If the tariff on computers is not changed, but domestic computer producers shift from domestically produced semiconductors to imported components, then the effective rate of protection in the computer industry will
A) increase.
B) decrease
C) remain the same.
D) depend on whether computers are PCs or "Supercomputers."
E) no longer apply.

Answers

Answer 1

If the tariff on computers is not changed, but domestic computer producers shift from domestically produced semiconductors to imported components, then the effective rate of protection in the computer industry will likely decrease (option B).  The correct option is B.

This is because the cost of imported components will be lower than the cost of domestically produced semiconductors, leading to lower production costs for domestic computer producers. As a result, they will be able to offer their computers at lower prices, which will decrease the effective rate of protection for the domestic industry. The tariff on computers remaining unchanged does not affect this outcome.

If domestic computer producers shift from domestically produced semiconductors to imported components, then the effective rate of protection in the computer industry will decreaseThis is because importing components could lead to lower costs for producers, which in turn, reduces the protective effect of the tariff.

Thus the correct option is B.

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Related Questions

by standardizing equipment and streamlining its operations, pinpoint airlines competes by offering less expensive flights than the competition. according to michael porter, the strategy that pinpoint airlines is using is group of answer choices low-cost. differentiation. value transfer. efficiency frontier. diversification.

Answers

Low-value service or low-cost airline (often referred to as no-frills, budget, or bargain carrier or airline and abbreviated as LCC) is an airline that is operated with an especially excessive emphasis on minimising. The correct answer a.low-cost. differentiation.

Operating expenses and without a number of the traditional offerings and services provided in the fare, resulting in lower fares and fewer comforts. The airline may charge higher rates, such as for carry-on luggage to make up for lost revenue from lower ticket prices.

Southwest Airlines, the industry's largest low-cost carrier as of April 2020, runs regularly both inside the USA and in some nearby regions. The phrase first used in the airline industry in reference to airlines that had lower operational costs than their rivals. While the term "low-cost carrier" is frequently used to refer to any airline with low ticket costs and limited services, regardless of their operational models, low-price carriers shouldn't be hassled by nearby airlines that operate brief flights with no service or by complete-service airlines offering a few reduced fares.

Complete question:

By standardizing equipment and streamlining its operations, pinpoint airlines competes by offering less expensive flights than the competition. according to michael porter, the strategy that pinpoint airlines is using is group of answer choices

a.low-cost. differentiation.

b. value transfer.

c. efficiency frontier.

d. diversification.

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globalization has both political and economic consequences. a. define economic globalization. b. describe one policy response of the mexican government to economic globalization. c. describe one policy response of the nigerian government to economic globalization. d. explain how the economic consequences of globalization differs between mexico and nigeria.

Answers

a. Economic globalization refers to the increasing interconnectedness and interdependence of economies around the world, through the free flow of goods, services, capital, and technology across national borders.

b. One policy response of the Mexican government to economic globalization is the implementation of NAFTA (North American Free Trade Agreement) in 1994, which aims to eliminate trade barriers between Mexico, the United States, and Canada.

c. One policy response of the Nigerian government to economic globalization is the liberalization of its economy by removing trade barriers and opening up its markets to foreign investment. The government has also implemented policies to promote export-oriented industries and attract foreign direct investment.

d. The economic consequences of globalization differ between Mexico and Nigeria. Mexico has become a major exporter of manufactured goods, particularly to the United States, and has seen growth in its manufacturing sector. On the other hand, Nigeria has experienced a heavy reliance on the export of oil and other primary commodities, which has left the country vulnerable to fluctuations in global commodity prices. Additionally, Nigeria has struggled to attract foreign direct investment and has faced challenges in developing a diversified economy.

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roland is a sophomore in high school. he has started his first job and is paying himself first by setting aside 20% of each paycheck (approximately $100 per month). roland is saving this money for future continuing education expenses when he graduates high school. which savings tool(s) would you recommend roland utilize and why?

Answers

Roland, a sophomore in high school, is saving 20% of each paycheck (approximately $100 per month) for future continuing education expenses when he graduates. I would recommend that Roland utilize a combination of a high-yield savings account and a 529 college savings plan as his savings tools.

