(1 point) rework problem 25 from section 1.3 of your text, involving a drug marketing survey. assume that 175 surveys are completed. of those surveyed, 85 responded positively to effectiveness, 89 responded positively to side effects, and 80 responded positively to cost. also, 46 responded positively to both effectiveness and side effects, 39 to effectiveness and cost, 43 to side effects and cost, and 25 to none of the items. How many responded positively to all three?

Answers

Answer 1

The number of people who responded positively is -97. Since the answer is negative, it means that the number of people who responded positively to all three is 0.

To find the number of people who responded positively to all three, we need to subtract the number of people who responded positively to two or fewer items from the total number of people surveyed.

First, we need to find the number of people who responded positively to exactly two items:

Responded positively to effectiveness and side effects: 46

Responded positively to effectiveness and cost: 39

Responded positively to side effects and cost: 43

So, 46 + 39 + 43 = 128 people responded positively to exactly two items.

Next, we need to find the number of people who responded positively to exactly one item:

Responded positively to effectiveness: 85 - 46 = 39

Responded positively to side effects: 89 - 46 = 43

Responded positively to cost: 80 - 43 = 37

So, 39 + 43 + 37 = 119 people responded positively to exactly one item.

Finally, we subtract the number of people who responded positively to two or fewer items (128 + 119 + 25 = 272) from the total number of people surveyed (175):

175 - 272 = -97

Thus, the result is -97

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Related Questions

andrew, a college student, loves drinking coffee late at night to study for exams. having no income, he is used to buying cheap, bad-tasting coffee, such as beanlightened, that he needs to grind and brew himself. the coffee tastes putrid but, with enough cream and sugar, andrew is able to tolerate it. occasionally, he does go out to starbucks when he has spare money. after graduation, andrew gets a job working at a database firm as a programmer. his income is now a healthy $75,000 a year, and he decides he has had enough bad-tasting coffee. he ends up buying coffee daily from starbucks, even though it costs significantly more than beanlightened. Andrew's demand for Starbucks coffee changed as a result of O a change in expectations. O a change in technology O a change in a related good or service. O a change in income O a change in the number of consumers o Previous 8 Give up s view sok son Check Answer Next tl

Answers

Andrew's demand for Starbucks coffee changed as a result of a change in income.

Andrew's demand for Starbucks coffee changed because his income increased after he got a job as a programmer. Before he started working, he was a college student with no income and could only afford to buy cheap, bad-tasting coffee that he had to grind and brew himself.

However, after getting a job with a healthy income of $75,000 a year, he was able to afford the more expensive, better-tasting coffee from Starbucks. This change in demand was caused by a change in Andrew's income, not a change in expectations, technology, a related good or service, or the number of consumers.

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identify each of the following situations as something that either promotes growth or inhibits growth.

Answers

Economic growth will be slowed by rising official corruption that allows for home theft. The adoption of patent system will stimulate economic expansion.

What are the advantages of economic expansion?

Good governance and the availability of public goods both expand with economic expansion. As economies expand, states are better able to tax the resulting income and acquire the ability and resources necessary to deliver the goods and services that their residents require, such as healthcare, education, social protection, and basic public services.

Which benefits and drawbacks come with economic growth?

Economic growth's benefits and drawbacks

higher consumption.

more money being spent on public services.

decreased unemployment

conceivable inflation

Debt-to-income ratio is high.

environmental expenses.

income discrepancy

cost to society of economic development.

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Single Plantwide Factory Overhead Rate
Scrumptious Snacks Inc. manufactures three types of snack foods: tortilla chips, potato chips, and pretzels. The company has budgeted the following costs for the upcoming period:
Factory depreciation $16,367 Indirect labor 40,561 Factory electricity 4,625 Indirect materials 9,607 Selling expenses 22,771 Administrative expenses 12,809 Total costs $106,740 Factory overhead is allocated to the three products on the basis of processing hours. The products had the following production budget and processing hours per case:
Budgeted Volume
(Cases) Processing Hours
Per Case
Tortilla chips 5,700 0.12 Potato chips 4,200 0.10 Pretzels 4,500 0.15 Total 14,400 If required, round all per-case answers to the nearest cent.
a. Determine the single plantwide factory overhead rate.
$fill in the blank 1 per processing hour
b. Use the overhead rate in (a) to determine the amount of total and per-case overhead allocated to each of the three products under generally accepted accounting principles.
Total
Factory Overhead Per-Case
Factory Overhead
Tortilla chips $fill in the blank 2 $fill in the blank 3
Potato chips fill in the blank 4 fill in the blank 5
Pretzels fill in the blank 6 fill in the blank 7
Total $fill in the blank 8

