Suppose that there is a nonrenewable resource that can be consumed today period 1) or tomorrow (period 2) and that it has a fixed supply of 10 units. Assume that the inverse demand for the resource in each period is given by P. = 100-5Q P = 100-50 Moreover, assume that the resource's marginal extraction cost (MEC) is constanz in both periods at 520 and that the social discount rate is 10% (0., r=0.1). What is the efficient level of consumption in period 1? Please round your final answer to two decimal places if necessary Answer: 19.25 Suppose that there is a nonrenewable resource that can be consumed today (period 1) or tomorrow (period 2) and that it has a fixed supply of 12 units. Assume that the inverse demand for the resource in each period is given by P1 = 100-50 P2 = 100-502 Moreover, assume that the resource's marginal extraction cost (MEC) is constant in both periods at $20 and that the social discount rate is 10% (.e., r=0.1). What is the efficient level of consumption in period 1? Please round your final answer to two decimal places if necessary. Answer: Suppose that there is a nonrenewable resource that can be consumed today (period 1) or tomorrow (period 2) and that it has a fixed supply of 8 units. Assume that the inverse demand for the resource in each period is given by P. = 80-50 Pa = 80-502 Moreover, assume that the resource's marginal extraction cost (MEC) is constant in both periods at $15 and that the social discount rate is 12% (.e., r=0.12). What is the officient level of consumption in period 2? Please round your final answer to two decimal places if necessary. Answer -5.31

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Answer 1

Suppose there is a nonrenewable resource with a fixed supply of 12 units, which can be consumed today (period 1) or tomorrow (period 2).

The inverse demand for the resource in each period is given by P1 = 100 - 50Q and P2 = 100 - 50Q. The resource's marginal extraction cost (MEC) is constant in both periods at $20, and the social discount rate is 10% (r=0.1).
To find the efficient level of consumption in period 1, we need to equate the marginal benefit (MB) of consuming in period 1 to the present value of the marginal benefit of consuming in period 2, taking into account the social discount rate and MEC. MB1 = P1 - MEC = 100 - 50Q - 20
MB2 = P2 - MEC = 100 - 50Q - 20
The present value of MB2 is given by (MB2)/(1+r) = (100 - 50Q - 20)/(1.1)
Equating MB1 and the present value of MB2:
100 - 50Q - 20 = (100 - 50Q - 20)/1.1 Solving for Q gives the efficient level of consumption in period 1, which should be rounded to two decimal places if  necessary.

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Related Questions

shortly after she landed a corporate-level job at infobasis, tanya was paired with a senior employee who told her she would be an advocate for tanya's career advancement. this is an example of a(n) .

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This is an example of a mentorship or mentoring relationship, where a senior employee (the mentor) takes an interest in the career development and success of a more junior employee (the mentee).

Mentorship refers to a relationship between a more experienced and knowledgeable person (the mentor) and a less experienced or knowledgeable person (the mentee) in which the mentor provides guidance, support, advice, and feedback to the mentee to help them develop their skills, knowledge, and abilities, and navigate their career path.

The mentor may share their own experiences, knowledge, and insights with the mentee, and provide encouragement and motivation to help the mentee achieve their goals. The goal of mentorship is to promote the personal and professional growth of the mentee and to help them achieve success in their chosen field.

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Describe a time that you were confused by a customer's request. What steps did you take to clarify things?

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A hypothetical situation involving a customer's confusing request can be suggested.

Describe a time that you were confused by a customer's request:
During a customer service interaction, a customer asked for a product with unclear specifications. The request was confusing because it combined features from multiple products in our catalog.

What steps did you take to clarify things?
1. First, I politely asked the customer to provide more details about the product they were looking for.
2. Next, I carefully listened to their response and took notes to ensure I captured all the relevant information.
3. Then, I asked follow-up questions to get a clearer understanding of their needs and preferences.
4. Once I had gathered sufficient information, I suggested a few options from our catalog that closely matched their requirements.
5. Lastly, I confirmed with the customer that they were satisfied with the proposed solution and provided any additional assistance they needed.

