Throughout history, workers have responded to poor working conditions in various ways. One common response has been to form unions and engage in collective bargaining with employers to demand better pay, benefits, and working conditions.
Unions have often used strikes and other forms of direct action to pressure employers to make concessions. In some cases, workers have also turned to government intervention, either through the legislative process or through the courts, to improve working conditions. This has led to the development of labor laws and regulations that set minimum standards for things like hours, wages, and workplace safety. Individual workers have also responded to poor working conditions by seeking out other employment opportunities, either with other employers or in other industries altogether. Some workers have also engaged in acts of sabotage or other forms of direct action to protest poor working conditions, although these methods are generally less effective than collective action. Overall, the response of workers to poor working conditions has been varied and complex, and has evolved over time as the balance of power between employers and employees has shifted.
Learn more about employment here:
https://brainly.com/question/17459074
#SPJ4
A 65-year old man is retired and living on social security. He is married and his wife does not work. The client has inherited a small amount of money that he wishes to invest. What should you recommend as an investment?\A. Individual securitiesB. Variable annuitiesC. CDsD. Bond funds
I would recommend investing in CDs (Option C) for a 65-year old man who is retired and living on social security. CDs, or certificates of deposit, are a safe and low-risk investment option that can provide a steady stream of income without the potential for large losses.
This is important for someone who is retired and may not have the ability to recover from a large financial loss. CDs also typically offer higher interest rates than savings accounts, making them a better option for growing the small amount of money that the client has inherited. While individual securities, variable annuities, and bond funds may offer the potential for higher returns, they also come with a higher level of risk that may not be appropriate for the client's situation.
Learn more about personal finance and investment advice here:https://brainly.com/question/9046288
#SPJ11
the process of defining a marketing problem and opportunity, systematically collecting and analyzing information, and recommending actions is called ?
The process of defining a marketing problem and opportunity, systematically collecting and analyzing data, and recommending actions is called marketing research.
The goal of marketing research is to identify and assess how changing elements of the marketing mix is affecting the behavior of consumer . It also involves gathering the data about target market, competitors and industry as well. Then this data is analyzed to understand the problem and generate insights and recommendations that can be used for marketing decisions. At last, the recommended actions are implemented to improve the organization's performance. It is an important part of developing the effective marketing strategies and ensure a successful outcome.
To know more about marketing research click here
https://brainly.com/question/18723483
#SPJ4
if one foreign currency will appreciate against the dollar, then all foreign currencies will appreciate against the dollar but by different degrees. group of answer choices true false
When a country's foreign money appreciates in relation to overseas currencies, overseas items become less expensive in the domestic market and there is ordinary downward stress on domestic prices. In contrast, the expenses of domestic items paid by way of foreigners go up, which tends to reduce foreign demand for home products.
What causes greenback to appreciate?The dollar has been gaining electricity in opposition to the currencies of different important economies. The dollar is strong due to the fact the US economic system is more healthy than those of many different international locations and because the Federal Reserve maintains elevating hobby rates.
When the U.S. dollar appreciates against the euro, the dollar's alternate fee increases relative to the euro. So, the rate of a commodity in Europe is much lower than before as the dollar's fee is more than the cost of the euro.
Learn more about foreign currency here:
https://brainly.com/question/6675565#SPJ4precision aviation had a profit margin of 10.00%, a total assets turnover of 1.3, and an equity multiplier of 1.8. what was the firm's roe?
The firm's ROE is 23.40%.
The return on equity is a metric that measures a company's profitability in relation to its equity. Since shareholder's equity may be calculated by combining all assets and subtracting all obligations, ROE can also be conceived of as a return on assets minus liabilities.
Return on equity is computed by dividing a company's net income by the equity of its shareholders. ROE assesses a company's profitability and efficiency in generating profits. The higher a company's return on equity (ROE), the better it is at transforming equity capital into profits. While normal ratios and those considered "excellent" and "bad" vary widely by industry, a return on equity ratio of 15% to 20% is typically viewed as acceptable. The ratio is considered low at 5%.