Answers

a. The total budgeted factory overhead costs are $106,740 and the total budgeted processing hours are 14,400. Therefore, the single plantwide factory overhead rate is $106,740/14,400 = $7.44 per processing hour.

b. Use the overhead rate to determine the amount of total and per-case overhead allocated to each of the three products:

Tortilla chips:

Total processing hours = 5,700 cases x 0.12 processing hours per case = 6,840 hours

Total overhead allocated = 6,840 hours x $7.44 per hour = $51,054.40

Per-case overhead allocated = $51,054.40 ÷ 5,700 cases = $9.01 per case

Potato chips:

Total processing hours = 4,200 cases x 0.10 processing hours per case = 420 hours

Total overhead allocated = 420 hours x $7.44 per hour = $3,138.40

Per-case overhead allocated = $3,138.40 ÷ 4,200 cases = $7.45 per case

Pretzels:

Total processing hours = 4,500 cases x 0.15 processing hours per case = 675 hours

Total overhead allocated = 675 hours x $7.44 per hour = $5,051

Per-case overhead allocated = $5,051 ÷ 4,500 cases = $1.12 per case

Total:

Total overhead allocated = $51,054.40 + $3,138.40 + $5,051 = $59,244.80.

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Awarded overhead totals are $51,054.40, $3138.40, and $5,051 for a total of $59,244.80.

The overall budgeted processing hours are 14,400, and the total projected factory overhead costs are $106,740. The single manufacturing overhead rate for the entire facility is therefore $106,740/14,400, or $7.44 per processing hour. To calculate the amount of overall and per-case overhead allotted to each of the three goods, use the overhead rate: Crispy tortillas: 6,840 hours are needed to process all cases (5,700 cases x 0.12 processing hours per case). 6,840 hours divided by $7.44 an hour equals $51,054.40 in total overhead; 5,700 cases divided by $51,054.40 equal $9.01 per case in total overhead. fried potatoes, 4,200 cases x 0.10 processing hours per case divided by total processing hours equals 420 hours.

Total overhead budgeted equals 420 hours multiplied by $7.44 per hour equals $3,138.40 Each-case budgeted equals $3,138.40 divided by 4,200 cases, or $7.45 per case. Pretzels: 4,500 cases times the number of processing hours.4,500 cases x 0.15 processing hours each case = 675 total processing hours. Total overhead allotted is $5,051 (675 hours x $7.44/hour). Awarded per-case overhead is $5,051 divided by 4,500 cases, or $1.12 each case. Awarded overhead totals are $51,054.40, $3138.40, and $5,051 for a total of $59,244.80.

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g determine whether each of the following topics would more likely be studied in microeconomics or macroeconomics. microeconomics macroeconomics the effects of advertising on the pricing of used cars the government's decision on how much to spend on public projects the effect of government regulation on a monopolist's production decisions

Answers

The choice of how much to spend on public works will have an impact on the entire nation and its economic structure.

Microeconomics investigates how economic events affect specific parties in the economy, such as consumers and businesses, while macroeconomics studies how economic events affect the entire economy as a whole. government regulation's impact on a monopolist's production choices MICROECONOMICS: This is about how a governmental regulation will affect monopolists as a result of an economic occurrence. A rise in the money supply's impact on inflation's rate: This is considered macro since it addresses how an increase in the money supply will affect the overall country's inflation rate. The choice of how much to spend on public works will have an impact on the entire nation and its economic structure.

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The initial direct costs of leasing Select one: A. include incremental costs. B. are generally borne by the lessee. C. include lessor advertising costs. D. are expensed in the period of the sale under a sales-type lease.

Answers

The initial direct costs of leasing generally A: include incremental costs.

