how does the price quantity demand is affected when there is a decrease in the price of a complement

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Answer 1

When the price of a complement decreases, the demand for the original good increases. This is because consumers substitute the now-less-expensive complement for the original good, resulting in a higher demand for the original good.

To explain this concept more in depth, there are two main ideas:
First, the decrease in the complement's price means that it is now cheaper for consumers to buy both the original good and the complement, making it more attractive to purchase both goods. Secondly, when the price of the complement decreases, consumers may substitute the complement for the original good. This means that they choose to buy the complement instead of the original good, resulting in a higher demand for the original good.

Price-quantity demand is affected when there is a decrease in the price of a complement in the following ways: When the price of a commodity decreases, the quantity demanded of the commodity rises, assuming the other factors remain constant. When there is a decrease in the price of a complement, the quantity demanded of the commodity increases; thus, the price-quantity demand curve moves to the right.

When the cost of complementary goods decreases, the quantity demanded of the other good increases. For instance, if the price of bread decreases, the demand for butter increases as people are more likely to purchase bread and butter together.The demand curve shifts to the right when the price of a complementary good falls, indicating a positive relationship between the two.

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Related Questions

at the beginning of a buffet meal a manager placed $1,100 worth of food on the buffet line. during the meal another $500 of food was added to the line. at the end of the meal the value of the remaining food was $400. the manager served 100 guests. what was the buffet cost per guest served during this meal period?

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At the beginning of a buffet meal a manager placed $1,100 worth of food on the buffet line. During the meal another $500 of food was added to the line. At the end of the meal, the value of the remaining food was $400. The manager served 100 guests.

The buffet cost per guest served during this meal period is $11.5. At the beginning of the buffet meal, a manager placed $1,100 worth of food on the buffet line. During the meal, another $500 of food was added to the line. At the end of the meal, the value of the remaining food was $400.

The value of the food that was consumed is equal to $1100 + $500 - $400 = $1200.The manager served 100 guests.

The cost per guest served during this meal period = (Buffet cost)/Number of guests

= $1200/100

= $11.5

Therefore, the buffet cost per guest served during this meal period is $11.5.

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are you subject to any agreements that may prohibit or restrict your employment for the position or otherwise with the company?

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Yes, I am subject to any agreements that may prohibit or restrict my employment for the position or otherwise with the company.

Agreements that may prohibit or restrict employment typically include non-compete agreements, confidentiality agreements, and any other contractual obligations.

Non-compete agreements are typically put in place to prevent an employee from working in a specific field or region for a set period of time after leaving the company.

Confidentiality agreements typically ensure that an employee is not able to disclose any company secrets or proprietary information to outside sources.

Finally, any other contractual obligations may include agreements concerning proprietary knowledge, customer lists, and/or trade secrets. All of these agreements are important to ensure that an employee is not in violation of any agreements upon accepting a position.

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on the cash budget, what is subtracted from total cash available to find the cash excess or deficiency?

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On the cash budget, what is subtracted from total cash available to find the cash excess or deficiency the cash payments are subtracted from the cash receipts to determine the amount of cash remaining. A cash budget is a financial management tool that projects cash inflows and outflows over a specific period.

The cash budget outlines the amount of cash available, how much cash will be used, and the amount of cash that will remain at the end of a specific period. Cash receipts are money received by a company from its operations, investments, or financing activities.

The cash payments are the payments that are made by a company, including the cost of goods sold, employee salaries and wages, rent, utilities, and other expenses. A cash excess occurs when the company has more cash than it needs to meet its obligations, whereas a cash deficiency occurs when a company does not have enough cash to meet its obligations.

A cash budget helps a company to plan its cash flows and ensure that it has enough cash to meet its obligations. To calculate the cash excess or deficiency, the following formula is used:

Cash excess or deficiency = Total cash receipts - Total cash payments If the result is positive, it is called a cash excess, whereas if it is negative, it is called a cash deficiency.

A cash excess means that the company has more cash than it needs to meet its obligations and may choose to invest the extra cash or use it to pay off debt. A cash deficiency means that the company does not have enough cash to meet its obligations and may have to borrow money or sell assets to raise cash.

Therefore, a cash budget is an essential tool for financial planning and helps a company to manage its cash flows effectively.