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in the bcg matrix, ________ refer to low-growth, high-share businesses or products.

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In the BCG matrix, "cash cows" refers to low-growth, high-share businesses or products.

The BCG matrix, developed by the Boston Consulting Group, is a strategic management tool used to analyze a company's product portfolio. It consists of four quadrants: stars, question marks, cash cows, and dogs. Cash cows represent mature, well-established products with a dominant market share in a slow-growing industry.

These products typically generate significant cash flow for the company, allowing it to invest in other areas such as research and development, marketing, or expanding its product line. Cash cows require minimal investment to maintain their market position and should be managed to optimize profitability.

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You short-sell 200 shares of Tommy co. now selling for $30 per share. If you wish to limit your loss to $1,390, you should place a stop-buy order at what price?

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We should place a stop-buy order at $36.95 per share to limit your loss to $1,390.

To limit your loss to $1,390 when short-selling 200 shares of Tommy Co. at $30 per share, you should place a stop-buy order at the following price:

1. Calculate the total value of the short sale: 200 shares * $30/share = $6,000
2. Determine the maximum allowed loss: $1,390
3. Calculate the total value with the allowed loss: $6,000 + $1,390 = $7,390
4. Find the price per share at which to place the stop-buy order: $7,390 / 200 shares = $36.95

So, we should place a stop-buy order at $36.95 per share to limit your loss to $1,390.

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an external factor that influences the wage mix is

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Outside forces that affect the wage mix. wage rates in the area, cost of living, and collective bargaining. intrinsic justice. ensuring that remuneration is equitable within the company.

What elements impact equity on the outside?

In order to evaluate compensation for eligible workers, external equity takes into account variables like the market, company size, revenue, sales, location, and industry. The usual method for doing this is through compensation surveys. These include the supply and demand of workers, the cost of life, society, labour unions, law, the economy, and a survey of remuneration.

What do external and internal elements mean?

The success of a firm can be impacted by external effects, which are factors over which it has no control. Both favourable and unfavourable effects are possible. External variables are uncontrollable by an organisation. There is nothing it can do about them but respond to them.

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How do an external factors influence the pay mix?

the purchasing of firms in the same industry is called: group of answer choices vertical integration. horizontal acquisition. networking the organization. unrelated diversification.

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The purchasing of firms in the same industry is referred to as horizontal acquisition. Horizontal acquisition is a strategy in which a company acquires or merges with a competitor or a company that operates in the same industry.

The primary objective of horizontal acquisition is to gain a larger market share, eliminate competition, and achieve economies of scale. Horizontal acquisitions are usually common in industries that are highly competitive and where there is a lot of fragmentation. Companies engage in horizontal acquisitions to strengthen their market position, improve their bargaining power, and reduce their costs. For example, a company that manufactures soft drinks may acquire another company that produces similar beverages to increase its market share and reduce production costs.

Horizontal acquisition can be risky if the companies involved do not have a clear strategic fit, or if the acquisition is not executed well. The integration of two companies can be complex and can lead to significant operational and cultural challenges.

In conclusion, horizontal acquisition is a common strategy used by companies to grow and expand their businesses. It can be a valuable tool if executed correctly and can help companies gain a competitive advantage in their industry.

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which of the following may lead to a revision of an estimate of a company's depreciation expense? (check all that apply.) multiple select question. a change in the estimated useful life extraordinary repairs that significantly extend the asset's usefulness a change in the estimated residual value a change in the estimated amount of property taxes

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A change in the projected useful life and estimated residual value may necessitate a modification of a company's depreciation expenditure estimate. Here option A and C are the correct answer.

Depreciation is an accounting method used to allocate the cost of a tangible asset over its useful life. The useful life is the estimated period during which the asset is expected to be useful to the company. Any changes in the estimated useful life or the estimated residual value of the asset may lead to a revision of the estimate of a company's depreciation expense.

If the estimated useful life of the asset changes, the company needs to adjust the depreciation expense to reflect the revised period over which the asset is expected to be useful. Similarly, if the estimated residual value changes, the company needs to adjust the depreciation expense to reflect the revised value that the asset is expected to retain at the end of its useful life.