ROE = Profit/Equity
ROE = 10%*1.3*1.8 = 23.40%
To learn more about Return on equity, here
https://brainly.com/question/27821130
#SPJ4
if the united states imposes an import quota on imported soybeans of q4 - q2, how much are the quota rents?
The united states imposes an import quota on imported soybeans The quota rents (2q2 - 2q4 + 2)/3.
Assuming that the demand and supply curves for soybeans in the United States are represented by the equations:
Qd = 20 - P (domestic demand)
Qs = 2P (domestic supply)
where P is the domestic price of soybeans and Qd and Qs are the quantities demanded and supplied, respectively.
Also assuming that the world price of soybeans is $6 per bushel.
If the import quota imposed by the United States is equal to q4 - q2, then the domestic supply curve is reduced to:
Qs = 2(P - q4 + q2)
To find the new domestic price, we need to find the intersection of the new domestic supply curve with the original domestic demand curve:
Qd = Qs
20 - P = 2(P - q4 + q2)
20 - P = 2P - 2q4 + 2q2
3P = 20 + 2q2 - 2q4
P = (20 + 2q2 - 2q4)/3
Therefore, the new domestic price is (20 + 2q2 - 2q4)/3.
The quota rent is the difference between this new domestic price and the world price of $6 per bushel:
Quota Rent = (20 + 2q2 - 2q4)/3 - 6
Simplifying this expression, we get:
Quota Rent = (2q2 - 2q4 + 2)/3
So the quota rents are (2q2 - 2q4 + 2)/3. Note that we would need to know the specific values of q2 and q4 to calculate the exact amount of the quota rents.
For more such questions on quotas
https://brainly.com/question/22434455
#SPJ4
78.0% complete question on april 30, janet, age 42, received a distribution from her qualified plan of $150,000. she had an adjusted basis in the plan of $500,000 and the fair market value of the account as of april 30 was $625,000. calculate the taxable amount of the distribution and any applicable penalty.
The distribution's taxable amount, as well as any applicable penalty, is Taxed amount pro rata = $500 million / $625,000 X $100 k = $30,000 Tax Consequences = $30,000 multiplied by.10 equals $3,000.
What portion of my dispersion is taxable?When you withdraw from a self directed ira, the Inland revenue considers it to be 100% taxable income. That means you'll have to pay ordinary taxable income on the entire amount of the distribution. You must also deduct the percentages of federal and state taxable income from of the total distribution.
What is an example of a taxable amount?The quantity of your income which may be taxed is known as taxable income. Salary, salaries, tips, bonuses, employer-provided benefits, and investment interest are all examples of taxable income. Certain types of income may not be taxable.
To know more about distribution visit:
https://brainly.com/question/30051967
#SPJ1
total revenues equal $25,700, and total expenses equal $17,500. what is the amount of net income or net loss? a.net income of $8,650 b.net income of $25,700 c.net loss of $8,200 d.net income of $8,200
$25,700 total revenue and $17,500 total expenditures. how much you made or lost as net income $8200 in net income.
How is net income determined on a balance sheet?You deduct taxes, interest, selling and administration costs, cost of goods sold (COGS) (if applicable), depreciation, and amortization from the business's gross revenue to arrive at net income. The sum you arrive at is referred to as the company's net income and is the "net" result of those costs.
Is total revenue minus total expenses equal to net income the method for determining net income?The formula for calculating gross income is the first part of the equation, which is revenue less cost of goods sold. (See our easy tutorial on how to determine cost of goods sold.)
To Know more about gross revenue
https://brainly.com/question/28103328
#SPJ1
wagner company's financial records show that it has a mortgage that requires monthly principal payments of $3,000. the mortgage loan matures in 15 years. what should wagner show on its balance sheet at the end of the current year? (select all that apply.)
The Current Liabilities are $36,000 and the Non-Current Liabilities are $504,000. Wagner company is expected to show the relevant calculations of the Mortgage in both its current and non-current liability.
Step 1: Calculations for Current Liabilities
Monthly Principal Payments = $3000
Yearly payments = $3,000 x 12 months = $36,000
According to this calculation, the $36,000 in mortgage principal that is due during the current year will appear on Wagner's current liability (which displays liabilities due within 12 months).