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A listing of immediate predecessor activities is important information in a CPM analysis for which of the following reasons?
It specifies the relationships in the CPM network of activities
It provides useful timing information
It includes cost information
It is the probability information required in the final step of CPM
None of the above

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A listing of immediate predecessor activities is important information in a CPM analysis for the reason that it specifies the relationships in the CPM network of activities.

The Critical Path Method (CPM) is a project management method for planning and managing projects.

CPM is a procedure for analyzing a project's activities to discover which ones are critical to the project's success and which ones can be delayed without causing the project's timeline to slip.

This method is particularly useful when a project is composed of a large number of interdependent tasks, each of which has a specific timeline. To create a CPM network of activities, a project manager must first determine the activities required to complete the project, as well as the order in which they must be completed. The project manager will build a network diagram that displays each of the activities as a node, connected by arrows that represent the dependencies between them. To determine the critical path and calculate the project's duration, the project manager will also have to estimate the duration of each task and the time between the tasks.

The immediate predecessor is the activity that must be completed before another activity can begin in a CPM network. A listing of immediate predecessor activities is critical information in a CPM analysis because it specifies the relationships between the activities in the network. It allows project managers to determine which activities must be finished before others may begin, as well as the most efficient method for completing the project. As a result, immediate predecessor information is an important component of a CPM analysis.

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a haberdashery conducts an exhaustive analysis and calculates their profit function as 4x2 3x - 57. what is their fixed cost?

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The fixed cost of the haberdashery is 57 as per the profit function: 4x²+3x-57. This means that the fixed cost is equal to 57 when x is equal to 0.

What is fixed cost?

The fixed cost is the cost that doesn't change with the increase or decrease in the level of output. In a firm's profit function, the fixed cost is represented by the constant value or y-intercept of the quadratic function.

The given quadratic function is 4x²+3x-57. The fixed cost of a haberdashery can be found by analyzing the given quadratic function. In order to determine the fixed cost, it is important to know what a fixed cost is. To calculate the fixed cost, substitute 0 for x in the given function.

The given quadratic function is 4x²+3x-57, therefore:

For, x = 0

y = 4(0)²+3(0)-57

y = -57

Therefore, the fixed cost of the haberdashery is 57.

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describe the manufacturing process for concrete masonry units from the use of an autoclave until completion.

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The manufacturing process for concrete masonry units from the use of an autoclave until completion involves a number of steps.

First, sand, cement, and water are combined and poured into a mixer. This mixture is then stirred for about 10 minutes. Once the mixture has been sufficiently blended, it is moved to a hopper, which is then loaded into an autoclave. The autoclave is pressurized and heated up to a temperature of around 350°F (177°C) and left to harden for a period of around 6 hours.

Once the concrete has been sufficiently hardened, it is removed from the autoclave and allowed to cool. At this stage, the concrete masonry units are relatively soft and easy to work with. They can be cut into the desired shape and size using a saw or other cutting tool. The cut blocks can then be sanded and painted to give them the desired finish.

Finally, the concrete blocks are sealed with a waterproof sealant to protect them from moisture and dirt. This process helps the blocks to last for years and allows them to withstand any environmental conditions. After sealing, the concrete masonry units are ready for use in construction projects.

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The manufacturing process for concrete masonry units typically involves the following steps:

1)Mixing: The raw materials, such as cement, sand, and aggregates, are mixed together with water to form a slurry.

2)Molding: The slurry is poured into molds of various sizes and shapes to form concrete masonry units.

3)Curing: The molded units are allowed to cure or harden for a period of time. This can be done by leaving them in a controlled environment, such as a greenhouse, or by using an autoclave.

4)Autoclaving: In some cases, the concrete masonry units are cured using an autoclave. This involves placing the units in a high-pressure chamber with steam at a high temperature for several hours. This process accelerates the curing process and results in a stronger, more durable product.

5)Finishing: Once the concrete masonry units are cured, they are removed from the molds and may undergo additional finishing processes, such as polishing or coating.

6)Quality control: The finished products are inspected for quality control and tested to ensure they meet the required strength and durability standards.

7)Packaging and shipping: The finished concrete masonry units are packaged and shipped to customers, such as construction companies, for use in building projects.

Overall, the manufacturing process for concrete masonry units is a precise and controlled process that involves mixing, molding, curing, and finishing the products, with an option for autoclaving to accelerate the curing process. The final product is tested for quality control and shipped to customers for use in construction projects.

