The correct statements are true about this natural monopoly:
The cable company is experiencing economies of scale.
The cable company must own a scarce resource.
A Natural Monopoly: What Is It?
A natural monopoly is a sort of monopoly that often develops as a consequence of high startup costs or considerable economies of scale associated with conducting business in a particular industry, both of which can create significant barriers to entry for potential rivals.
A business with a natural monopoly could be the sole supplier of a good or service in a sector or region. Industries that depend on specialized technology, raw materials, or other elements may become natural monopolies.
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A firm operates in a perfectly competitive market where the market price is p=$48. The firm's total cost of production is given by the following equation: TC(q) = 10 + 4q2 + 16q, where q is the quantity supplied. When this firm maximizes profit, what is the optimal quantity to produce in the short run and what will happen in the long run?
The optimal quantity for the firm to produce in the short run is 3 units.
To find the optimal quantity, we need to find the point where the firm's marginal cost (MC) equals the market price (P). Taking the derivative of the total cost function with respect to q, we get MC=8q+16. Setting this equal to the market price of $48, we get:
8q+16 = 48
8q = 32
q = 4
So the point where MC=P is at q=4. However, we need to make sure that producing at this quantity will result in positive profits. To do this, we need to calculate the firm's total revenue (TR) and total cost (TC) at q=4. The total revenue is simply the quantity produced times the market price, so TR=4*$48=$192. The total cost at q=4 is TC=10+4(4^2)+16(4)=$90.
Therefore, the firm's profit at q=4 is $192-$90=$102. However, we need to check if producing at q=3 (which is the closest whole number to 4) results in higher profits.
At q=3, the total revenue is TR=3*$48=$144, and the total cost is TC=10+4(3^2)+16(3)=$82. Therefore, the firm's profit at q=3 is $144-$82=$62, which is less than the profit at q=4. Hence, the optimal quantity to produce in the short run is 3 units.
In the long run, if the firm is making profits, other firms will enter the market, causing the market supply to increase, which will eventually drive down the market price to the point where all firms are earning zero economic profit in the long run.
If the firm is making losses, some firms will exit the market, causing the market supply to decrease, which will eventually drive up the market price to the point where all firms are earning zero economic profit in the long run.
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Can anyone help with this question??
Unpredictable policies can result in conflict because employees may ______.
a.
Believe that there is a double standard
b.
Have to guess at what the policies actually are
c.
Give out information that is incorrect
d.
All of the above
Answer:
All of the above
Explanation:
D.
Answer:
D
Explanation:
Above
A student will decide to attend class when
A. The Marginal Cost in low
B. The Marginal Benefit of attending exceeds the marginal cost of attending
C. There is an attendance policy
D. The Marginal Benefit is positive
A student will decide to attend class when there is an attendance policy. Thus, option (c) is correct.
What is policy?The term policy refers to are the rules are the described in the details are the mention. The policy are the making follow to the country and the employees of the company. The policy are the making the company of the solving the issues.
A student was the decided to regularly attend lectures or classes was the main motive to fulfill the attendance policy. The attendance was the necessary to appear in the exam. An attendance was the help to gain good marks in the exams. An attendance policy was the best policy.
As a result, the student will decide to attend class when there is an attendance policy. Therefore, option (c) is correct.
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Select the word or phrase that accurately completes each sentence.
Pressing the Backspace key will delete the text on the .
Pressing the Delete key will delete the text on the .
Answer:
Pressing the backspace key will delete the text on the leftPressing the delete key will delete the text on the rightExplanation:
How many acres are in a description reading, "The NW¼ of the SE¼ and the S½ of the SW¼ of the NE¼ of Section 4"?
The main answer is that the description "The NW¼ of the SE¼ and the S½ of the SW¼ of the NE¼ of Section 4" does not provide enough information to determine the exact number of acres.
The description only specifies the fractional parts of various quarters within Section 4, but it does not specify the size of the section or the size of each quarter.
To determine the number of acres, we need to know the total area of Section 4 in acres. A section of land typically consists of 640 acres, but the exact size can vary depending on the jurisdiction or survey system being used. Once we know the total area of Section 4, we can calculate the number of acres based on the given fractional parts.
For example, if Section 4 is 640 acres, the NW¼ of the SE¼ would be (1/4) * (1/4) * 640 = 40 acres. The S½ of the SW¼ of the NE¼ would be (1/2) * (1/4) * (1/4) * 640 = 20 acres. However, without the information on the size of Section 4, we cannot accurately determine the total number of acres based on the given description.