However, a change in the estimated amount of property taxes would not impact the depreciation expense, as property taxes are not directly related to the calculation of depreciation. Extraordinary repairs that significantly extend the asset's usefulness may impact the depreciation calculation, but they would not necessarily lead to a revision of the estimate.

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Complete question:

Which of the following may lead to a revision of an estimate of a company's depreciation expense? (Check all that apply.)

A - A change in the estimated amount of property taxes

B - Extraordinary repairs that significantly extend the asset's usefulness

C - A change in the estimated residual value

D - A change in the estimated useful life

tomas manages a pizza hut restaurant and is considering changing the hours of the restaurant by keeping it open later on friday and saturday nights. he is concerned about the additional costs of labor and ingredients this decision will create. what type of costs is tomas concerned with?

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Tomas is concerned with the incremental or marginal costs of labor and ingredients associated with keeping the Pizza Hut restaurant open later on Friday and Saturday nights.

Tomas is concerned with the incremental costs or marginal costs of labor and ingredients for keeping the Pizza Hut restaurant open.

These are the additional costs that will be incurred by the restaurant as a result of the decision to extend the opening hours, over and above the costs that would have been incurred if the restaurant had closed at the regular time.

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just as important as having the internal post-project meetings within the project organization is having a post-project evaluation meeting with the customer or sponsor. group of answer choices true false

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A post-project assessment meeting with the client or sponsor is equally as crucial as internal post-project meetings inside the project organization. This statement is true.

Just as internal post-project meetings are important for an organization, post-project evaluation meetings with the customer or sponsor are also crucial to ensuring project success. These meetings provide an opportunity to review the project's objectives and outcomes, assess its effectiveness, and gather feedback from the customer or sponsor.

A post-project evaluation meeting with the customer or sponsor can help to ensure that the project met their expectations and requirements. It can also provide insight into areas where improvements could be made for future projects. Additionally, it can be an opportunity to discuss any outstanding issues or concerns, such as warranty or maintenance requirements, and ensure that they are addressed before the project is considered complete.

The post-project evaluation meeting with the customer or sponsor is a critical component of project management, as it can help to ensure customer satisfaction, identify areas for improvement, and ultimately contribute to the success of future projects. Therefore, it is important to plan for and conduct these meetings as a part of the project's overall evaluation process.

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If we knew that an international migrant had gone to a particular place to join relatives there, we would probably be talking about the process of

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If we knew that an international migrant had gone to a particular place to join relatives there, we would probably be talking about the process of family reunification.

international migration to that particular place, specifically for the purpose of joining relatives. The term "international migrant" refers to someone who moves from one country to another with the intention of settling in the destination country, while the term "place" could refer to a specific city, town, or even a neighbourhood. The process of international migration involves various factors such as economic opportunities, social connections, and political situations, among others. In the case of joining relatives, family reunification is a common reason for international migration, which is often facilitated by immigration policies that prioritize family ties.
If we knew that an international migrant had gone to a particular place to join relatives there, we would probably be talking about the process of family reunification.

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the first major regulatory target in the united states was group of answer choices railroads. trucking firms. telephone companies. airlines.

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The first major regulatory target in the United States was the railroads. The regulation of railroads began in the late 19th century when the industry was booming and there was a need for oversight to ensure fair practices and prevent abuses.

The first major regulatory act was the Interstate Commerce Act of 1887, which established the Interstate Commerce Commission (ICC) and gave it the power to regulate railroads. The ICC was responsible for ensuring that railroads charged fair rates and did not engage in discriminatory practices.

It also had the authority to investigate complaints and enforce its rulings. Over time, the regulatory focus expanded to include other aspects of railroad operations, such as safety and labor practices.

Regulation of other industries, such as trucking firms, telephone companies, and airlines, followed in the decades that followed. However, the regulation of railroads was the first major step in establishing a regulatory framework in the United States and set the precedent for future regulatory efforts.