Step 2: Calculations for Non-Current Liabilities
Yearly Payment = $36,000
Payment for 15 years= $36,000 x 15 = $540,000
however, since the current year liability is already showing $36,000
The Long term Liability of Wagner will show:
$540,000- $36,000 = $504,000
Learn more about Current Liabilities here: brainly.com/question/14287268
#SPJ4
why would a systems analyst new to a company be a good choice to lead an important systems development effort?
A system analyst new to the organization wouldn't have any assumptions about the framework and how it could squeeze into the organization's methodology. Having a new point of view could take into consideration new experiences and another methodology that could prompt a preferable and more innovative framework would somehow result.
A systems analyst, otherwise called a business innovation expert, is a data innovation (IT) proficient who spends significant time in breaking down, planning and carrying out data frameworks. Systems analysts evaluate the appropriateness of data frameworks concerning their expected results and liaise with end clients, programming merchants and developers to accomplish these results. A systems analyst is an individual who utilizes examination and planning methods to take care of business issues utilizing data innovation. Frameworks experts might act as the need might have arisen, plan frameworks to carry out those changes, and prepare and spur others to utilize the frameworks
Know more about system analysts - https://brainly.com/question/30173165
#SPJ4
Discuss whether providing substantial government financial support to banks is
the best policy response during a financial crisis
Providing significant government financial support to banks is the best fiscal policy during the financial crisis.
In general, the goal of most government fiscal policy is to target the overall level of spending in the economy, the overall composition of spending, or both. The two most common means of influencing fiscal policy are changes in government spending policy or government tax policy.
The government can increase spending if it determines that business activity in the economy is insufficient. This is often referred to as stimulus spending. When tax revenues are insufficient to finance increased spending, governments issue debt instruments such as government bonds to borrow money, building up debt in the process. This is known as deficit spending.
Monetary and fiscal policies refer to his two most widely used tools for influencing a country's economic activity. Monetary policy is primarily concerned with controlling interest rates and the total amount of money in circulation and is typically implemented by a central bank such as the United States Federal Reserve. In the United States, national fiscal policy is determined by the executive and legislative branches of government.
Know more about fiscal policy here:
https://brainly.com/question/29790045
#SPJ4
Which two documents summarize the business plan of a company?
a. Pitch Deck
b. Marketing Plan
c. Lean Canvas
d. Business Plan
Pitch Deck and Lean Canvas are the two documents summarize the business plan of a company .
Good business plans should include an executive summary and sections on products and services, marketing strategy and analysis, financial planning, and a budget.
Main Components of a Business Plan
Executive summary. This is your five-minute elevator pitch. ...Business description and structure. This is where you explain why you're in business and what you're selling. Market research and strategies. Management and personnel. Financial documents.Thus , Pitch Deck and Lean Canvas are the two documents summarize the business plan of a company .
Learn more about Business plan at:
https://brainly.com/question/25311149
#SPJ1
in which situations is annualization required
Annualization is required when a change in the accounting period occurs.
What is annualization?Annualization refers to the process of converting a rate or value that is expressed over a period of time other than a year into an equivalent rate or value that would apply over a full year.
This is commonly done in finance to compare the performance of investments, or to calculate the annualized rate of return.
It involves adjusting the rate or value by a factor that reflects the number of periods within a year, such as multiplying a quarterly return by four or a monthly return by 12.
Read more on annualization here:https://brainly.com/question/13136336
#SPJ1
red blossom corporation transferred its 40 percent interest to tea company as part of a complete liquidation of the company. in the exchange, red blossom received land with a fair market value of $577,500. the corporation's basis in the tea company stock was $540,000. the land had a basis to tea company of $615,000. what amount of gain does red blossom recognize in the exchange and what is its basis in the land it receives?
The gain recognized is $37,500 and the fair value basis in the land it receives is $6,25,500. as per the given information.