In summary, the provided description only specifies fractional parts of various quarters within Section 4, and without the total area of Section 4, it is not possible to determine the exact number of acres.
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identifying an example of the factor of production labour used in producing the Nano
Answer:
The Four Factors of Production
Land Labor Capital
The physical space and the natural resources in it (examples: water, timber, oil) The people able to transform resources into goods or services available for purchase A company's physical equipment and the money it uses to buy
Can someone please help?? 15 POINTS!
Answer:
mps mean extra dollars of household saved and mpc means extra dollars of household money that is consumed
Problem 8-3 (LG 8-3) Suppose you own 36,000 shares of common stock in a firm with 1.8 million total shares outstanding. The firm announces a plan to sell an additional 0.9 million shares through a rights offering. The market value of the stock is $44 before the rights offering and the new shares are being offered to existing shareholders at a $4 discount a. If you exercise your preemptive rights, how many of the new shares can you purchase?
The additional shares are being sold to current owners at a $4 discount from the stock's pre-rights market value of $44. Therefore, you can pay $4 less to purchase 18,000 of the freshly issued shares if you decide to exercise your preemptive rights.
1. Calculate your current ownership percentage in the company:
Ownership percentage = (Your shares / Total shares outstanding) * 100
Ownership percentage = (36,000 / 1,800,000) * 100 = 2%
2. Calculate the total number of shares after the rights offering:
New total shares = Total shares outstanding + Additional shares
New total shares = 1,800,000 + 900,000 = 2,700,000
3. Calculate the number of shares you are entitled to own after the rights offering based on your ownership percentage:
Entitled shares = New total shares * Ownership percentage
Entitled shares = 2,700,000 * 0.02 = 54,000
4. Calculate the number of new shares you can purchase by exercising your preemptive rights:
New shares to purchase = Entitled shares - Your current shares
New shares to purchase = 54,000 - 36,000 = 18,000
So, if you exercise your preemptive rights, you can purchase 18,000 of the new shares offered at a $4 discount.
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differences between cost and market values are considered temporary. ball does not elect the fair value option to account for available-for-sale securities. ball's year 3 other comprehensive income would be
The investment's cost value is its initial purchase price plus cumulative interest. Market value, or the price an asset sells for on the market, is frequently used interchangeably with market capitalization.
What are the cost value and market value?Cost Value is the investment's initial purchase price plus interest that has accumulated and any premiums or discounts that have been amortized or added to.
Cost Value refers to the price of each item of merchandise as it appears in the books, records, and files of the Merchant made available to the Agent during due diligence.
Market capitalization is frequently used to refer to market value, which is the price an asset commands on the market.
Because they depend on a variety of variables, including the physical working environment, the overall state of the economy, and the dynamics of supply and demand, market values are dynamic in nature.
Therefore, the investment's cost value is its initial purchase price plus cumulative interest. Market value, or the price an asset sells for on the market, is frequently used interchangeably with market capitalization.
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marcus finds that a check written by a customer and deposited has not yet been posted
A patent owner cannot exclude others from _____ his or her invention.
a. licensing
b. selling
c. making
d. improving upon
Answer:
D. Improving upon
Explanation:
Write a simple definition of the following sampling designs: (a) Convenience sampling (b) Snowball sampling (c) Quota sampling
Sampling design is an essential part of research methodology. Different sampling designs have been developed to make it easy for researchers to collect data from target populations.
(a) Convenience sampling is a type of non-probability sampling design that involves the selection of participants who are readily available. Researchers using this type of sampling design select participants based on their availability and proximity. Convenience sampling is cheap and less time-consuming compared to other types of sampling designs. However, this sampling design can lead to biased results since it does not represent the target population.
(b) Snowball sampling is a non-probability sampling design that involves recruiting participants through referrals from other participants. Snowball sampling is ideal for collecting data from populations that are hard to reach. The participants who are hard to reach are the initial participants in the research, and they help the researcher reach other participants. Snowball sampling is cost-effective and less time-consuming compared to other sampling designs. However, it can lead to biased results since participants who are recruited through referrals may have similar characteristics.
(c) Quota sampling is a type of non-probability sampling design that involves selecting participants based on predetermined quotas. The researcher sets the quotas for various characteristics such as age, gender, or income. The researcher then selects participants who meet the quota for each characteristic. Quota sampling is cost-effective, and the researcher can control the sample size. However, it can lead to biased results since the sample does not represent the target population.