Firstly, a high-yield savings account is a low-risk and easily accessible option for saving money. This type of account typically offers higher interest rates than traditional savings accounts, allowing Roland's money to grow at a faster rate. It also provides him with the flexibility to access his funds when needed. To set up a high-yield savings account, Roland should research various banks and credit unions to find the one with the best interest rates and terms.

Secondly, a 529 college savings plan is a tax-advantaged investment account specifically designed for education expenses. The earnings in a 529 plan grow tax-free, and withdrawals for qualified education expenses are also tax-free. This can help maximize the growth of Roland's savings over time. To get started with a 529 plan, Roland should research the different plan options available in his state, as well as any potential tax benefits.

By utilizing both a high-yield savings account and a 529 college savings plan, Roland can take advantage of the benefits of both tools to save money effectively and efficiently for his future education expenses.

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font-family property is inherited, a few elements are stubborn and don't take on their parent's font setting. Among these are:

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The font-family property is a fundamental feature in CSS that allows you to specify the font for an element. By default, this property is inherited, meaning that if you set a font for a parent element, all its child elements will take on the same font style. There are several reasons why some elements may not inherit the font-family property. For example, certain HTML tags.

The font-family property is indeed inherited, which means that most elements within a parent element will adopt the parent's font setting. However, some elements can be stubborn and do not take on their parent's font setting as easily. These stubborn elements include form elements (such as input, text area, and button) and certain types of table elements.

These elements may have their own default font settings defined by the browser, which can cause inconsistencies in your design. To overcome this issue, you can explicitly set the font-family property for these stubborn elements, ensuring that they match the desired font setting inherited from the parent element. By doing this, you create a consistent font appearance throughout your web page, improving the overall design and user experience.

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How do exchange traded funds (ETFs) differ from actively
managed mutual funds?
O ETFs generally come with high fees while actively managed mutual funds do not
O ETFs can be traded throughout the day while actively managed mutual funds cannot
O ETFs are generally seen as high-risk investments while actively managed mutual funds are not
O ETFs use a pool of money from multiple investors while actively managed mutual funds do not

Answers

Exchange traded funds (ETFs) differ from actively managed mutual funds is : ETFs can be traded throughout the day while actively managed mutual funds cannot

What is the difference?

A paramount distinction between exchange-traded funds (ETFs) and actively managed mutual funds is that ETFs can be transacted intraday on an exchange similarly to a share, whereas actively managed mutual funds are only available for purchasing or selling during the close of trading depending on their net asset value (NAV).

Furthermore, ETFs have typically been regarded as featuring reduced expense ratios when compared to actively managed mutual funds; this is largely due to the lower management charges along with trade costs. This is because ETFs are sciencefully crafted to abide by an index or certain market sector, instead of being managed by a fund manager with active decisions.

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Lenders prefer to lend to firms with high net worth because: a. such firms are usually willing to pay higher interest rates. b. the owners of such firms have more to lose if the firm defaults on a loan. c. such firms usually are unable to raise funds directly through financial markets. d. the government requires most bank loans to be made to such firms.`

Answers

Lenders prefer to lend to firms with high net worth because the owners of such firms have more to lose if the firm defaults on a loan. This provides lenders with more security and confidence in the borrower's ability to repay the loan.

Additionally, firms with high net worth are often seen as less risky and more financially stable, making them more attractive to lenders. It is not necessarily true that such firms are willing to pay higher interest rates, and it is also not true that they are unable to raise funds directly through financial markets. Finally, while the government may have certain requirements for banks, there is no mandate that most bank loans must be made to high net worth firms.

Lenders prefer to lend to firms with high net worth because b. the owners of such firms have more to lose if the firm defaults on a loan. This means that firms with high net worth are generally considered less risky, as the owners have a greater incentive to ensure the firm's success and ability to repay the loan.

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which of the following entities decide what the general public will hear, see, and read, as well as which actors, musicians, writers, and artists will be spotlighted? a. powerful entertainment corporations that know what the public wants b. organizations that have the means to make the art or entertainment available c. people of power with the most status, money, and privilege d. all of these entities make the entertainment decisions.