The given data is as follows:
Fair Market value = $577,500
Tea company stock was $540,000
The lands to the tea company of $615,000
The given data refers to taxable exchange. Therefore the formula used here to find the gain of land is:
Red Blossom would recognize a gain = Fair Market value - Basis in the Tea Company stock
gain = $577,500 - $540,000
gain = $37,500
The basis of the land it receives will be the fair value or
fair value = Basis in the Tea Company stock + Gain
fair value = $615,000 + $37,500
fair value = $6,25,500
To learn more about gain fair value on land
https://brainly.com/question/22427734
#SPJ4
Several studies found that strategic planning does not benefit smaller companies, as they very seldom see improvements in financial performance from this type of planning.True/False
False. While it is true that strategic planning may not always provide immediate financial benefits to smaller companies, it is not accurate to say that they "very seldom" see improvements in financial performance from this type of planning.
In fact, several studies have found that strategic planning can be beneficial for smaller companies. For example, a study published in the Journal of Small Business Management in 2016 found that small businesses that engaged in strategic planning were more likely to experience revenue growth and increased profitability compared to those that did not engage in strategic planning.
Additionally, strategic planning can help smaller companies identify and prioritize their goals, allocate resources more efficiently, and adapt to changes in the market, which can ultimately lead to improved financial performance.
Of course, the success of strategic planning depends on a variety of factors, including the quality of the planning process and the company's ability to execute the plan effectively. But overall, it is not accurate to say that smaller companies do not benefit from strategic planning.
To learn more about strategic planning please click on below link.
https://brainly.com/question/26960576
#SPJ4
how does henry george’s proposal for a single tax on land relate to the elasticity of the supply of land? why are there so few remaining advocates of george’s proposal?
As the supply of land is entirely elastic, it will have no impact on how much is accessible.
What was Henry George's single taxation theory?
According to the Henry George theorem, when government spending on public goods is combined, the result is an increase in aggregate rent based on land value (land rent) that is greater than that sum, with the benefit of the last marginal investment being equal to its cost. Land would eventually be owned as common property rather than as individual property as a result of a single tax. He thought that the single tax, which would result in a significant transfer of wealth, would improve wages, increase capital earnings, eradicate poverty, create jobs, and alleviate other economic evils.
To know more about henry george click on the link below:
https://brainly.com/question/2898908
#SPJ1
an increase in the price of strawberries causes strawberry jam producers and consumers to expect that the price of strawberry jam will rise in the future. in the market for strawberry jam, both the equilibrium price and the equilibrium quantity increase. it must be the case that:
It must be the case that More strawberry jam was consumed than there was available to satisfy demand as there was more demand than supply.
In economics, the relationship between the quantity of a good or service that producers want to sell at different prices and the quantity that consumers want to buy is known as supply and demand. It serves as the primary model for determining prices in economic theory. The interaction of supply and demand in a market determines the price of a good. The final price is known as the equilibrium price and signifies a compromise between the good's producers and customers. When a market is in equilibrium, the amount of a good that producers supply and consumers desire are equal. The market mechanism is the propensity to move towards equilibrium prices, and the resulting equilibrium between supply and demand is referred to as the market equilibrium.
learn more about equilibrium here:
https://brainly.com/question/1342403
#SPJ4
23. assume that larry's marginal tax rate is 24 percent. if corporate bonds pay 5.4 percent interest, what interest rate would a municipal bond have to offer for larry to be indifferent between the two bonds?
The municipal bond would have to offer an interest rate of 7.11% for Larry to be indifferent between the two bonds, given his 24% marginal tax fee.
To calculate the interest rate a municipal bond would ought to offer for Larry to be indifferent between the two bonds, we want to consider the tax-exempt status of municipal bonds.
because municipal bond interest is exempt from federal income tax, the after-tax return on a municipal bond can be calculated by means of multiplying the pre-tax yield through (1 - marginal tax fee).
allow x be the interest rate of the municipal bond that Larry would need to be indifferent between the two bonds.
we can set up the subsequent equation:
0.054 = x(1 - 0.24)
Simplifying the right side of the equation, we get:
0.054 = 0.76x
Dividing each sides by 0.76, we get:
x = 0.0711 or 7.11%
Therefore, the municipal bond would have to offer an interest rate of 7.11% for Larry to be indifferent between the two bonds.