In conclusion, researchers use different sampling designs to collect data from target populations. Convenience sampling, snowball sampling, and quota sampling are some of the sampling designs. Convenience sampling involves selecting readily available participants, snowball sampling involves recruiting participants through referrals, while quota sampling involves selecting participants based on predetermined quotas. Each of these sampling designs has its advantages and disadvantages, and researchers should choose the sampling design that suits their research needs.
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What are the two forms of indirect taxes that exist in the world?
The two forms of indirect taxes that exist in the world are specific taxes and ad valorem taxes.
Specific taxes are fixed amounts of tax imposed on each unit of a product, such as a certain amount of tax per liter of gasoline or per pack of cigarettes.
Ad valorem taxes, on the other hand, are taxes that are based on a percentage of the price of a product, such as sales tax or value-added tax (VAT). These taxes are calculated based on the value of the product being taxed, rather than a fixed amount per unit.
Both specific and ad valorem taxes are forms of indirect taxes, as they are imposed on products rather than directly on individuals or businesses.
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You perform an event study to investigate the influence of merger announcement on the share prices of ABC (the acquirer) and DEF (the target) and collected the following information. The market model-adjusted abnormal returns for ABC and DEF are respectively closest to: −4.2% and −6.8% −9.4% and 17.2% −4.1% and 22.5% −5.2% and 24.0% −7.4% and 19.2%
The market model-adjusted abnormal returns for ABC and DEF are closest to -4.2% and 17.2%, respectively. This indicates that ABC's share prices decreased by 4.2% more than expected, while DEF's share prices increased by 17.2% more than expected after the merger announcement.
In an event study analyzing the influence of a merger announcement on the share prices of ABC (the acquirer) and DEF (the target), the market model-adjusted abnormal returns are used to assess the impact. The market model takes into account factors such as market-wide movements and the individual stock's sensitivity to these movements. It calculates the expected returns based on these factors, and the difference between the actual returns and expected returns represents the abnormal returns.
The given information states that the market model-adjusted abnormal returns for ABC are -4.2% and for DEF are 17.2%.This means that ABC's share prices experienced a decrease of 4.2% beyond what was expected, while DEF's share prices increased by 17.2% beyond expectations.
These abnormal returns indicate the extent of market reaction to the merger announcement for both companies. A negative abnormal return for ABC suggests that the market perceived the merger as potentially unfavorable for the acquirer, resulting in a decrease in share prices. Conversely, a positive abnormal return for DEF implies that the market perceived the merger as potentially beneficial for the target, leading to an increase in share prices.
Overall, these findings provide insights into how the market perceives the merger announcement and the potential impact on the respective companies' share prices.
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In a Traditional IRA, how much money can be taken for after-tax investments and allows the money to grow tax free?
A. $5,500
B. $0
C. $18,000
D. $20,000
In a Traditional IRA (Individual Retirement Account), the amount of money that can be taken for after-tax investments and allows the money to grow tax-free is option B: $0.
The key feature of a Traditional IRA is that it provides tax advantages for retirement savings. Contributions to a Traditional IRA are typically made with pre-tax dollars, meaning they are tax-deductible in the year of contribution. The investments within the account grow tax-deferred, meaning that the earnings on those investments are not taxed until they are withdrawn during retirement.
However, it is important to note that taking money from a Traditional IRA for after-tax investments would generally be considered a distribution or withdrawal from the account. Any distributions from a Traditional IRA are subject to income tax, as they are treated as taxable income in the year of withdrawal. Therefore, taking money for after-tax investments from a Traditional IRA would not allow the money to continue growing tax-free.
If an individual wishes to make after-tax investments and have the money grow tax-free, they may consider other types of investment accounts, such as a Roth IRA or a taxable brokerage account. Roth IRAs allow for after-tax contributions and provide tax-free growth and tax-free withdrawals in retirement, subject to certain conditions.
In summary, a Traditional IRA is not designed for after-tax investments that grow tax-free. Its primary advantage lies in providing tax-deferred growth and potential tax deductions for contributions. Therefore, the correct option is B.
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Which of the following accounts would normally have a credit balance and appear in the balance sheet?
A. Dividends.
B. Salary expense.
C. Revenue.
D. Uneamed revenue.
E. Accounts receivable.
The account that contains a normal credit balance & the same appears in the balance sheet is unearned revenue.
The following information is relevant:
The dividend contains the normal debit balance and the same is to be shown under the stockholder equity statement.The salary expense is to be shown under the income statement and contains a normal debit balance.The revenue is to be shown under the income statement & contains a normal credit balance.Unearned revenue is a liability account and contains a normal credit balance. Also, it is to be shown under the balance sheet.The account receivable is an asset account & it contains a normal debit balance. Also, it is to be shown under the balance sheet.Therefore we can conclude that the account that contains a normal credit balance & the same appears in the balance sheet is unearned revenue.