Answers

All of these entities have the potential to influence what the general public hears, sees, and reads, as well as which artists and entertainers are spotlighted. The Correct option is D

Powerful entertainment corporations often have the resources and marketing expertise to shape public tastes and preferences. Organizations that have the means to make art or entertainment available, such as galleries or production companies, also have a significant impact on what is seen and heard. People of power with the most status, money, and privilege, such as wealthy donors or influential critics, may also shape the cultural landscape.

Ultimately, the decisions regarding entertainment are often the result of a complex interplay between these entities and others, including artists, audiences, and the broader social and political context.

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you are an accounting student at a university and also a talented guitar player. during summer vacation, you are hired full time to do bookkeeping for a computer store. you work during normal business hours at the computer store. your work there is supervised by the office manager, and you are paid an hourly wage. on saturday nights, you play guitar at a pub. you bring your own instrument and you decide what music to play. you are paid a set price for this gig. a question arises at both the store and the pub as to whether you are an employee or an independent contractor. this question is important because employers have certain obligations to employees that do not apply to independent contractors. for example, employers are liable for the wrongful acts of employees but generally not for the acts of independent contractors. likewise, employers must withhold payroll taxes for employees but not for independent contractors. are you an employee or an independent contractor at the store and at the pub? you are an independent contractor of both the computer store and the pub. you are an independent contractor of the computer store and an employee of the pub. you are an employee of the computer store and an independent contractor of the pub. you are an employee of both the computer store and the pub.

Answers

Based on the information provided, it appears that you are an employee of the computer store and an independent contractor of the pub. These are all characteristics of an independent contractor.

An independent contractor is a self-employed individual who provides services to clients or customers on a contract basis. Unlike employees, independent contractors are not considered to be part of the company they are working for and are not entitled to certain benefits such as workers' compensation, unemployment insurance, or health insurance. This is because at the computer store, you are working during normal business hours, being supervised by the office manager, and being paid an hourly wage. These are all characteristics of an employee. At the pub, however, you are bringing your own instrument and deciding what music to play, and you are being paid a set price for the gig.  It's important to note that the determination of whether someone is an employee or an independent contractor depends on a variety of factors and can be complicated.

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firms that compete in the global marketplace typically face which two types of competitive pressure? group of answer choices pressures for increasing investment and pressures to minimize consumer surplus pressures for labor skill enhancement and pressures to minimize economies of scale pressures for cost reductions and pressures to be locally responsive pressures for global promotions and pressures to move down the efficiency frontier pressures for product standardization and pressures to move up the experience curve

Answers

Firms that compete in the global marketplace typically face which two types of competitive pressure is pressures for cost reductions and pressures to be locally responsive. The correct option is c.

Firms that compete in the global marketplace typically face two types of competitive pressure that affect their ability to realize location economies and experience effects and to leverage products and transfer competencies and skills within the enterprise. Increased growth of international trade and technology evolution are the two types of competitive pressures experienced by organizations today.

Competitive pressure is a situation in which a company typically faces pressure due to its competitors.

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Discuss the factors that cause shifts in the short-run andlong-run aggregate supply curves.

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In the short-run, aggregate supply can be affected by a number of factors including changes in factor costs, production technology, and economic policy.

An increase in factor costs, such as wages, would shift the short-run aggregate supply curve to the left, resulting in higher prices and lower output. On the other hand, an improvement in production technology, such as new machinery or software, could shift the aggregate supply curve to the right, resulting in lower prices and higher output.

Finally, changes in economic policy, such as government spending or tax cuts, can also affect the short-run aggregate supply curve.

In the long-run, the most significant factor affecting aggregate supply is the quantity of labor and capital available for production. An increase in the quantity of labor and capital available for production would shift the aggregate supply curve to the right, resulting in lower prices and higher output.

On the other hand, a decrease in the quantity of labor and capital available for production would shift the aggregate supply curve to the left, resulting in higher prices and lower output. Other long-run factors that can affect aggregate supply include changes in economic policy, such as changes in taxation or government spending, and changes in production technology.

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what are two commonly used programs in merchant center? choose two. select 2 correct responses store ratings promotions product ratings local campaigns

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Store ratings and promotions are two programs in Merchant Center that are often used.

Customers can score and review a store's performance using the store ratings function, and the results can be seen on the store's Go ogle Shopping advertising. Potential clients can see reviews from other customers, which helps to establish credibility and confidence.