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Kendra is a sales representative for a pharmaceuticals company and meets with doctors and other medical personnel daily to share information about the products her company has available. this is an example of which type of promotion?

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The example given is an example of personal selling, which is a form of promotion where a sales representative communicates directly with potential customers.

The type of promotion Kendra is involved in is known as personal selling. Personal selling involves face-to-face communication between a sales representative and a potential customer. It allows the sales representative to provide detailed information about the product and to answer any questions or concerns the potential customer may have. Personal selling is often used in industries such as pharmaceuticals, where the products may be complex and require detailed explanation to potential customers.

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Yale University uses _____________ to correct discrimination that has occurred in the past. They have prevented Asian-American and Caucasian students from attending the university while favoring African-American and Hispanic students.a. benefitsb. performance reviewsc. affirmative actiond. wages

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Yale University uses affirmative action to correct discrimination that has occurred in the past. The correct option is c. affirmative action.

They have prevented Asian-American and Caucasian students from attending the university while favoring African-American and Hispanic students.

Yale University uses affirmative action to correct discrimination that has occurred in the past.

Affirmative action is a policy or program that aims to increase the representation of historically disadvantaged groups in education, employment, and other areas of society by taking into account factors such as race, ethnicity, gender, and socioeconomic status.

The policy of affirmative action is designed to address past and current discrimination against underrepresented groups by providing them with opportunities to achieve equal access to education and employment.

Therefore, the correct option is c. affirmative action.

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hoosier co currently pays no dividend but is expected to pay its first annual dividend of $3.70 per share exactly 9 years from today. after that, the dividends are expected to grow at 3.1 percent forever. if the required return is 10.9 percent, what is the price of the stock today? [do not round interim calculations] multiple choice none of the above $22.70 $18.69 $14.80 $20.73

Answers

If the required return is 10.9 percent the price of the stock today is $55.64.

The price of a stock can be calculated using the dividend discount model, which takes into account the present value of all future dividends.

Using the given information, we can calculate the present value of the dividends using the following formula: P = D / (r - g)

Where P is the price of the stock, D is the expected annual dividend in the next period, r is the required return, and g is the expected growth rate of the dividend.

In this case, the expected dividend in the next period is $4.70, and the expected growth rate is 3.1%. The required return is 10.9%. The dividend is expected to be paid in 9 years, so we need to discount it back to the present value using the formula: PV = FV / (1 + r)^n

Where PV is the present value, FV is the future value, r is the required return, and n is the number of years. Using this formula, the present value of the expected dividend in 9 years is:

PV = $4.70 / (1 + 0.109)^9 = $1.963.

Now, we can calculate the price of the stock today using the dividend discount model:

P = ($4.70 x (1 + 0.031)) / (0.109 - 0.031) = $55.64

Therefore, the price of the stock today is $55.64.

---------The given question is incomplete, the complete question is:

"New Gadgets Inc. currently pays no dividend but is expected to pay its first annual dividend of $4.70 per share exactly 9 years from today After that, the dividends are expected to grow at 3.1 percent forever. If the required return is 10.9 percent. what is the price of the stock today?"-------

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when revenue related to a long-term construction contract is recognized over time, the journal entry to recognize revenue includes which of the following? (select all that apply.) multiple select question. debit cost of construction credit revenue from long-term contracts credit construction in progress credit accounts receivable debit billings on construction contract debit construction in progress

Answers

The journal entry to recognize revenue include are-

Debit cost of construction

Credit revenue from long-term contracts

Credit construction in progress

The journal entry to recognize revenue related to a long-term construction contract over time includes the following accounts:

Debit: Cost of construction

Credit: Revenue from long-term contracts

Credit: Construction in progress

Therefore, the correct options are:

Debit cost of construction

Credit revenue from long-term contracts

Credit construction in progress

The other options, such as "credit accounts receivable," "debit billings on construction contract," and "debit construction in progress," are not part of the journal entry to recognize revenue related to a long-term construction contract over time.

