing the profitability indexes of Project A and Project B, we can determine which project should be chosen based on the profitability index if only one project can be selected. The project with the higher profitability index should be chosen as it indicates higher value creation per unit of investment.
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Suppose that both of the events you have just analyzed are partly responsible for the increase in the price of calzones. Based on your analysis of the explanations offered by the two groups of students, how would you figure out which of the possible causes was the dominant cause of the increase in the price of calzones?.
The dominant cause of the rise in the price of calzones may be the increased shift in demand relative to the shift in supply.
What happens when supply is less than demand?This is an economic situation where there is an imbalance, generating an increase in prices, since when there is greater demand for a product than companies offering it, it means that consumers are more likely to pay more prices for a product that is in a position of scarcity.
Therefore, a balance between supply and demand must be achieved to generate a stable situation in price and quantity levels.
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In the markets for grocery and household items, some consumers have more elastic responses than others. Stores recognize this and often offer price reductions in the form of coupons. The price elasticity of demand for people who use coupons is____ elastic than for other consumers because coupon users______A) more; have higher incomes than the average consumer B) less; are willing to search for a low-cost alternative C) more; are willing to search for a low-cost alternative D) less; have higher incomes than the average consumer
In the markets for grocery and household items, some consumers have more elastic responses than others. Stores recognize this and often offer price reductions in the form of coupons. The price elasticity of demand for people who use coupons is more elastic than for other consumers because coupon users are willing to search for a low-cost alternative. So the option C is correct.
Coupon users are more likely to switch brands if the price of the product they are looking for is higher than the coupon price. Therefore, demand for products from coupon users is more sensitive to changes in price than demand from other consumers.
For example, a person who uses a coupon for laundry detergent is more likely to compare prices and look for the best deal, which increases the elasticity of their demand for that product. This is why stores offer coupons and other discounts - to encourage more people to purchase their products, even if the price is lower than the average market rate.
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Below is the income tax system for the country of Genovia.
For income from $0 to $100, no income tax.
For all income above $100 but less than $400, the tax rate is 20%.
For all income above $400, the tax rate is 40%.
Jane Doe’s income is $500. What is her AVERAGE tax rate?
Group of answer choices
40%
33%
50%
20%
25%
Answer:
24%
Explanation:
The computation of the average tax rate is shown below:
Given that
From income $0 to $100, no income tax is applicable
From income above $100 upto $400, the tax rate is 20%
The income above $400, the tax rate is 40%
So based on the above information
Since the Jane doe income is $500
So here the average tax rate is
= (400 × 0.20) + (100 × 0.40) ÷ $500
= ($80 + $40) ÷ ($500)
= ($120) ÷ ($500)
= 24%
This is the answer but the same is not provided in the given options
Typically, salary of a job grows when: *
A. amount of time on the job has increased
B. employer likes the employee
C. employee demands a raise
D. motivation, desire, and attitude of an employee grows in a positive direction.
Answer:
D
Explanation:
motivation, desire, and attitude are the most important aspects when it comes to your job. Having your boss like you is great and all, but it won't get you a raise.