Incremental costs are expenses that are directly associated with negotiating and arranging a lease, such as legal fees, inspection fees, and appraisal costs. These costs are usually incurred by the lessee and are usually capitalized as part of the lease liability or lease asset. Lessor advertising costs are not typically considered initial direct costs of leasing. The treatment of initial direct costs of leasing under a sales-type lease would depend on the specific circumstances and accounting guidance applicable to the transaction.

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What is the selling price of the bonds?

This announcement is not an offer of securities for sale or an offer to buy securities.

New Issue October 15, 2021
$750,000,000
CRAFT FOODS, INC.
7.75% Debentures Due October 1, 2031
Price 100.5%

1. Is the market rate of interest higher or lower than 7.75% when the Craft Foods bonds were issued.

2. What is the selling price of the bonds?

Answers

1. From the information, it is not specified in the given information whether the market rate of interest is higher or lower than 7.75% when the Craft Foods bonds were issued.

2. The selling price of the bonds is $757,500,000

How to calculate the price?

It should be noted that the selling price of the bonds is determined by multiplying the face value of the bonds by the price percentage.

In this case, the face value of the bonds is $750,000,000 and the price percentage is 100.5%, so the selling price would be:

$750,000,000 x 100.5%

= $757,500,000

It's worth noting that the price percentage being 100.5% means that the bonds are being sold at a slight premium.

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the marketing program part of the planning phase of the strategic marketing process includes which of these? multiple choice a. developing a mission statement
b. market segmentation c. analyzing the competitors d. developing the budget e. exploiting positive deviations

Answers

The marketing program part of the planning phase of the strategic marketing process includes c. analyzing the competitors

What steps comprise the strategic marketing planning phase?

Result for an image Which of these is a component of the marketing program at the planning stage of the strategic marketing process?

Situation (SWOT) analysis, market-product focus and goal setting, and marketing program are the three steps of the planning phase.

a methodical strategy for achieving marketing objectives. The process includes the following steps: scenario analysis, goal-setting, strategy formulation, action program development, implementation, control, review, and assessment.

Therefore option A is  correct.

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stronger dipole-dipole interactions will typically result in a: select the correct answer below: higher boiling point lower boiling point lower melting point none of the above A. higher boiling point B.lower boiling point C. lower melting point D.none of the abov

Answers

Stronger dipole-dipole interactions will typically result in a higher boiling. Thus, option A is correct.

What is a dipole-dipole interaction, simple explanation?

Dipole-dipole forces are forces of attraction that exist between the positive and negative ends of polar molecules. The intensities of dipole-dipole forces range from 5 kJ to 20 kJ per mole.

Dipole-dipole attractions are weak in part because dipole charges are only half charges rather than complete charges.

The three intermolecular forces that have the greatest influence on the boiling point are hydrogen bonding, dipole-dipole interactions, and ionic interactions. The boiling point rises as the strength of these three intermolecular interactions increases. Therefore, option A is correct.

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economic downturns or upturns, government legislation, new technologies The external control view of leadership emphasizes the role of which of the following types of factors in the success or failure of a firm?

Answers

economic downturns or upturns, government legislation, new technologies all are an external external control view of leadership emphasizes the role of success or failure of a firm.

What are profitable upturns and downturns?

The expansion, peak, and recovery are considered upturns, while the recession, depression, and trough are considered downturns. a veritably deep and prolonged profitable downturn- The business cycle is the cycle of upturns and downturns. A prolonged profitable downturn is called a recession.

What's a legislation in government?

Legislation refers to the medication and enactment of laws by a legislative body through its legislator process. The legislative process includes assessing, amending, and advancing on proposed laws and is concerned with the words used in the bill to communicate the values, judgments, and purposes of the offer.

what are new technologies?

Arising technologies are technologies whose development, practical operations, or both are still largely unrealized. These technologies are generally new but also include aged technologies chancing new operations. Arising technologies are frequently perceived as able of changing the status quo.

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The annual rate of return on any given stock can be found as the stock's dividend for the year plus the change in the stock's price during the year, divided by its beginning-of-year price. If you obtain such data on a large portfolio of stocks, like those in the S&P 500, find the rate of return on each stock, and then average those returns, this would give you an idea of stock market returns for the year in question.
True
False

Answers

The statement ''If you obtain such data on a large portfolio of stocks, like those in the S&P 500, find the rate of return on each stock and then average those returns, this would give you an idea of stock market returns for the year in question'' is false.