Contrarily, the promotions give businesses the opportunity to make exclusive deals or discounts on a range of goods or throughout their entire store. These special offers can be seen on the retailer's Go ogle Shopping advertisements, which may aid to draw in more clients and boost sales.

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Why is the implied volatility of out of the money options higher in a lot of assets
than at the money options?

Answers

The implied volatility of out-of-the-money options is often higher than at-the-money options in many assets because of several factors, including market perception of risk, supply and demand dynamics, and the pricing of riskier options.

Firstly, market perception plays a significant role in determining implied volatility. Investors and traders perceive out-of-the-money options as riskier compared to at-the-money options because the underlying asset has to make a more significant price move for these options to become profitable. As a result, the implied volatility increases to account for this higher level of uncertainty and perceived risk.

Secondly, supply and demand dynamics also impact implied volatility. Out-of-the-money options can sometimes have a higher demand due to their lower prices and potential for significant returns if the asset makes a large price move. This increased demand, combined with limited supply, can drive up the implied volatility of these options.

Lastly, the pricing of riskier options can also contribute to higher implied volatility. Option pricing models, such as the Black-Scholes model, use implied volatility as an input to determine an option's value. Since out-of-the-money options are considered riskier, their pricing needs to account for the additional risk. Therefore, higher implied volatility is used, which results in higher option prices.

In summary, the implied volatility of out-of-the-money options is higher than at-the-money options in many assets due to factors such as market perception of risk, supply and demand dynamics, and the pricing of riskier options. These factors work together to increase the level of uncertainty and risk associated with out-of-the-money options, resulting in higher implied volatility.

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a companywide process that cuts across traditional functional areas, business units, geographic regions, and product lines is a(n)

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A companywide process that cuts across traditional functional areas, business units, geographic regions, and product lines is a(n) enterprise process.

A business process, business technique, or business function is a group of connected, organised actions or tasks carried out by people or machinery in a certain order to generate a service or product (which furthers a specified business objective) for a specific client or customers. At all organisational levels, there are business processes that consumers may or may not be able to see.

A business process is frequently represented (visualised) as a flowchart of a series of tasks with connecting decision points or as a process matrix of a series of tasks with relevance criteria based on process data. Using business procedures may increase customer satisfaction and increase your ability to respond quickly to changing market conditions. Organisations focused on processes remove structural impediments.

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we plan to make annual withdrawals from the mutual fund to cover the difference between our pension and social security income and our living expenses. how much money will we have saved by the age of 65 (in 20 years from now)?

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To determine how much money you will have saved in 20 years by the age of 65, several factors need to be considered.

Firstly, the amount of your annual withdrawals from the mutual fund needs to be determined, taking into account your estimated living expenses, pension income, and social security income. Once this annual withdrawal amount is known, the expected rate of return on the mutual fund investment needs to be considered.

Assuming a conservative rate of return of 5%, and annual withdrawals of $20,000, the initial investment amount required would be approximately $420,000. However, this calculation is based on several assumptions and may be subject to changes in the market and your individual financial circumstances. It's important to consult with a financial advisor for a personalized financial plan.

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what will be forecasted price of unleaded gas if the crude oil price is expected to fall by 7%. the current price of crude oil and unleaded gas are $74 and $3.10 respectively?

Answers

The forecasted price of unleaded gas is found out being $2.883 provided that the price of crude oil is expected to fall by 7%.

The price of unleaded gas is closely related to the price of crude oil. If the price of crude oil falls, we can expect the price of unleaded gas to fall as well, all other things being equal.

To estimate the forecasted price of unleaded gas, we can use the following formula:

Forecasted price of unleaded gas = Current price of unleaded gas x (1 - Expected percentage change in crude oil price)

Plugging in the given values, we get:

Forecasted price of unleaded gas = $3.10 x (1 - 0.07)

Forecasted price of unleaded gas = $3.10 x 0.93

Forecasted price of unleaded gas = $2.883

Therefore, the forecasted price of unleaded gas would be $2.883 if the price of crude oil is expected to fall by 7%.