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the general investment strategy based on a goal of acquiring existing, seasoned, relatively low-risk properties that are at least 80 percent leased to tenants with low credit risk, is:

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The general investment strategy based on a goal of acquiring existing, seasoned, relatively low-risk properties that are at least 80 percent leased to tenants with low credit risk is known as value investing.

Value investing entails the acquisition of properties that are generally undervalued or overlooked by the marketplace and offer a potential for capital appreciation. It involves analyzing potential investment opportunities to identify their strengths and weaknesses in order to determine if they are worth investing in.

Value investors may also consider macro-level factors such as the state of the economy, demographic changes, and public policy to assess the potential risk and return of an investment. This strategy seeks to maximize returns and minimize risks by choosing properties that have a good rental income and an attractive return on investment.

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briefly describe the user groups, their needs for information, and how these tie into the four objectives of federal financial reporting identified in the statement.

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The four objectives of federal financial reporting identified in the Statement are:

AccountabilityTransparencyEnhanced PerformanceImproved Public Confidence

The user groups of federal financial reporting include Congress, the executive branch, state and local governments, financial markets, and the public. Each of these user groups have different needs for information that relate to the objectives of federal financial reporting. For example, Congress and the executive branch need information to ensure accountability, while financial markets and the public need information to increase transparency and confidence.

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if a company has annual credit sales of 345,279 and accounts receivable of 10,000, using a 365-day year, what is its average collection period?

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The average collection period of a company with annual credit sales of 345,279 and accounts receivable of 10,000, using a 365-day year is 33.8 days.

The formula for calculating the average collection period is:

Average collection period = (Accounts receivable ÷ Total credit sales) × Number of days in the period

To apply this formula, convert the accounts receivable and total credit sales into daily averages. For this, need to divide the accounts receivable by the number of days in the period and the total credit sales by the number of days in the period. Use 365 days to convert everything to the same time frame as the days of the year in this problem.

Average collection period:

= (Accounts receivable ÷ (Total credit sales ÷ Number of days in the period)) × Number of days in the period

Average collection period = (10,000 ÷ (345,279 ÷ 365)) × 365Average collection period

= 33.8 days

Therefore, the average collection period is 33.8 days.

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if the cpi in 2002 was 180 and the cpi in 2003 was 184, what was the inflation rate between 2002 and 2003?

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If the cpi in 2002 was 180 and the cpi in 2003 was 1842. 22% was the inflation rate between 2002 and 2003

Inflation can be defined as the increase in the price of goods and services.

[tex]Inflation rate = (New CPI - Old CPI) / Old CPI x 100\\[/tex]

The CPI in 2002 was 180 and the CPI in 2003 was 184,

[tex]Inflation rate = (184 - 180) / 180 x 100= 4 / 180 x 100= 2.22%\\[/tex]

Therefore, the inflation rate between 2002 and 2003 is 2.22%.

The inflation rate is the percentage increase in the general price level of goods and services over time.

It is measured by tracking changes in the Consumer Price Index (CPI) or other similar indexes.

A higher inflation rate indicates a decrease in purchasing power.

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What is the rate of return when 15 shares of Stock A, purchased for $30/share, are sold for $500? The commission on the sale is $6. Rate of Return = [?] % Give your answer as a percent rounded to the nearest tenth.​

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In the given problem on rate of returns, rounding to the nearest tenth, the rate of return is approximately 1542.1%.

How to Calculate Rate of Returns?

To calculate the rate of return, we need to determine the total cost of the investment (including commission) and the total proceeds from the sale of the shares (minus commission), and then calculate the percentage change between the two.

The total cost of the investment is:

15 shares x $30/share = $450

Commission on sale = $6

Total cost = $450 + $6 = $456

The total proceeds from the sale of the shares are:

15 shares x $500/share = $7,500

Commission on sale = $6

Total proceeds = $7,500 - $6 = $7,494

The profit on the investment is:

Total proceeds - Total cost = $7,494 - $456 = $7,038

The rate of return is then:

Profit / Total cost x 100% = $7,038 / $456 x 100% ≈ 1,542.1%

Rounding to the nearest tenth, the rate of return is approximately 1542.1%.