While finding the rate of return on each stock in the S&P 500 and averaging the returns would give an idea of the stock market returns for the year, it would not give the complete picture.

It only considers the performance of the stocks in the portfolio and does not take into account other factors such as changes in the overall economy, interest rates, or government policies.

Additionally, the average rate of return on a portfolio of stocks can be influenced by outliers, such as a few stocks with particularly high returns, which may not accurately reflect the performance of the broader market. A more comprehensive analysis of the stock market would consider a wider range of indices and factors.

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tvm consulting bought new building for its headquarters in the year 2000. the purchase cost was 766,335 dollars and the company spent an additional 53,586 dollars adapting the space before it was put into service. the building has been in use since june 21st, 2000. tvm consulting forecasted that in 2030 the building would have a net salvage value of $1,000,000. estimate the net cash flow from salvage value after taxes if tvm consulting decides to sell the building on april 15th 2004 for $1,083,413, and the capital gains tax rate is 34%. (note: round your answer to two decimal places; do not include spaces or dollar signs; do not round the recovery factors from the depreciation tables)

Answers

The net cash flow from the salvage value after taxes is $905,015.77.

To calculate the net cash flow from the salvage value, we need to first determine the accumulated depreciation for the building as of April 15, 2004.

We know the building was put into service on June 21, 2000 and its expected net salvage value in 2030 is $1,000,000. Based on this information, we can calculate the annual straight-line depreciation using the following formula:

Depreciation = (Cost - Salvage Value) / Life in Years

Where Cost = 766,335 + 53,586 = $819,921

Life in Years = 2030 - 2000 = 30

Depreciation = ($819,921 - $1,000,000) / 30 = -$23,397.03

Since the building has been in service for 4 years (2004 - 2000), the accumulated depreciation as of April 15, 2004 is

4 years * $23,397.03 = $93,588.12.

Next, we subtract the accumulated depreciation from the cost of the building to determine the adjusted basis:

Adjusted Basis = Cost - Accumulated Depreciation

= $819,921 - $93,588.12

= $726,332.88

Finally, we calculate the capital gains tax:

Capital Gains Tax = (Sale Price - Adjusted Basis) * Tax Rate

= ($1,083,413 - $726,332.88) * 34%

= $178,397.23

And the net cash flow from the salvage value is:

Net Cash Flow = Sale Price - Capital Gains Tax = $1,083,413 - $178,397.23 = $905,015.77

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a national car rental firm targets 50 percent of its advertising to salespeople who rent a car over 40 weeks per year. the company is using segmentation.

Answers

The company is using behavioural segmentation. Thus option B is correct.

What is behavioural segmentation?

According to their interactions with a specific company or website, customers are segmented into groups according to their behaviour in a process known as behavioural segmentation.

Customers may be divided into these segments based on:

how they feel about your brand, service, or product.Your product or service that they use.their general familiarity with your company and the goods you sell.Their buying habits, such as their preference for making purchases only on special days like holidays or birthdays, etc.

It is possible to execute more effective marketing campaigns by using behavioural data in addition to the conventional demographic and geographic segmentation techniques.

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Complete question:

The nominal return is the return on an investment after the impact of inflation and taxes is taken into account.

Answers

The statement ''the nominal return is the return on an investment after the impact of inflation and taxes is taken into account'' is false.

The nominal return is the return on an investment before the impact of inflation and taxes is taken into account. It represents the raw or basic rate of return on an investment, expressed in current dollars.

For example, if you invested $100 and received $110 in return, the nominal return would be 10%.

However, the real or inflation-adjusted return takes into account the impact of inflation and taxes, and is a more accurate measure of the true return on the investment, considering the decrease in purchasing power due to inflation and the reduction in return due to taxes.

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The nominal return is the return on an investment after the impact of inflation and taxes is taken into account. True or false.

The balance of accounts reported on the balance sheet carry forward from one period to the next. this statement is: ______

Answers

The balance of accounts reported on the balance sheet carries forward from one period to the next. this statement is a real account.