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TRUE/FALSE. While group accounts make managing user rights and permissions more cumbersome, using them is a best practice.
The given statement "While group accounts make managing user rights and permissions more cumbersome, using them is a best practice" is False.
What are group accounts?Group accounts are a mechanism that enables for the implementation of access control in environments that are complex or decentralized. Group accounts allow you to manage a single set of permissions and rights for many users at once. It also provides a simpler means of managing user access rights than individual account management. However, it makes managing user rights and permissions more difficult than individual account management.
When should group accounts be used?The use of group accounts is recommended in specific circumstances, such as the following:
When there are a large number of users, managing individual account access becomes challenging.If there are numerous file system resources to manage, a single group can be granted access to all of them.
This way, if a person leaves the company or the group, the administrator only has to alter the group's permissions rather than each user's individual permissions
.When granting permissions to shared folders or documents that must be accessed by a group of users in the same department or job role, group accounts are recommended.
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Ted's pancake kitchen suffers a short-run loss. when should ted decide to shut down rather than continue to produce?
Ted should decide to shut down the produce rather than to continue to produce when the price that is incurred to produce is more in comparison to the price at which the product is sold.
If ted continue to produce more and more units he will incur additional average and variable costs and would not be able to generate enough of revenue to cover the production costs.
The firm will still incur other costs such as fixed costs even if needs to shut down or have loss in produce. It is just no benefit of continuing the things the person was doing to run the process and shut it down temporarily for recovery of its variable costs.
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basheer operates a business that smooths and finishes poured concrete floors, sidewalks, driveways, and pool decks. basheer has been observing and timing each task undertaken by his workers because he would like to increase their efficiency. basheer is engaging in ________ management.
Basheer is engaging in performance management.
As the manager, Basheer is monitoring and evaluating his employee's work to increase their efficiency. He must create the environment for his employees to bring out their best abilities in performing tasks that satisfy customers with the highest quality.
Performance management is a management tool that enables monitoring and evaluation of the tasks carried out by workers so that efficiency can be increased and management's goals achieved.
Thus, Basheer is engaged in performance management when he observes and times each task by his workers to improve performance efficiency.
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Which of the following choices is not a step that can reduce your spending?
a.
eating at home, rather than dining out
b. using budgeted cash only
c. forgoing premium cable TV channels
d. purchasing reduced fat lattes during the week
Out of the given options, you won't reduce your spending by d. purchasing reduced fat lattes during the week.
How can we reduce spending?The best way to reduce spending is by spending less on things that we don't need or that we can do without.
In this case, spending on fat lattes won't be a way to reduce spending because they aren't very significant.
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a seller transfers title to a buyer with a general warranty deed. in which clause of the deed does the seller define the quality of ownership interest conveyed to the buyer?
A seller transfers title to a buyer with a general warranty deed. The seller defines the quality of ownership interest conveyed to the buyer in the habendum.
Habendum is an important concept in real estate and property transactions. It may also be used in other transactions related to leases and deeds, for example in the energy sector.
A habendum clause is part of a contract that is concerned with the rights, interests, and other features of ownership that is transferred to the other party. In cases of transfer of rights, for example in relation to a coal mine, it sets out the nature of the right and its duration.
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a company issued 5%, 20-year bonds with a face amount of $80 million. the market yield for bonds of similar risk and maturity is 6%. interest is paid semiannually. at what price did the bonds sell?
The bond will sell at a price equal to $70754091.21.
If a bond is not earning at the market interest rate and the bond is at a lost and the owner of the bond feels that he will incur loss by keeping the bond so he sells the bond. He takes into account all the factors of the bond and determines the current selling price of the bond. According to the question, the face value of the bond is $80000000 and the coupon rate is 5%, the market interest rate is 6% and the maturity period for the bond is equal to 20 years. The selling price of the bond is calculated and attached with the answer. We find that the bond price that is calculated is lower than the par value the bond should be selling at a discount.
The formula for calculating Bond price will be expressed as
Bond Price = C × [1 - (1 + r)⁻ⁿ]/r + [F/(1 + r)ⁿ]
where F = Face/Par value of bond
r = Yield to maturity
C = periodic coupon payment
n = number of periods till maturity
So, Bond Price = 0.05 × [1 - (1 + 0.06)⁻⁶]/r + [$80000000/(1 + 0.06)⁶]
Bond Price = $70754091.21
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What types of planning can be done to improve a nation’s economy?