Learn more about After-tax return:-
https://brainly.com/question/28472193
#SPJ4
true or false? policies that cover data management should cover transitions throughout the data's life cycle.
True, the policies that cover data management should also cover transitions throughout the data's life cycle.
What is a database?A computer database basically store aggregations or collection of data, records or files that contain information, such as sales transactions, customer data, financials and product information or market demand.
The databases are used for storing, maintaining and accessing the data. The information is collected through primary source like directly from people, places or things.
It is true that the policies that cover data management should also cover transitions throughout the data's life cycle
Learn more about database here:
https://brainly.com/question/29774533
#SPJ1
in which market would a household buy the food they need to make dinner?A) The market for landB) The market for laborC) The market for products.D) The market for physical capital.
stacey is 51 years old and has an annual salary of $350,000. her employer integrates her 401(k) with social security. they have set the integration level equal to the taxable wage base. their current employer match is 6%. what is her integration contribution for 2019?
Her company combines her Social Security and 401(k) benefits. The integration level was set at the same level as the taxable pay base. Their employer match right now is.
In its simplest form, what does integration mean?
To combine or add the components to get the whole in mathematics, use the integration procedure. Through this process, we deconstruct functions into their individual parts, which is a type of differentiation in reverse. The real-world application of integrations depends on the sectors in which this calculus is used. The size of the power cables required to connect two substations, the geometry of building structures, and other engineering-related calculations are all determined by integrals, much like in other engineering disciplines.
Know more about taxable Visit:
https://brainly.com/question/17961582
#SPJ1
1, which type of organization structure is more suitable as suburban homes opens new offices in other states?
The projected organisational structure would be best suited for new offices opening in suburban homes other states in order to ensure responsibility and the success of the new offices.
This is due to the requirement that all newly established sub branches report back to the main office. Since Suburban Homes Construction Project Company (SHCPC) is initially expanding into a new area, due diligence is necessary. Building in clay soil is difficult because the terrain of the South is very different suburban homes from that of the Midwest. Due of his extensive construction background, Adam may be the finest person to take on this perilous undertaking head-on. I'd advise Adam to do the following: learn about the southern states' business environment.
Learn more about suburban homes:
https://brainly.com/question/11034428
#SPJ4
a bank recently quoted you an annual interest rate of 5% on an automobile loan for a new sedan that is currently priced at $28,950. if the length of the loan is 6 years (or 72 months), what will your monthly payment be?
The monthly payment will be 466.24.An interest rate is the amount of interest that is payable each period stated as a proportion of the amount lent, deposited, or borrowed (called the principal sum).
The principal amount, interest rate rate, frequency of compounding, and duration of the loan, deposit, or borrowing determine the total amount of interest on a sum that was lent or borrowed.The annual interest rate is the rate of interest that is calculated over a year. Even while some interest rates are relevant over shorter time periods, such a day or a month, they are usually annualised.The interest rate has been described as an index of the preference for a dollar of present [income] over a dollar of future [income].
Learn more about interest rate:
https://brainly.com/question/13324776
#SPJ4
2 a chocolate company is preparing to offer a new product in its candy offerings, the minty dark chocolate bite bar. material costs for this new candy bar are $0.25 for chocolate, $0.02 for sugar, and $0.03 for mint flavoring. labor costs per bar is $0.15. adding a production line devoted to the new candy wil cost $250,000 per year. (6 pts) a) if the sales price is $1.40 per bar, how many bars per year they need to make to break even? assume all bars are sold at full price. b) what is the company profit or loss if they make and sell 270,000 candy bars the first year at $1.40 per bar? c) about 20% of the food consumed in the u.s. is imported. production in many industries has been offshored. what ethical issues do companies face when presented with the decision to move operations?
a) To break even, the total costs of producing the new candy bar must be equal to the total revenue generated by selling the bars.