A real account represents the account which at the end of the year retains and carries forward its total ending balance. These sums then serve as the initial balances for the subsequent period. These accounts are contained in the balance sheet's assets, liabilities, and equity categories.  

The assets, liabilities, and equity of a firm are represented by real accounts, which are sometimes known as permanent accounts or tangible accounts. They are referred to as "real" because they represent the material, enduring characteristics of a company's financial position, such as its real estate, plant, and equipment, its debt commitments, and its accumulated gains or losses.

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which of the following should not be included in the cost of land acquired by royer inc. for the purpose of building a new factory on it. group of answer choices $1,800 delinquent property taxes $6,300 demolition costs to raze old building on the site $600 fine for failure to get permit for demolition none of the above

Answers

Ahrens should capitalize the demolition costs and treat them as part of the land cost. The degree of coverage is provided in accordance with the agent's genuinely needed requirements.

The term "demonstration cost" refers to the costs incurred to demolish all or a portion of the Property, including the cost of cleaning the site, if any law or legislation in force at the time of the loss demands the destruction. The degree of coverage is provided in accordance with the agent's genuinely needed requirements. Because they represent a cost of using the prior asset, the costs of demolition are not included in the cost of the new asset. The size of a house, along with a few other smaller factors, greatly affects how much it will cost to demolish it. As you may expect, destroying a small cottage will be much less expensive than hiring demolition professionals to pull it down.

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the opportunity cost of building a new high school is : the opportunity cost of building a new high school is other goods and services, which must now be sacrificed to build the new high school the expense of hiring more teachers for the new high school the expense of new desks, chalkboards and books for the new high school over crowded classrooms

Answers

The opportunity cost of building a new high school is: other goods and services, which must now be sacrificed to build the new high school.

What is opportunity cost?

In economics, the term "opportunity cost" refers to the benefits that are forgone when one option is chosen over another. In a nutshell, it represents the value of the path not travelled. Opportunity costs are simple to overlook, but comprehending missed opportunities is essential to making better business decisions.

The idea behind opportunity cost is that as a business owner, your resources are always finite. That is to say, you can't take advantage of every opportunity because you have a limited amount of time, money, and expertise. You must inevitably give up on the others if you choose one. They are incompatible with one another. Your opportunity cost is the worth of those other people.

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which actions or methods were used by the united states to engage in proxy wars? select four answers.selling weapons to proxy nationsdirectly fighting the soviet militarycreating alliances between friendly nationssupporting military coups and dictatorshipsproviding economic aidinvading afghanistan to fight mujahideenencouraging seizure of private property

Answers

Selling arms to proxy states, forging sympathetic alliances, backing military takeovers and dictatorships, and offering financial assistance.

What are VPN and proxies?

When you use a VPN or a proxy, your internet traffic is redirected through a distant server, hiding your IP address. However, a VPN protects and encrypts all of your internet traffic for further protection and privacy, whereas a proxy only functions with a specific app or service.

A VPN is a proxy, right?

No. Your IP address is hidden by both a VPN and a proxy server. But unlike a proxy server, a VPN will additionally secure the information you send and receive.

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Item19
1.2
points
Return to questionItem 19
Your company has been approached to bid on a contract to sell 5,600 voice recognition (VR) computer keyboards a year for four years. Due to technological improvements, beyond that time they will be outdated and no sales will be possible. The equipment necessary for the production will cost $4.7 million and will be depreciated on a straight-line basis to a zero salvage value. Production will require an investment in net working capital of $475,000 which will be returned at the end of the project, and the equipment can be sold for $465,000 at the end of production. Fixed costs are $650,000 per year, and variable costs are $91 per unit. In addition to the contract, you feel your company can sell 14,600, 16,700, 19,500, and 12,000 additional units to companies in other countries over the next four years, respectively, at a price of $202. This price is fixed. The tax rate is 21 percent, and the required return is 12 percent. Additionally, the president of the company will undertake the project only if it has an NPV of $100,000. What bid price should you set for the contract? (Do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.)

Answers

In this exercise we have to use financial knowledge to calculate the bid price that each contract will offer, thus we find that:

What is Contract Price Per year ?

The contract price per year is    and  per unit.