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rick is the ceo of a company that is acquiring another company. this is his first merger, so he has no basic rules to govern his decisions. rick will need to rely on

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Rick is the CEO of a company that is acquiring another company. This is his first merger, so he has no basic rules to govern his decisions. Rick will need to rely on a well-structured due diligence process.

Due diligence is a type of research that businesses undertake before purchasing another company or starting a new investment. Due diligence is critical since it may reveal red flags and areas of opportunity that could significantly impact a business's decision to invest.

Due diligence is commonly divided into two phases. The first stage involves the collection of data and other relevant details. The second phase is typically a review of the data by lawyers, accountants, and other specialists to assess and confirm the findings.

The following are the various components of the due diligence process:

Financial Due Diligence: It is an investigation of the financial performance of a business to assess its current financial standing, debt, cash flow, financial stability, and growth potential.

Legal Due Diligence: It is a comprehensive examination of legal documents to ensure that the acquired firm has not engaged in any illegal or unethical practices. Also, to ascertain that the company is in full compliance with applicable legislation.

Cultural Due Diligence: It is a review of a company's organizational culture to assess the compatibility between the two firms, evaluate the leadership style, and determine how well the new firm's workforce will integrate into the existing culture.

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when a manager evaluates alternatives until she comes to one that meets some minimum standard of sufficiency, selects it, and then goes on to other problems without considering the remaining rational alternatives, she has engaged in

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The manager has engaged in satisficing decision-making strategy.

Satisficing is a decision-making strategy that involves searching for alternatives until a minimum satisfactory solution is found, rather than seeking the optimal solution. This strategy is often used when there is limited time, information, or resources available to thoroughly evaluate all possible alternatives.

In this approach, the decision maker sets a minimum standard of sufficiency, or a level of acceptability that the alternative must meet. Once an alternative meets this minimum standard, the decision maker will select it and move on to other problems without considering the remaining alternatives.

Satisficing is often used in complex decision-making situations where the optimal solution is difficult or impossible to determine, or where the costs of searching for the optimal solution outweigh the benefits.

By setting a minimum standard of sufficiency, the decision maker can arrive at a satisfactory solution while conserving resources and avoiding excessive analysis paralysis.

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which of the following costs are considered variable under super-variable costing? multiple choice question. direct materials and manufacturing overhead direct materials direct materials and direct labor direct labor and manufacturing overhead

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The costs are considered variable under super-variable costing is "direct materials and direct labor". The correct option is B.

The super-variable costing is a costing method that includes only the variable portion of fixed costs in the cost of a product. As such, under super-variable costing, only the costs that vary with changes in the level of production are considered variable costs.

The reason super-variable costing is the costs that are considered variable under super-variable costing are direct materials and direct labor, as they are typically variable costs that vary with changes in the level of production. Therefore, among the options provided, the correct answer would be "direct materials and direct labor".

Therefore, the correct answer will be option (B)

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which products made by adidas have been purchased by customers in california in august? only show product names.

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This is SQL query for selecting distinct product names from the product table that are manufactured by Adidas, and have been purchased by customers in California in August. This query helps to identify which Adidas products were popular among California customers in August.

To do this, SQL query joins several tables - product, manufacturer, saleitem, sale, and customer - and uses the WHERE clause to filter the results based on the manufacturer's name, customer's state, and sale date. The query is given.

Select distinct productname

from product p

join manufacturer m

on p.manufacturerid = m.manufacturerid

join saleitem si on p.productid = si.productid

join sale s

on s.saleid = si.saleid

join customer c

on s.customerid = c.customerid

where manufacturername = 'adidas' and c.state = 'CA'

and month(saledate) = 8

The use of the MONTH() function extracts the month portion of the sale date, allowing the query to specifically target sales made in August.

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____The given question is incomplete, the complete question is given below:

Show the Query: which products made by adidas have been purchased by customers in california in august? only show product names.

true or false: group calls differ from other virtual meetings in that they do not require participants to follow the guidelines of effective virtual meetings.

Answers

Answer: False

Explanation:

I just answered this question and got it right

In consumption of product Edgeworth box, a position on the contract curve

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No, the contract line in Edgeworth's box is not always the diagonal of the box even if consumer preferences are the same, but there is no need to be indifferent between the two goods.

The diagonal of the Edgeworth box represents an even distribution of two goods between two individuals, where each individual receives an equal share of the two goods.