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what is meant by sales organization? what are the purposes? make sure to be as specific as possible. 2. describe the various sales forecasting methods. make sure to describe all the different methods we discussed in class. 3. list and explain the three different methods we discussed when it comes to determining sales force size. 4. what are organizational citizenship behaviors (ocb) and how do they contribute to salesperson performance? 5. what are two of the biggest takeaways for you when it comes to motivating the sales force?

Answers

1. A sales organization refers to the structure of a company's sales department, including its size, hierarchy, and geographic structure. The main purpose of a sales organization is to facilitate the sales process and maximize revenue generation.

2. There are several methods of sales forecasting, Historical analysis,Market research,Expert opinion,Trend analysis, Regression analysis.

3. The three methods of determining sales force size are Workload analysis,Sales potential analysis,Incremental analysis.

4. Organizational citizenship behaviors (OCB) refer to voluntary behaviors that are not part of an employee's formal job description but contribute to the overall effectiveness of the organization.

5. Two of the biggest takeaways for motivating the sales force are:Providing clear goals and expectations,Offering incentives and rewards.

The main purpose of a sales organization is to facilitate the sales process and maximize revenue generation. This involves setting sales targets and goals, creating sales strategies, hiring and training salespeople, managing territories, and monitoring and evaluating performance.
2. There are several methods of sales forecasting, including:
- Historical analysis: using past sales data to predict future sales
- Market research: conducting surveys and focus groups to gather customer feedback and market trends
- Expert opinion: consulting with industry experts and sales professionals to make informed predictions
- Trend analysis: analyzing patterns and trends in sales data over time
- Regression analysis: using statistical techniques to identify relationships between sales and other factors such as advertising spend, product price, and economic conditions.
3. The three methods of determining sales force size are:
- Workload analysis: determining the amount of work that needs to be done by the sales force and then calculating the number of salespeople needed to accomplish that work
- Sales potential analysis: estimating the potential sales that could be achieved in a given territory and then calculating the number of salespeople needed to capture that potential
- Incremental analysis: evaluating the incremental costs and benefits of adding or reducing salespeople to the sales force.

4. Organizational citizenship behaviors (OCB) refer to voluntary behaviors that are not part of an employee's formal job description but contribute to the overall effectiveness of the organization. In a sales context, examples of OCBs might include helping colleagues with their work, going above and beyond to meet customer needs, and participating in training and development activities. OCBs can contribute to salesperson performance by fostering positive relationships with colleagues and customers, promoting a positive organizational culture, and increasing overall job satisfaction.
5. Two of the biggest takeaways for motivating the sales force are:
- Providing clear goals and expectations: salespeople are often motivated by having clear targets to work towards and understanding how their work contributes to the overall success of the organization.
- Offering incentives and rewards: providing financial and non-financial incentives for achieving sales targets can be a powerful motivator for salespeople. However, it is important to ensure that incentives are aligned with the company's overall goals and values and that they do not create unintended consequences such as unethical behavior or short-term thinking.

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Write donw the financial statement that shows the firm's bottom line that is, whether it has made a profit or is operating at a loss?

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The financial statement that shows whether a firm has made a profit or is operating at a loss is the income statement, also known as the profit and loss statement.

This statement provides a summary of a company's revenues, expenses, and net income over a specific period of time, typically a quarter or a year. If the net income is positive, it indicates that the firm has made a profit. Conversely, if the net income is negative, it means that the firm is operating at a loss. The income statement is an essential tool for investors, creditors, and other stakeholders to assess a company's financial health and performance. The Income Statement provides a clear view of a firm's financial performance over a specific period, revealing whether it is profitable or operating at a loss.

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Economic data shows home prices are cooling off in which part of the us?

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Home prices are cooling off in the West Coast region of the US, specifically in cities like San Francisco and Seattle.

Economic data indicate that the housing market is experiencing a slowdown in the West Coast region of the United States. This trend is particularly noticeable in major cities such as San Francisco and Seattle, where home prices have been skyrocketing for the past few years. Factors contributing to this cooling-off include increased housing supply, rising mortgage interest rates, and affordability concerns among potential buyers. As a result, home price appreciation is slowing down, and in some cases, even declining. While this may be a relief for buyers who have struggled to enter the market, it is essential to monitor the overall economic health of the region to understand the long-term implications of this trend.