So using some formulas and concepts already known we found that:

Initial outlay:

Depreciation expense per year:

Resale value:

After tax resale value:

So doing the calculation of the total revenue for each year we find that:

Year 1:

Year 2:

Year 3:

Year 4:

So doing the calculation of the total variable costs for each year we find that:

year 1:

year 2:

year 3:

year 4:

Knowing that fixed costs per year is $643,000. Now So doing the calculation of the cash flow  for each year we find that:

cash flow year 1:

cash flow year 2:

cash flow year 3:

cash flow year 4:

present value of cash flows:

CF₁:

CF₂:

CF₃:

CF₄:

Since NPV = $100,000 at least, then we have:

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Refer to the above diagram of three demand curves for coffee. Which of the following would cause a shift in coffee demand from D1 to D2?
An increase in the prices of cream and sugar
An increase in consumer incomes
A decrease in the price of coffee
A decrease in the price of tea

Answers

The diagram of three demand curves for coffee. A decrease in the price of coffee of the following would cause a shift in coffee demand from D1 to D2.  Thus, option (c) is correct.

What is demand?

The term “demand” is relying on people needs and wants to the amount of goods and services. Demand is an economic notion that deals with the connection between consumer demand for goods and services and their market prices.

The diagram depicts a shift to the left in the demand curve from D1 to D2, indicating that causes other than commodity prices are causing demand to fall. The tea and coffee demand curves were displayed.

As a result, the significance of the demand curves are the aforementioned.

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Money received in the form of dividends or interest is _________ income.
a. excluded
b. investment (incorrect)
c. earned
d. passive
e. capital gain

Answers

Money received in the form of dividends or interest is investment  income. So option b is the correct one.

What is money earned as dividends or interest?

Interest payments, dividends, capital gains from the sale of stocks or other assets, and any other profit from a different sort of investment are all considered to be forms of investment income.

Do dividends qualify as income?

Although all dividends given to shareholders must be included in their gross income, eligible dividends are treated more favorably under the tax code. While ordinary dividends are subject to the usual federal income tax rates, qualified dividends are taxed at the capital gains rate.

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When a company is looking to raise money through issuing more shares of stock, that is considered in the secondary market. True False

Answers

Answer:

True the secondary market

Final answer:

The statement is false. The issuance of new shares is a transaction in the primary market, not the secondary market. These terms refer to distinct stages in the life cycle of securities.

Explanation:

The statement is false. When a company is looking to raise money by issuing more shares of stock, it's considered in the primary market, not the secondary market. The primary market is where new securities are issued and sold to investors. By contrast, the secondary market is where investors trade these previously-issued securities amongst themselves. An example of the primary market is when a company goes public by issuing an initial public offering (IPO).

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The following supply and demand functions belong to the wheat market in a country, where Qs=quantity supplied per week, Qd is quantity demanded per week, P = price. The currency of the country is TL.
Qd= 240-20P : Qs= -60 +30p

1) what is the price elasticity of demand ,At the equilibrium point
a. -1
b. -1/400
C.-1/4 D.0 E.-1/8

2- Based on the elastielly number you found in the previous question, a 2% increase in price causes what in quantity demanded.
a. 0.5% decrease b. 1/200 % decrease
c. 1% decrease
d. 2 % decrease
e. 20% decrease

Answers

The price elasticity of demand ,At the equilibrium point is: a. -1 and the quantity demanded is c. 1% decrease.

How to find  the price elasticity of demand?

1. To find the price elasticity of demand at the equilibrium point, we need to find the equilibrium price and quantity first.

Setting Qd=Qs, we have:

240-20P = -60+30P

300=50P

P = 6

At P = 6, the quantity demanded is Qd=240-206=60 and the quantity supplied is Qs= -60 +306=0.

To find the price elasticity of demand, we use the formula:

Ed = (%ΔQd / ΔQd) / (%ΔP / ΔP)

Where:

ΔQd is the change in quantity demanded, and ΔP is the change in price.

Since Qd = 60, we use the midpoint formula for elasticity:

Ed = (60 / (60/2)) * (20 / (6/2))

Ed = -1

So the answer is A: -1.