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Joe owns a restaurant. Many of the restaurants that he competes with recently closed, shifting his perceived demand curve. The following 2 tables show his old and new perceived demand curves.
Original Demand Curve
Price Quantity TC
$20 0 $1,000
$18 100 $1,100
$16 200 $2,000
$14 300 $4,000
$12 400 $7,000
New Demand Curve
Price Quantity TC
$25 0 $1,000
$23 100 $1,100
$21 200 $2,000
$19 300 $4,000
$17 400 $7,000
Assume that Joe can only choose from the quantities of output given in the table.
By how much does the price that he charges change after the restaurants leave the market?
a) increase by 3
b) increase by 4
c) decrease by 4
d) decrease by 3

Answers

In each case, the price increases by $5 after the competing restaurants leave the market.

To determine this, we'll compare the original demand curve and the new demand curve.

Original Demand Curve:
Price: $20, $18, $16, $14, $12
Quantity: 0, 100, 200, 300, 400

New Demand Curve:
Price: $25, $23, $21, $19, $17
Quantity: 0, 100, 200, 300, 400

Comparing the prices at the same quantity levels:

- At a quantity of 100, the price increases from $18 to $23.
- At a quantity of 200, the price increases from $16 to $21.
- At a quantity of 300, the price increases from $14 to $19.
- At a quantity of 400, the price increases from $12 to $17.

In each case, the price increases by $5 after the competing restaurants leave the market. However, this option is not available in the provided choices. If we have to choose from the given options, there might be a mistake in the question. Please verify the information and feel free to ask any further questions!

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haft construction company determines that 54,000 pounds of direct materials are needed for production in july. there are 3,200 pounds of direct materials on hand at july 1 and the desired ending inventory is 2,800 pounds. if the cost per unit of direct materials is $3, what is the budgeted total cost of direct materials purchases? question 8 options: 158,400. 160,800. 163,200. 165,600.

Answers

On July 1, there are 3,200 pounds of direct supplies on hand, with an ending inventory of 2,800 pounds desired. If the cost of direct materials is $3 per unit, the total cost of direct material purchases is expected to be $160,800. Here option B is the correct answer.

To determine the budgeted total cost of direct materials purchases, we need to calculate the number of direct materials that must be purchased to meet production needs, taking into account the beginning and ending inventory levels.

The calculation is as follows:

Direct materials needed for production = Desired to end inventory + Direct materials required for production – Beginning inventory

Direct materials needed for production = 2,800 + 54,000 - 3,200

Direct materials needed for production = 53,600 pounds

The budgeted total cost of direct materials purchases can now be calculated by multiplying the total pounds of direct materials needed for production by the cost per unit:

Budgeted total cost of direct materials purchases = Total pounds of direct materials needed for production x Cost per unit

Budgeted total cost of direct materials purchases = 53,600 x $3

Budgeted total cost of direct materials purchases = $160,800

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Complete question:

Haft construction company determines that 54,000 pounds of direct materials are needed for production in July. there are 3,200 pounds of direct materials on hand on July 1 and the desired ending inventory is 2,800 pounds. if the cost per unit of direct materials is $3, what is the budgeted total cost of direct materials purchases? question 8 options:

A - 158,400.

B - 160,800.

C - 163,200.

D - 165,600.

from our studies in economics stagflation is a combination of _________ unemployment and _________ inflation.

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From our studies in economics, stagflation is a combination of high unemployment and high inflation.

Stagflation is a term used to describe an economic condition where there is a high rate of inflation accompanied by a high rate of unemployment. This combination is considered unusual because inflation and unemployment are typically thought to have an inverse relationship, where one increases as the other decreases.

However, in cases of stagflation, both rates are high, resulting in an overall slowdown of economic growth. Stagflation can be caused by various factors, including supply-side shocks or changes in government policy that lead to a decrease in aggregate supply.

It is a challenging economic situation for policymakers to manage, as traditional solutions to combat inflation, such as raising interest rates, may exacerbate unemployment, and vice versa.

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suppose that a certain country has an mpc of 0.9 and a real gdp of $500 billion. if its investment spending decreases by $8 billion, what will be its new level of real gdp?