This allocation takes effect only if the preferences of the two individuals are identical and if their initial assets for the two goods are also equal. In this case, the diagonal of the box will represent the contract curve.

However, if the preferences of two individuals are identical but their initial assets for the two goods are different, then the contract curve will not be the diagonal of the box.

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Complete Question

Is the contract curve the diagonal of the Edgeworth Box if and only if the consumer's preferences are identical, but need not be indifferent between the two goods?

real gdp per capita means gdp: multiple choice question. in real terms. per country. per person. divided by capital stock.

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Real GDP per capita means GDP in real terms per person.What is GDP?Gross Domestic Product or GDP is the total value of all the goods and services produced within the borders of a country in a given period, usually a year.

It is a measure of a country's economic performance.How is real GDP per capita calculated?Real GDP per capita is calculated by dividing the real GDP of a country by its population. This is a measure of the average economic output per person. It is calculated in real terms because it adjusts for inflation.What is capital stock?Capital stock is the total amount of capital, both financial and physical, that a company has available to operate its business. Financial capital includes things like cash and investments, while physical capital includes machinery, buildings, and equipment. It is an important measure of a company's ability to generate profits and grow over time.

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olanville starts fiscal 2021 with $25,000 in supplies. During the year, it orders $180,000 in supplies, receives $170,000, and uses $190,000. It accounts for inventories on the consumption basis. In its 2021 governmental fund financial statements it should report Expenditure Nonspendable Fund Balance a. $180,000 $ 0 b. $170,000 $ 5,000 c. $190,000 $ 0 d. $190,000 $15,000

Answers

In the following question, among the given options, The correct answer is (b) $170,000 Expenditure and $5,000 Nonspendable Fund Balance.

Here is a step-by-step explanation:
1. Olanville starts with $25,000 in supplies.
2. During the year, it orders $180,000 in supplies and receives $170,000 worth of supplies.
3. At this point, the total supplies available are $25,000 (initial supplies) + $170,000 (received supplies) = $195,000.
4. Olanville uses $190,000 worth of supplies during the fiscal year.
5. The remaining supplies are $195,000 (total supplies available) - $190,000 (supplies used) = $5,000.
6. Since it accounts for inventories on the consumption basis, the Expenditure reported in the 2021 governmental fund financial statements is the number of supplies received, which is $170,000.
7. The Non-spendable Fund Balance is the remaining supplies, which is $5,000.
Therefore, the 2021 governmental fund financial statements should report a $170,000 Expenditure and a $5,000 Non-spendable Fund Balance.

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if 100 million shares of common stock are issued with a par value of $2 and additional paid in capital is $800 million, the total par value of the issued shares is:

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Answer:

The total par value of the issued shares is calculated as follows:

Total Par Value = Number of Shares Issued × Par Value per Share

In this case, the number of shares issued is 100 million, and the par value per share is $2. Therefore:

Total Par Value = 100,000,000 × $2

Total Par Value = $200,000,000

Note that the additional paid-in capital of $800 million is not part of the par value of the shares, but rather reflects the amount that investors paid above the par value to purchase the shares.

the real risk-free rate of interest is 2%. inflation is expected to be 3% the next 2 years and 5% during the next 3 years after that. assume that the maturity risk premium is zero. what is the yield on 5-year treasury securities?

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The yield on a 5-year Treasury security is equal to the real risk-free rate plus the expected inflation premium, which is 5.5% in this case.

The yield on a 5-year Treasury security is equal to the real risk-free rate of interest plus an inflation premium. The real risk-free rate of interest is currently 2%. Given that inflation is expected to be 3% for the next two years and 5% for the next three years, the expected inflation premium for the 5-year Treasury security is 3.5%. Therefore, the yield on a 5-year Treasury security is 5.5%.

In more detail, the yield on a 5-year Treasury security is composed of the following components:
1. Real Risk-Free Rate: This is the expected rate of return on a Treasury security in the absence of any inflation risk. It is currently 2%.
2. Inflation Premium: This is the amount of additional return that investors demand for bearing the risk of inflation. It is equal to the expected rate of inflation multiplied by the remaining years to maturity. For a 5-year Treasury security, this is 3.5%.
3. Maturity Risk Premium: This is the additional return that investors demand for bearing the risk of a longer maturity. Since we are assuming that the maturity risk premium is zero in this case, this component is not included in the yield calculation.