2. A 2% increase in price would cause a change in the quantity demanded given by:

ΔQd = -Ed * Qd * ΔP / P

Where:

Ed is the price elasticity of demand (found in question 1 as -1), Qd is the quantity demanded (found in question 1 as 60), ΔP is the percentage change in price (2%), and P is the price (6).

ΔQd = -(-1) * 60 * 2 / 100 * 6

ΔQd = 2

So a 2% increase in price would cause a 2% decrease in quantity demanded, so the answer is C: 1% decrease.

Therefore the correct option is A and C.

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The demand for winter coats is P = 250-4QD-
The supply of winter coats is P = 200 +5Qg-
What is the equilibrium price of a winter coat and what is the equilibrium quantity of winter coats?
The equilibrium price is $
>>> Answer to the nearest whole number.
a winter coat, and the equilibrium quantity is
winter coats per day.

Answers

Answer:

To find the equilibrium price and quantity, we need to set the demand and supply equations equal to each other and solve for P and Q:

P = 250 - 4QD = 200 + 5Qg

50 = 4QD - 5Qg

To solve for Q, we can isolate one of the variables and substitute it back into one of the equations. Let's isolate QD:

QD = (50 + 5Qg) / 4

Substituting this into the demand equation:

P = 250 - 4((50 + 5Qg) / 4)

P = 250 - 50 - 5Qg

P = 200 - 5Qg

Setting the demand and supply equations equal:

200 - 5Qg = 200 + 5Qg

0 = 400

Since this is an impossible result, it means that the market does not have an equilibrium price and quantity. This could be due to a price floor, a price ceiling, or a simple mismatch between demand and supply.

In a database system, which of the following is a feature that enables multiple users to access the same data at the same time? concurrency

Answers

Option D. Concurrency is a feature of database systems that allows multiple users to access the same data simultaneously. This is typically accomplished through the use of locks and other techniques that ensure that data is not corrupted by concurrent access.

Using Concurrency to Enable Simultaneous Data Access in Database Systems

Database systems enable multiple users to access the same data at the same time by using a feature called concurrency. Concurrency is the ability of a system to handle multiple transactions and ensure that those transactions are isolated from each other. This is accomplished by using locks and other techniques to ensure that data is not corrupted by concurrent access. Concurrency also provides the ability to rollback transactions if an error occurs, allowing the system to remain consistent and reliable.

Since the question is not complete, here's the full task:

In a database system, which of the following is a feature that enables multiple users to access the same data at the same time?

Choose the right option:

A. AtomicityB. IsolationC. DurabilityD. Concurrency

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which of the following statements describe situations potentially subject to the special valuation rules under irc chapter 14? transfers of publicly traded securities transfers of term interests in trust restrictions upon the right to acquire, use, or sell property at less than fair market value lapses of voting or liquidation rights in business entities a) iii and iv b) ii, iii, and iv c) i and iii d) i and ii

Answers

a) iii and iv describe situations potentially subject to the special valuation rules under IRC chapter 14.

Limiting taxpayers' ability to pass on appreciating assets to family members while preserving some share or influence over the property. Transfers of term trust interests.

Restrictions on the right to buy, use, or sell property for less than fair market value, as well as lapses of voting or liquidation rights in business entities, are scenarios that may be subject to the IRC Chapter 14 special valuation regulations.

Exceptions allow some estate freezes to continue through the use of trusts and other means, but the rules are complicated. This on-demand course, Special Valuation Rules, 'Estate Freezes,' with Chapter 14:

Code Secs. 2701-2704, discusses the special valuation rules on estate freezes and outlines the constraints put on retained interests under Code Secs. 2701-2704.

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In classifying a risk the home office underwriting department will look at all of the following except? Applicants past income

Answers

In classifying a risk the home office underwriting department will look at applicant's past medical history, applicant's present physical condition, applicant's present occupation. Hence, the applicant's past income will not be looked at. (option D)

Standard, substandard, and preferred are the three rating classifications that indicate the risk level of insureds. This classification system assists insurers in determining whether an insured should pay a higher premium.

When you apply for life insurance, you are placed in what is known as an underwriting class. Your health, employment, interests, and family history of sickness all play a role in the classes you are assigned.