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The new level of real GDP will be $420 billion.

The MPC (marginal propensity to consume) is the proportion of an additional dollar of income that is spent on consumption. In this case, the MPC is 0.9, which means that for every additional dollar of income, 90 cents is spent on consumption.

Investment spending is one of the components of GDP (gross domestic product) and a decrease in investment spending will lead to a decrease in GDP. The multiplier effect measures the overall impact on GDP of a change in investment spending. The multiplier effect can be calculated as 1/(1-MPC). In this case, the multiplier effect is 1/(1-0.9) = 10.

Therefore, a decrease in investment spending of $8 billion will result in a decrease in GDP of $8 billion x 10 = $80 billion. The new level of real GDP will be the initial level of $500 billion minus the decrease of $80 billion, which equals $420 billion.

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true or false: gaap require end-of-period adjustments for the estimated bad debts in the period of the credit sale even though the specific, non-paying customers have not yet been identified.

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The given statemetn "GAAP (Generally Accepted Accounting Principles)  require end-of-period adjustments for the estimated bad debts in the period of the credit sale even though the specific, non-paying customers have not yet been identified." is true because GAAP requires end-of-period adjustments for the estimated bad debts in the period of the credit sale, even though the specific, non-paying customers have not yet been identified.

This is because the matching principle of accounting requires that expenses be recognized in the same period as the revenue they help generate. In the case of credit sales, revenue is recognized when the sale is made, but there is a risk that some customers may not pay their debts. Therefore, the company must estimate the amount of bad debts that will likely result from the credit sales made during the period and record this amount as an expense in the same period, even though the specific non-paying customers have not yet been identified.

This helps to ensure that the company's financial statements accurately reflect the expenses incurred in generating the revenue reported in the same period.

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on june 1, royal corporation began operating a service company with an initial cash investment by shareholders of $3,309,000. the company provided $6,700,000 of services in june and received full payment in july. royal also incurred expenses of $2,129,000 in june that were paid in august. during june, royal paid its shareholders cash dividends of $512,000. what was the company's income before income taxes for the two months ended july 31 under the following methods of accounting?

Answers

The company's income before income taxes for the two months ended July 31 is $4,059,000 under both cash basis and accrual-basis accounting methods.

There are two methods of accounting commonly used in financial reporting: cash basis and accrual basis. Let's calculate the company's income before income taxes for the two months that ended July 31 using both methods.

Cash Basis Accounting:

Under cash basis accounting, revenue is recognized when cash is received, and expenses are recognized when cash is paid.

Revenue for June: $0 (as payment was received in July)

Revenue for July: $6,700,000

Expenses for June: $2,129,000 (to be paid in August)

Expenses for July: $0 (as expenses were paid in August)

Cash Dividends: $512,000 (paid in June)

Income before income taxes = (Revenue for July - Cash Dividends) - Expenses for June

= ($6,700,000 - $512,000) - $2,129,000

= $6,700,000 - $512,000 - $2,129,000

= $4,059,000

Accrual Basis Accounting:

Under accrual basis accounting, revenue is recognized when it is earned, regardless of when cash is received, and expenses are recognized when they are incurred, regardless of when cash is paid.

Revenue for June: $6,700,000

Revenue for July: $0 (as payment was received in July)

Expenses for June: $2,129,000 (to be paid in August)

Expenses for July: $0 (as expenses were paid in August)

Cash Dividends: $512,000 (paid in June)

Income before income taxes = (Revenue for June - Expenses for June) - Cash Dividends

= $6,700,000 - $2,129,000 - $512,000

= $4,059,000

Therefore, the company's income before income taxes for the two months ended July 31 is $4,059,000 under both cash basis and accrual-basis accounting methods.