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katrina works for penny's pickles, which offers a 401(k) match for up to 3% of her salary, which is $65,000 per year. in her budget, she only has $150 per month available to save for retirement. what should she do?

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She should d) Contribute the full $150/mo to the 401(k) because her company will match that full amount, "doubling" her investment every month.

The employer's contribution is equivalent to the employee's contribution up to 3% of the employee's pay. If the employee contribution is greater than a particular amount, the employer will only contribute 3% of the wage.

The corporation gives $65,000 annually when each employee contributes 3% of their salary. So, in order for her employer to match that amount, which is a maximum of 3% of her pay, she must make a contribution to her 401(k).

Employer's contribution is equivalent to Employee's contribution for upto 6% of employee's salary. Employer will only contribute 6% of salary if employee contribution is greater than a certain percentage.

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Correct question:

Katrina works for Penny's Pickles, which offers a 401(k) match for up to 3% of her salary, which is $75,000 per year. In her budget, she only has $150 per month available to save for retirement. What should she do?

a) Contribute her $150/mo to Social Security -- it's the best way to make sure she gets her money back

b) Contribute $75/mo to her 401(k) and $75/mo to an IRA, so that she's diversified.

c) Save up money in a bank account until she has enough to max out her 401(k), and then invest.

d) Contribute the full $150/mo to the 401(k) because her company will match that full amount, "doubling" her investment every month.

if the consumer price index is 75, then prices have group of answer choices risen 75 percent in the last year. risen 75 percent since the base year. declined 25 percent since the base year. declined 75 percent since the last year.

Answers

The Consumer Price Index (CPI) is a measure of the average change in prices of goods and services consumed by households over time. It is a widely used economic indicator .

that aids in determining whether an economy is experiencing inflation or deflation. A CPI of 75 shows that prices have grown by 75% from the base year, which is the year against which the current year's prices are compared. It does not imply that the increase in prices over the past year has been 75%. Instead, it signifies that the current year's prices are 75% greater than those of the base year. A CPI of 75 also signifies a 25% decrease in the value of money since the base year.  It is a widely used economic indicator . It would thus require 25%.

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Risen 75 percent since the base year.

Declined 25 percent since the base year.

If the consumer price index is 75, prices have not risen or declined by a percentage amount in the last year.

Risen 75 percent in the last year.

assuming a closed economy and that both investment and government purchases are constant, what does the vertical distance between the origin and the point at which the te curve cuts the vertical axis represent?

Answers

The vertical distance between the origin and the point at which the TE curve cuts the vertical axis represents the level of autonomous expenditure in the economy, which is spending that is not influenced by changes in output.

In macroeconomics, the TE (total expenditure) curve represents the relationship between the level of aggregate output (Y) and the total amount of spending (TE) in the economy. The TE curve is upward sloping because an increase in output leads to an increase in spending.

Assuming a closed economy and that both investment and government purchases are constant, the TE curve will intersect the vertical axis at a certain level of spending, which represents autonomous expenditure. Autonomous expenditure is the spending that is independent of output and includes factors such as government purchases, investment, and exports.

The vertical distance between the origin and the point at which the TE curve intersects the vertical axis represents autonomous expenditure. This is because at zero output, there is still some level of spending in the economy, which is represented by autonomous expenditure.

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what amount of cash disbursements for insurance would be reported in novak's 2024 net cash provided by

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In Novak's 2024 net cash provided by operations, the amount of cash disbursements for insurance would be reported.

Cash disbursements refer to the payments made by a company during a specific time period. These disbursements are generally made for a variety of purposes, including salaries, rent, utilities, taxes, and inventory purchases. Cash disbursements can be used to measure a company's liquidity, as they provide a clear indication of how much cash is flowing out of the company.The net cash provided by operations for a specific period of time refers to the cash inflows and outflows generated by the company's primary operations. It is calculated by subtracting cash disbursements from cash receipts. As a result, in Novak's 2024 net cash provided by operations, the amount of cash disbursements for insurance would be reported.

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philip morris markets marlboro cigarettes, the number-one selling cigarette brand in the world. outside the united states, marlboro generates huge profits that philip morris uses to support other less successful sbus. according to the bcg matrix, marlboro is an example of a .

Answers

Marlboro is an example of a cash cow according to the BCG Matrix.