Total cost per bar = material costs + labor costs + (annual production line cost / number of bars produced per year)
Total cost per bar = $0.25 + $0.02 + $0.03 + $0.15 + ($250,000 / x)
Total revenue per bar = sales price per bar = $1.40
To break even: Total cost per bar * x = Total revenue per bar * x
($0.25 + $0.02 + $0.03 + $0.15 + ($250,000 / x)) * x = $1.40 * x
Solving for x, we get:
$0.45x + $250,000 = $1.40x
$0.95x = $250,000
x = $250,000 / $0.95
x = 263,157.89
Therefore, the company needs to make and sell at least 263,158 candy bars per year to break even.
b) Profit = Total Revenue - Total Cost
Total revenue = $1.40 * 270,000 = $378,000
Total cost = ($0.25 + $0.02 + $0.03 + $0.15 + ($250,000 / 270,000)) * 270,000 = $321,000
Profit = $378,000 - $321,000 = $57,000
Therefore, the company will make a profit of $57,000 if they make and sell 270,000 candy bars in the first year.
c) When companies face the decision to move operations, there are several ethical issues they may encounter. Some of these issues include:
Impact on employees: Offshoring or moving operations can lead to job losses for employees in the home country. Companies have a responsibility to consider the impact on their employees and find ways to mitigate any negative consequences, such as offering retraining programs or severance packages.
Impact on the community: Companies also have a responsibility to consider the impact on the communities where they operate. Moving operations to another country can have a significant impact on the local economy, and companies need to ensure that they are not contributing to economic instability or other negative consequences.
Environmental impact: Companies have a responsibility to minimize their impact on the environment. Moving operations to countries with lower environmental standards can result in increased pollution and other negative environmental consequences.
Ethical business practices: Companies have a responsibility to ensure that their operations are conducted in an ethical and socially responsible manner. Moving operations to countries with lower labor or human rights standards can raise ethical concerns.
Overall, companies need to balance the potential benefits of moving operations with their ethical responsibilities to employees, communities, and the environment. They should also ensure that their actions align with their values and mission as a company.
For more such questions on pricing
https://brainly.com/question/27124956
#SPJ4
in agile projects, the individual who leads in a collaborative manner by guiding teams and removing obstacles to their progress is called the:
In Agile projects, the individual who leads in a collaborative manner by guiding teams and removing obstacles to their progress is called the Scrum Master.
The Scrum Master is a critical role in Agile project management, particularly in the Scrum framework, which is one of the most widely used Agile methodologies. The Scrum Master serves as a coach, facilitator, and servant leader for the Scrum team, helping to ensure that the team is able to work effectively and efficiently to deliver high-quality results. The Scrum Master works to remove any obstacles or impediments that are blocking the team's progress, and helps to foster a culture of collaboration, communication, and continuous improvement. The Scrum Master also helps to ensure that the team is following the economic model Scrum framework and its practices, and helps to resolve any conflicts or issues that arise during the project.
learn more about economic model here
https://brainly.com/question/30340883
#SPJ4
which component is comprised of a company’s capabilities, competitors, corporate partners, and the physical environment?
Answer:
Explanation:
The component that is comprised of a company's capabilities, competitors, corporate partners, and the physical environment is the company's external environment. The external environment refers to all of the factors and forces that are outside of a company's control but can still affect its operations and performance. This includes the company's competitors, customers, suppliers, regulatory agencies, economic conditions, technology, and many other factors that can influence the company's success. Understanding the external environment is an important part of strategic planning and helps companies to identify both opportunities and threats and to make informed decisions that support their long-term success.
which of the following statements regarding measures of process performance is true? group of answer choices while percent value-added time can exceed 100%, efficiency has a maximum of 100%. efficiency will always be greater than percent value-added time. efficiency and percent value-added time can never reach 100% at the same time. while efficiency can exceed 100%, percent value-added time has a maximum of 100%.
The true statement on metrics of process performance is that efficiency has a limit of 100%, whereas percent value-added time can go above 100%.