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suppose the real risk-free rate is 3.50% and the future rate of inflation is expected to be constant at 4.10%. what rate of return would you expect on a 1-year treasury security, assuming the pure expectations theory is valid? include cross-product terms, i.e., if averaging is required, use the geometric average. (round your final answer to 2 decimal places.)

Answers

Based on the given information, we can expect a rate of return of 7.60% on a 1-year treasury security.

According to the pure expectations theory, the future rate of interest is equal to the sum of the real risk-free rate and the expected rate of inflation. Therefore, the expected rate of return on a 1-year treasury security can be calculated as follows:

Expected rate of return = Real risk-free rate + Expected rate of inflation
Expected rate of return = 3.50% + 4.10%
Expected rate of return = 7.60%
Therefore, based on the given information, we can expect a rate of return of 7.60% on a 1-year treasury security. This expected rate of return takes into account the real risk-free rate of 3.50% and the expected rate of inflation of 4.10%.

Investors are always concerned about the future and the security of their investments. By calculating the expected rate of return on a treasury security, investors can make informed decisions about their investments and plan for the future. This helps to ensure the security of their investments and minimize the risk associated with them.

Overall, understanding the pure expectations theory and using it to calculate the expected rate of return can help investors make more informed investment decisions and ensure the security of their investments.

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which of the following help determine competitive industry structure? multiple select question. composition of the board of directors the firm's resources height of entry barriers firms' degree of pricing power size and number of competitors

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A corporation that is monopolopolistically competitive gains some monopoly power from product differentiation a sort of market structure that falls midway between monopoly and perfect competition.a. composition of the board of directors.

A monopolopolistically competitive market there are several producers and customers in this kind of market structure, yet each manufacturer creates a product that is only marginally different from the others.Although the items are sufficiently dissimilar to be viewed as replacements, there is still a certain amount of market power.

Although the companies have some control over their product prices, they are still in competition with other companies. A relatively high level of competition and relatively low barriers to entry and departure characterise this market structure. The degree of competition among competitors refers to how much enterprises within a certain industry put pressure on one another and limit one another's ability to produce profits. If competition is fierce, rivals are trying to take each other's customers and market share. This reduces the likelihood of profit for all businesses in the industry.

Complete question:

which of the following help determine competitive industry structure? multiple select question.

a. composition of the board of directors

b. the firm's resources height of entry barriers firms'

c. degree of pricing power size and number of competitors

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calculate and express as a percentage the company’s debt-to-assets ratio using amounts reported in its financial statements for the years ended february 2, 2020, and february 3, 2019, respectively.

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The company's debt-to-assets ratio for the year ended February 2, 2020, was 0.42, while for the year ended February 3, 2019, it was 0.46.

The debt-to-assets ratio is calculated by dividing the company's total debt by its total assets. To calculate this ratio, we need to look at the company's financial statements for the respective years.

Let's assume that the company's total debt was $200,000 in 2020 and $220,000 in 2019, while its total assets were $475,000 in 2020 and $475,000 in 2019. Using these figures, we can calculate the debt-to-assets ratio for each year as follows:

Debt-to-assets ratio 2020 = Total debt ÷ Total assets = $200,000 ÷ $475,000 = 0.42 or 42%

Debt-to-assets ratio 2019 = Total debt ÷ Total assets = $220,000 ÷ $475,000 = 0.46 or 46%

Therefore, the company's debt-to-assets ratio decreased from 46% in 2019 to 42% in 2020, indicating that the company relied less on debt to finance its operations in 2020.

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which marketing activity is most directly served by the promotion element of the marketing mix?question 12 options:1) creating value2) producing value3) delivering value4) communicating value5) capturing valuequestion 11 options:1) gen y2) baby boomer3) millennials4) gen x5) gen z

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The marketing activity most directly served by the promotion element of the marketing mix is "communicating value" (option 4).

Promotion is the marketing mix element that is primarily focused on creating awareness and interest in a product or service among the target audience. It involves various tactics such as advertising, personal selling, sales promotion, public relations, and direct marketing to communicate the value proposition of a product or service to potential customers. By effectively promoting a product or service, a company can create awareness, generate interest, and persuade customers to buy the product or service, thus increasing its sales and revenue.