Your insurance company will want to know about your present health status in order to determine a reasonable price for your coverage, a process called as medical underwriting. This means you'll be questioned about your age, weight, height, medical history, lifestyle choices, and any other factors that could affect your future health. These questions will eventually be used to guide the underwriting process, in which the insurance company evaluates the risk of providing you with coverage.

Your question is incomplete, most likely it was:

In classifying a risk, the Home Office underwriting department will look at all of the following EXCEPT: A. Applicant's past income B. Applicant's past medical history C. Applicant's present physical condition D. Applicant's present occupation

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if the monopolist produces the allocatively efficient level of output rather than the profit-maximizing level of output, consumer surplus will responses decrease by the area p5jkp4 decrease by the area p 5 jkp 4 decrease by the area p5jmp2 decrease by the area p, 5, jmp, 2 increase by the area p5jgp1 increase by the area p, 5, jgp, 1 increase by the area p5jkp4 increase by the area p 5 jkp 4 increase by the area p5jmp2

Answers

The surplus consumers will increase by the area P5 JK P4, if the monopolist produces the allocatively efficient level of output rather than the profit-maximizing level of output. So the correct option is F.

In economic and business, a monopolist produces generally can be defined as an output level below the socially efficient quantity and prices its product at a higher price than a perfectly competitive firm. A monopoly firm produces the quantity at which marginal cost equals marginal revenue to reach the maximize profit or minimize losses. The price of the marginal cost is given by the point on the demand curve that corresponds to this quantity.

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DuPONT ANALYSIS Henderson’s Hardware has an ROA of 11%, a 6% profit margin, and
an ROE of 23%. What is its total assets turnover? What is its equity multiplier?

Answers

Total assets turnover is 0.54 %

The equity multiplier is 3.872%

What is Equity multiplier ?

The phrase "equity multiplier" describes a risk indicator that calculates the percentage of a company's assets that are funded by equity rather than debt. By dividing a company's total asset value by the total equity held in the company's stock, the equity multiplier is determined.

Given in the question

return on assets 11% ; profit margin 6% ; return on equity 23%

ROA can be calculated: ROA = profit margin x total assets turnover

so total assets turnover = ROA / PM = 6% / 11% = 0.54

ROE can be calculated: ROE = profit margin x total assets turnover x equity multiplier

so equity multiplier = ROE / (PM x TATO) = 23% / (11% x 0.54%) = 3.872%

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because of a sudden and unanticipated severe shortage of heating fuel, the president has ordered all offices of federal executive agencies to be open only four days per week. the president's order allows an exception to the extent that emergency circumstances require different hours of operation (as in the case of federal hospitals). when congress enacted the appropriations statute for operating all federal executive agencies, its members assumed that the offices of those agencies would be open five days per week, but congress did not include such a requirement in its appropriations statute or in any other statute.

Answers

President has the authority to adjust the operations of federal executive agencies as needed, in this case to conserve fuel during a shortage.

The President's order is based on the fact that Congress, when it enacted the appropriations statute for operating federal executive agencies, did not include a requirement for these agencies to be open five days a week.

The exception for emergency circumstances, such as federal hospitals, is an important consideration. These hospitals must continue to operate 24/7, as they provide essential services to the public.

In mathematical terms, we can represent the original assumption of five days a week of operation as 5 days.

The President's order reduces this to 4 days, which represents a 20% decrease in the number of operational days

=> (5 days - 4 days = 1 day / 5 days * 100% = 20%).

However, this decrease is limited by the exception for emergency circumstances, which ensures that essential services continue to be provided.

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What is the difference between contra entry and double entry

Answers

When using Double Entry mode to record the Contra voucher, we can choose from a variety of Debits and Credits.

What is double entry and contra entry?

The accounting system is known as double-entry accounting because every transaction made by a corporation affects two or more accounts.

Transactions involving cash and a bank account are referred to as contra entries. In other words, a counter entry is any entry that has an impact on both bank accounts and cash. Contra is the reverse in Latin.

Each transaction is recorded in at least two accounts in a double-entry accounting system. This strategy, which is often employed by larger organizations, gives a clearer view of a company's financial situation.

A contra entry is a journal entry that documents transactions involving cash and/or bank accounts. The balance at the financial statement line item is unaffected by the accounting treatment of this entry. Therefore, the balance of the higher-level account will remain unchanged.

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