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When two companies get involved in each other's business in any form, there are structural changes that take place in both companies. The following is one of the ways in which companies join forces: Two companies enter into a formal relationship to pursue a mutually beneficial goal without combining all their assets. This statement best describes a _____Digicon Inc. has been a leading producer of computer hardware, including hard drives and CD-ROM drives, for a couple of decades. More recently, Digicon entered the software market, and this division has grown to be a major part of Digicon's overall corporate structure. The hardware and software markets are very different lines of business, and the firm has struggled at times when making strategic decisions that affect both lines. Digicon is now in the process of carving out its software division. Which method of changing corporate control does this example illustrate? O Leveraged buyout O Corporate alliance O Merger or acquisition O Divestiture If Digicon proceeds with this carve-out, how will shares in the new software company likely be apportioned? O Shares in the new company will be sold in a public offering. O Shares in the new company will be distributed to shareholders in Digicon.

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If Dig icon proceeds with this carve-out, shares in the new software company will likely be apportioned by distributing the shares in the new company to the shareholders in Dig icon.

When two companies enter into a formal relationship to pursue a mutually beneficial goal without combining all their assets, this statement best describes a Corporate Alliance. In the case of Dig icon Inc., the method of changing corporate control they are using by carving out its software division is Divestiture. Shareholders are people or organisations that possess shares in a business, which are equivalent to a percentage of the business' ownership. When someone purchases shares in a corporation, they become a shareholder and get an interest in it as well as certain privileges. Shareholders may own a variety of shares, including common and preferred shares, each with a unique set of voting privileges and dividend preferences.

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Moral Hazard Problem :Marty has been driving his Dad’s old beat up car to work and school. To embarrass him, Biff, the local bully, has challenged Marty to a race. If he wins, he gets $1,000 but if he loses, he pays $1,000.Using his Dad’s old car, Marty guesses that Biff would win 8 times out of 10. This is embarrassing! To Marty, avoiding the humiliation of not racing Biff at all is worth $100.Unknown to Biff, Marty’s mom, Mrs. McFly, is CFO at Luxury Cars Inc. and she often drives home in the $625,000 company Ferrari. If Marty can secretly borrow his Mom’s car, Marty guesses he’ll win 9 times out of 10.There is a catch. Under racing conditions, Marty figures he has a 1% chance of a crash. Using his Dad’s car, he’d pay the $500 insurance deductible. Using his Mom’s car, he’d do $200,000 in damage, but Luxury Cars Inc. is fully insured so Marty would pay nothing. Marty needs to consider his options.Q. What is the payoff (please express as positive number) or loss (please express as negative number) of not racing Biff?Q. What is the expected payoff (please express as positive number) or loss (please express as negative number) of Marty racing using his Dad’s car?Q. What is the expected total payoff (please express as positive number) or loss (please express as negative number) of racing using his Mom’s car including an accident?Q. What is Marty’s personal expected payoff (please express as positive number) or loss (please express as negative number) of racing using his Mom’s car?Q. So, what does Marty do?

Answers

Marty is confronted with a moral hazard situation in which he must assess the potential benefits and drawbacks of borrowing his mother's luxury car in order to win a race against a bully.

The incentive if he doesn't race at all is avoiding the humiliation of losing, which is worth $100 to him. If he races in his father's automobile, he expects to lose 8 out of 10 races, resulting in a $1,000 loss each time. However, there is a 1% possibility that an accident will result in a $500 deductible.

He expects to win 9 out of 10 times if he takes his mother's car, but there is a 1% risk of incurring $200,000 in damage. Despite the huge potential payout of winning the race with his mother's automobile, Marty's decision is ultimately determined by his risk tolerance and personal values.

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cindy is a lawyer who runs her own law firm practicing in the area of real estate law. ray, a real estate developer, hires cindy to represent him in the purchase of land. cindy is a(n) .

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Cindy is a lawyer who runs her own law firm practicing in the area of real estate law.

Her expertise in this area makes her a valuable resource for clients who need legal guidance when dealing with real estate transactions. In this particular case, Ray, a real estate developer, has hired Cindy to represent him in the purchase of land.

As a lawyer, Cindy has a duty to act in the best interests of her client. This means that she must use her knowledge and expertise to ensure that Ray gets a fair deal when purchasing the land. She will need to review the terms of the contract, negotiate with the seller, and ensure that all legal requirements are met before the sale is completed.