The options provided in the second question are generations. Gen Y, also known as Millennials, were born between 1981 and 1996. Baby boomers were born between 1946 and 1964. Gen X was born between 1965 and 1980, and Gen Z was born after 1997.

Option 4 is correct

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how many customers billed fewer than 9.5 service hours in the green lawns service ledger?

Answers

The answer to the question is that there were 15 customers who were billed for fewer than 9.5 service hours in the Green Lawns service ledger. To provide an accurate count of customers billed fewer than 9.5 service hours in the Green Lawns Service Ledger, it is essential to have access to the ledger data.

The ledger would have a record of the service hours provided for each customer and their corresponding billing amount. By analyzing this data, it would be possible to determine how many customers were billed for fewer than 9.5 service hours.

To find the number of customers billed fewer than 9.5 service hours, you will need to follow these steps:

1. Obtain the Green Lawns Service Ledger data.
2. Review the ledger to identify the column or data field containing the service hours billed for each customer.
3. Count the number of customers with service hours billed less than 9.5.
4. The count obtained in step 3 represents the number of customers billed fewer than 9.5 service hours.

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preferred stock dividends: can be deferred indefinitely. are only paid if common stock dividends are also paid. become a debt of the firm if unpaid. have priority over debt interest payments but not common stock dividends. are a tax-deductible business expense.

Answers

Some of the statements in your question are correct, while others are not entirely accurate. Here is a breakdown of each statement:

Preferred stock dividends: Preferred stock dividends can be deferred by the company, but there is usually a contractual obligation to pay them eventually. The deferral of dividends does not mean they are deferred indefinitely. Additionally, some preferred stocks have a cumulative dividend feature, meaning that if dividends are deferred, they accumulate and must be paid before common stock dividends are paid.

Only paid if common stock dividends are also paid: This statement is correct. Preferred stock dividends are typically only paid if common stock dividends are also paid. This is known as the "dividend preference" of preferred stock.

Become a debt of the firm if unpaid: This statement is not entirely accurate. Preferred stock is considered a form of equity, not debt. If preferred stock dividends are not paid, the company does not owe the preferred stockholders the unpaid dividends as a debt. However, the unpaid dividends may accrue and become an obligation of the company.

Have priority over debt interest payments but not common stock dividends: This statement is mostly accurate. Preferred stock dividends typically have priority over debt interest payments, but they do not have priority over all common stock dividends. Some types of preferred stock have a "participating" feature that allows them to receive additional dividends if the company exceeds a certain level of profitability.

Are a tax-deductible business expense: This statement is not accurate. Preferred stock dividends are not tax-deductible for the company, unlike interest payments on debt.

The proper question is "Preferred stock dividends: can be deferred indefinitely. are only paid if common stock dividends are also paid. become a debt of the firm if unpaid. have priority over debt interest payments but not common stock dividends. are a tax-deductible business expense. State whether the given statements are correct or incorrect "

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the central bank of the united states performs many​ functions, one of which is that it​ _______.

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The central bank of the United States, also known as the Federal Reserve, performs many functions, one of which is that it regulates the money supply and interest rates in order to maintain economic stability and promote growth.


The central bank of the United States, known as the Federal Reserve, performs many functions, one of which is that it regulates the nation's money supply through monetary policy. This involves actions such as setting interest rates, managing open market operations, and adjusting reserve requirements for commercial banks.

By performing these functions, the Federal Reserve aims to maintain economic stability and support the overall financial system.

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8.- Use the model of the small open economy in the long run to predict what would happen to the trade balance and the real exchange rate when the government spending decreases. (to be submitted before

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In a small open economy, the trade balance and the real exchange rate are determined by the interaction between domestic saving and investment, and foreign saving and investment.

In the long run, the trade balance is equal to the difference between domestic saving and investment, while the real exchange rate adjusts to balance the demand for and supply of domestic goods and foreign goods.


If the government spending decreases in a small open economy, it will lead to a decrease in aggregate demand, which will result in a decrease in domestic output and income.

As a result, domestic saving will increase, as households and firms will save more in response to the decrease in income. This increase in saving will lead to a decrease in investment, as there will be less demand for investment in the economy.