A nation can undergo ____ planning or ___ planning in order to improve its economy.
Answer:
A nation can undergo long-term planning or constructive planning in order to improve its economy. Long-term planning involves setting goals and implementing policies that will have an impact over a period of several years. This type of planning may involve investments in education, infrastructure, and research and development, among other areas. Constructive planning involves implementing policies that encourage economic growth and development, such as reducing barriers to trade, promoting entrepreneurship and innovation, and investing in key industries. These types of planning can help a nation to create jobs, increase productivity, and improve living standards for its citizens. THANK YOUThe typical _____ bond pays interest periodically, usually every six months, during the life of the bond and repays the entire principal amount borrowed at maturity
The typical debenture bond pays interest periodically, usually every six months, during the life of the bond and repays the entire principal amount borrowed at maturity.
Debenture bond is also called as unsecured bond which pays interest periodically, usually every six months. This bond is unsecured by any collateral, such as U.S. Treasury Bonds.
Debenture bond helps large companies who are with good credit scores, and good cash flow, lots of assets. Thus, these companies are more likely to use debenture bond, which let them avoid tying up assets.
Hence, the debenture bond pays interest periodically, usually every six months.
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what is quantitative easing? how is it different from open market operations? has the fed had favorable results with it since the 2007 financial crisis?
Quantitative easing is a central bank tool to boost the economy by increasing money supply and lowering interest rates. The Fed has used it since 2007 with mixed results, including during COVID-19, but it should be used cautiously.
Quantitative easing (QE) is a monetary policy tool used by central banks to stimulate the economy by increasing the money supply and lowering interest rates. This is achieved by purchasing government securities and other assets from banks, which in turn increases the bank's reserves and liquidity.
The ultimate goal is to encourage lending and investment, thus boosting economic activity. Open market operations, on the other hand, involve the buying and selling of government securities in the open market. This is done to influence short-term interest rates and maintain price stability.
While both QE and open market operations involve the purchase of securities, QE is more targeted towards increasing the money supply and supporting credit markets. The Federal Reserve (the Fed) has employed QE as a tool to stimulate the economy since the 2007 financial crisis.
The results have been mixed, but generally favorable. QE was effective in stabilizing financial markets and preventing a deeper recession in 2008-2009. However, it has also been criticized for exacerbating income inequality and contributing to asset bubbles.
Since the crisis, the Fed has implemented several rounds of QE, with the latest being in response to the COVID-19 pandemic. While QE has been successful in providing support to the economy during times of crisis, it is important to note that it is not a long-term solution and should be used cautiously to prevent unintended consequences.
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Carlos purchased an apartment building on November 16, 2020, for $ 3,000,000 Determine the cost recovery for 2020. a. $ 9,630 b. $ 11,910 c. $ 13,950 d. $ 22, 740
The correct cost recovery for 2020 for Carlos' apartment building purchase is option B, $11,910. Cost recovery is also known as depreciation and refers to the method used to spread the cost of an asset over its useful life. For a residential rental property, the useful life is 27.5 years.
To calculate the cost recovery for 2020, we need to use the straight-line method, which means dividing the cost of the building by its useful life.
In this case, Carlos purchased the apartment building for $3,000,000 in November 2020. Since the building was not in use for the entire year, we need to calculate the cost recovery for a partial year, which is determined by the mid-month convention. Under this convention, we assume that the building was placed in service on the 15th of the month it was acquired.
Therefore, the cost recovery for 2020 is calculated as follows:
($3,000,000 / 27.5 years) x 1.5 months = $16,364. After applying the mid-month convention, we divide the result by 12 months to get the cost recovery for the partial year of 2020, which is $1,364.
So the correct answer is $1,364 x 8.75% = $11,910, which is option B.
In summary, the cost recovery for 2020 for Carlos' apartment building purchase is $11,910, which is determined by dividing the cost of the building by its useful life using the straight-line method and applying the mid-month convention for a partial year.
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what do you like to do
Answer:
I like singing, playing soccer, drawing, painting, and playing video games.
Explanation:
How is a credit union different from a bank?
O Acredit union offers services to companies instead of individuals.
A credit union only offers credit, it does not store money.
Acredit union is usually larger than a bank.
O A credit union is owned by its customers.
Answer:
a credit union is owned by its costumers (D)
Explanation:
i took the assignment!!
A password that contains full sentences or lines from a favorite movie or book is called a
•catchphrase
•moviebook
•passbook
•passphase
Answer:
passphrase is the correct answer
Answer: passphrase
Explanation:
I did the exam