The true statement on measurements of process performance is that while percent value-added time can go over 100%, efficiency has a limit of 100%. By dividing the actual output by the standard output and multiplying the result by 100, efficiency is determined. A process that is operating at 100% efficiency is generating all of its potential output. The ratio of value-added time to total cycle time, on the other hand, is known as percent value-added time. If the value-added time is more than the whole cycle time, this ratio can be greater than 100%. This proves that the maximisation of efficiency at 100% is true, as opposed to the other claims, which are false.
learn more about value-added time here:
https://brainly.com/question/29340992
#SPJ4
in 2011, time magazine declared who to be its annual person of the year based on news media coverage of three very different social movements?
News media coverage of three very different social movements led Time magazine to declare the Protester as its annual Person of the Year in 2011.
According to Time, the selection of "The Protester" was intended to recognize the power of collective action in shaping the course of history and the impact of social movements on political and social change. The magazine noted that these movements were characterized by their decentralized, grassroots nature, and their ability to mobilize large numbers of people around shared values and goals.
The selection of "The Protester" was widely viewed as a reflection of the growing global influence of social movements and the increasing recognition of the power of collective action in shaping the course of history. It also highlighted the role of new technologies and social media in enabling and amplifying the voices of protesters around the world.
Know more about Social Movements - https://brainly.com/question/10230523
#SPJ4
when the demand for a product is and the price is reduced, total revenue will fall?
If a product's demand is price elastic and the price rises, total revenue will fall. Total revenue will fall if a product's demand is price inelastic and the price falls.
When demand is inelastic and the price is lowered total revenue will rise?If the price of an inelastic good is reduced, demand does not increase, resulting in less overall income because of the lower cost and no change in demand. This would imply that the company should not lower the price of its goods because there is no benefit to doing so.
As a result, an increase in price increases totals revenue, while a decrease in price decreases total revenue. Finally, demand is said to be unit elastic if the percentage change in quantity demanded equals the percentage change in price.
Learn more about demand is inelastic here:
https://brainly.com/question/29617934
#SPJ1
what is the best way to characterize the impact of existing impediments to globalization? multiple choice question. the impediments make it difficult for companies to maximize production activities. the impediments reduce the national differences in consumer tastes and preferences. the impediments make it significantly easier for firms to sell their products and services internationally. the impediments increase the economic and political stability among various countries.
The impact of current barriers to globalisation is best described as "the barriers make it harder for corporations to maximise production operations."
The term "globalisation" describes the growing interdependence and connectivity of the world's economies, communities, and cultures as a result of advancements in technology, communication, and transportation. Increased global trade, investment, and the flow of products, services, and information are its defining characteristics. The effects of globalisation on economies, civilizations, and cultures are mixed. On the plus side, it may result in higher economic efficiency and growth, a wider selection of products and services for customers, and enhanced cross-cultural interaction. On the down side, it may result in the loss of jobs, stagnant wages, and cultural uniformity.
Learn more about Globalization here:
https://brainly.com/question/15283031
#SPJ4
c. how big is the surplus or shortage at $3.40? there is a (click to select) of thousand bushels. how big is the surplus or shortage at $4.90? there is a (click to select) of thousand bushels. how big a surplus or shortage results if the price is 60 cents higher than the equilibrium price? there is a (click to select) of thousand bushels how big a surplus or shortage results if the price is 30 cents lower than the equilibrium price? there is a (click to select) of thousand bushels
13000 bushels of wheat are in low supply, and they are worth $3.40 each. There are 21,000 bushels of wheat in the surplus, valued at $4.90. The surplus is 14000 bushels of wheat at a price 60 cents over the equilibrium price.
What price does a bushel have neither a scarcity nor a surplus?When the quantity provided (Qs) is exactly equal to the quantity requested (Qi), there is no shortage or surplus in the market, and an equilibrium price occurs.
How are shortages determined?figuring out the shortage. This formula can be used to determine the shortfall. Make the price ceiling price equal to the supply equation and the demand equation, respectively, and solve for Qd and Qs. When we deduct Qs from Qi, 4.75 units are missing.
To Know more about equilibrium price.
https://brainly.com/question/28527601
#SPJ1