Cash cows have high market share in a mature market, meaning that they have already established themselves as a leader in their market, and the demand for their product is stable and consistent.

Marlboro cigarettes have been the leading brand of cigarettes in the world for decades and the demand for their product remains steady. The profits from Marlboro cigarettes outside the United States are used to support other, less successful SBUs within the Philip Morris company. As a cash cow, Marlboro brings in steady profits to the company, which can then be used to support the other parts of the business.

In summary, according to the BCG Matrix, Marlboro cigarettes are classified as a cash cow. A cash cow is a product that has a high market share in a low-growth industry, generating excess cash that can be used to fund other business units that are not as profitable.

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match those following concepts about risk and return: group of answer choices portfolio [ choose ] risk [ choose ] return [ choose ] risk neutral [ choose ] risk averse [ choose ] risk seeking

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Risk and return are two essential concepts to consider when investing. The risk of an investment refers to the possibility of losing some of one's money, return refers to potential profit one can earn from investment.

Portfolio: An individual's or institution's collection of assets.

Risk: The possibility that the real return on an investment will differ from the expected return.

Return: The profit or loss produced by an investment over a given time period.

Risk neutral: A risk-averse investor who is ready to accept any level of risk for a given level of return. Risk-averse investors are those who are ready to accept lower returns in exchange for less risk.

Risk seeker: An investor who is willing to take on more risk in order to possibly earn higher returns.

Understanding risk and return is critical for making sound investment choices. When constructing a portfolio, investors should carefully consider their risk tolerance and financial objectives.

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what amount of net cash is provided(used) by financing activities should be reported in the statemnet of cash flows

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The financing activities section of the statement of cash flows reports the cash inflows and outflows related to the financing of the company's operations, such as debt and equity financing and dividend payments.

The net cash provided or used by financing activities is an important indicator of the company's ability to raise capital and pay its obligations, and is closely watched by investors and analysts to evaluate the financial health of the company.

The statement of cash flows is a financial statement that provides information about the cash inflows and outflows of a company during a specific period. The statement is divided into three sections: operating activities, investing activities, and financing activities. The financing activities section reflects the cash flows related to the financing of the company's operations.

In this section, the cash inflows and outflows related to the company's financing activities are reported. These activities may include the issuance or repayment of debt, the issuance or repurchase of equity, and the payment of dividends. The net cash provided or used by financing activities is calculated by taking the difference between the cash inflows and outflows from these activities. A positive amount indicates that more cash was provided through financing activities than was used, while a negative amount indicates that more cash was used than was provided. The net cash provided or used by financing activities is an important indicator of the company's ability to raise capital and pay its obligations, and is used by investors and analysts to evaluate the financial health of the company.

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more and more prospective home buyers and renters quickly need assistance from realtors at different times of the day. this is a(n) force for change connected to .

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This is a force for change connected to technological advancements and changes in consumer behavior.

With the widespread use of smartphones and other digital devices, home buyers and renters are increasingly using technology to search for properties and connect with real estate agents at any time of day. This has created a demand for real estate companies to adopt new technologies, such as mobile apps and chatbots, to provide round-the-clock assistance and improve the customer experience. The force for change is driven by the need to stay coupon rate competitive in a rapidly evolving digital landscape, as well as the desire to meet the changing needs and preferences of consumers. Consumer behavior refers to the actions and decisions of individuals or households in relation to the acquisition and consumption of goods and services.

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ratios that help determine whether a company can access its cash and pay its debts that mature in less than a year are calledliquidity ratios.

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Ratios that help determine whether a company can access its cash and pay its debts that mature in less than a year are called liquidity ratios.

Liquidity ratios are financial ratios that show a company's ability to meet its current liabilities by using its current assets. Liquidity ratios are also used by investors, creditors, and management to assess a company's liquidity, solvency, and risk profile. Some examples of liquidity ratios include: Current ratio, Quick ratio, Acid-test ratio, Working capital ratio, Cash ratio. A liquidity ratio of 1 or greater indicates that a company has enough current assets to cover its current liabilities. This means the company has sufficient liquid assets to meet its short-term obligations. If a company has a liquidity ratio below 1, it may not have enough liquid assets to cover its current liabilities. In this situation, the company may be considered illiquid, which means it may have difficulty paying its debts when they come due.

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