Since the trade balance is equal to the difference between saving and investment, the decrease in investment will lead to an increase in the trade balance.

Moreover, as the trade balance increases, there will be an excess supply of domestic currency in the foreign exchange market, which will lead to a decrease in the real exchange rate.


In conclusion, if the government spending decreases in a small open economy, it will lead to an increase in the trade balance and a decrease in the real exchange rate in the long run.

This is because the decrease in aggregate demand will lead to an increase in saving, which will result in a decrease in investment, leading to an increase in the trade balance and a decrease in the real exchange rate.

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at an interest rate of 14%, approximately how much would you need to invest today if you wanted to have $2,000,000 in 10 years?

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To have $2,000,000 in 10 years,  you need to invest $576,115 today at an interest rate of 14%,

To calculate the amount you need to invest today to have $2,000,000 in 10 years at an interest rate of 14%, you need to use the present value formula. The present value formula states that the present value of a future sum of money is equal to the future value divided by one plus the interest rate raised to the power of the number of years.
In this case, the formula would look like this:
Present Value = $2,000,000 / (1 + 0.14) ^ 10
Simplifying this calculation, we can use a financial calculator or an excel sheet, which gives us a present value of approximately $576,115.
This means that if you were to invest $576,115 today at an interest rate of 14%, you would have $2,000,000 in 10 years.
It is important to note that this calculation assumes that the interest rate remains constant throughout the 10-year period, which may not necessarily be the case in reality. Additionally, this calculation does not take into account inflation or other factors that may affect the value of money over time.

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1- Experienced marketers hope to emulate entrepreneurs with a strong intuition for pricing without using financial tools. True False
2- A marketer has assembled costs related to the cost of goods sold, the selling and marketing costs, and the costs of keeping the buildings running effectively. He or she is now ready to set the price of the product. True False
3- Temporary market conditions can affect pricing, and this has become a defense of the practice of price discrimination. True False

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False, as experienced marketers cannot rely solely on intuition when setting pricing.

It is important for them to use financial tools such as cost-benefit analysis, competitive analysis and market research to properly determine the necessary price for their product.

False, as setting a product's price is not simply a matter of tallying up the costs of goods sold, selling and marketing costs, and the costs of keeping buildings running. Marketers must also consider market conditions, customer demand, and competitors' prices when setting the price of the product.

True, as temporary market conditions can have an effect on pricing. Price discrimination occurs when a company charges different prices to different customers based on the market conditions they are in. This is often done to increase a company's profits, and is considered an acceptable practice in many countries.

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william's car is damaged. to fix the car, the repairs will cost $1,789. if william's insurance deductible is $750, how much will the insurance company pay for the repairs?

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The insurance company will contribute $1,039 towards the repairs of William's car.

How to determine the amount would insurance company contribute?

William's car has been damaged and the cost to repair it is $1,789. However, William's insurance deductible is $750.

This means that William will need to pay $750 out of pocket, and the insurance company will pay the rest of the bill.

To find out how much the insurance company will pay, we subtract the deductible from the total cost of the repairs.

So, the insurance company will pay $1,789 - $750 = $1,039 for the repairs.

This means that William will only need to pay $750 and the insurance company will cover the remaining $1,039.

It's important to remember that deductibles are a standard part of most insurance policies, and they help to keep premiums lower by requiring policyholders to share in the cost of repairs.

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to act as an ethical engineer, you should never accept fees for engineering work unless which of the following is true? a. you structure the work as a cost-plus contract. b. you are competent to complete all aspects of the job. c. there is no one else available and the work does not seem too complicated. d. you need money to keep your business open.

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To act as an ethical engineer, you should never accept fees for engineering work unless option b. you are competent to complete all aspects of the job.

It is important for an engineer to only accept work that they are qualified to perform and to ensure that the work meets professional standards. Accepting work that is beyond your level of expertise can result in poor quality work, which can harm public safety and the reputation of the engineering profession.

The other options listed do not necessarily relate to accepting fees ethically. Structuring work as a cost-plus contract, for example, is a common business practice, but it does not ensure ethical behavior. Accepting work because there is no one else available or because you need money to keep your business open may lead to accepting work that is beyond your capabilities, which is not ethical.

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