In addition to her legal expertise, Cindy also brings a wealth of knowledge about the real estate industry to the table. She understands the market trends, regulations, and the potential risks associated with the purchase of land. With this knowledge, she can provide Ray with valuable advice on how to proceed with the purchase, and how to mitigate any potential risks.

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The production function is Q = K.6L.4. The marginal rate of technical substitution is: 10 Multiple Choice 2/3 K-1 L. O O -11-1 O O 2/3 KL-1 O K416

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So, the marginal rate of technical substitution is: -1.5K^(-1)L.

To find the marginal rate of technical substitution (MRTS) for the production function Q = K^0.6L^0.4, we first need to find the partial derivatives concerning K and L.

1. Find the partial derivative concerning K: ∂Q/∂K = 0.6K^(-0.4)L^0.4
2. Find the partial derivative concerning L: ∂Q/∂L = 0.4K^0.6L^(-0.6)

Now, we can find the MRTS, which is the ratio of the partial derivatives:

MRTS = -(∂Q/∂K) / (∂Q/∂L) = -(0.6K^(-0.4)L^0.4) / (0.4K^0.6L^(-0.6))

By simplifying this expression, we get:

MRTS = -[(0.6/0.4)(K^(-0.4)L^0.4)] / [(K^0.6L^(-0.6))]
MRTS = -(1.5)(K^(-0.4)L^0.4) / (K^0.6L^(-0.6))
MRTS = -(1.5)(K^(-1)L)

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DO NOT ANSWER THIS ONE (I just added it for background information). I JUST NEED 2 AND 3 ANSWERED 1.You would like to buy a $320,000 condo in downtown Colorado Springs. If the bank will require you to provide a 20% down
payment, what will be the monthly payment on the 30yr mortgage, if the mortgage interest rate is 4.800%(M)? Answer in
dollars to two decimal places ($xxx.xx).
2. (ANSWER PLEASE) Regarding your condo, ten years go by. What is the Remaining Loan Balance on the Mortgage? Answer in dollars to no
decimal places ($xxx).
3. (ANSWER PLEASE) Regarding your condo, ten years go by. Over this time, how much have you paid in total Interest on the Mortgage? Answer
in dollars to no decimal places ($xxx).

Answers

2,  the remaining loan balance after 10 years is approximately $210,343.

3. after 10 years, the remaining loan balance on the mortgage is $210,343 and the total interest paid is $115,301.

2. To calculate the Remaining Loan Balance after 10 years, first, we need to find the initial loan amount and monthly payment. For a $320,000 condo with a 20% down payment, the initial loan amount is $256,000 ($320,000 * 0.8). With a 30-year mortgage at a 4.8% interest rate, the monthly payment can be calculated using the mortgage payment formula:

Monthly Payment = P * (r(1+r)^n) / ((1+r)^n - 1)

Where P is the loan amount ($256,000), r is the monthly interest rate (0.048 / 12), and n is the total number of payments (30 years * 12 payments/year).

Using this formula, the monthly payment is approximately $1,341.32.

Next, we need to calculate the remaining loan balance after 10 years (120 payments). To do this, we can use the remaining balance formula:

Remaining Loan Balance = P * ((1 + r)^n - (1 + r)^p) / ((1 + r)^n - 1)

Where P is the initial loan amount, r is the monthly interest rate, n is the total number of payments, and p is the number of payments made (10 years * 12 payments/year).

Using this formula, the remaining loan balance after 10 years is approximately $210,343.

3. To calculate the total interest paid over 10 years, first find the total amount paid during this period:

Total Amount Paid = Monthly Payment * Number of Payments = $1,341.32 * 120 = $160,958.40

Now, subtract the principal paid over these 10 years:

Principal Paid = Initial Loan Amount - Remaining Loan Balance = $256,000 - $210,343 = $45,657

Finally, calculate the total interest paid:

Total Interest Paid = Total Amount Paid - Principal Paid = $160,958.40 - $45,657 = $115,301

So, after 10 years, the remaining loan balance on the mortgage is $210,343 and the total interest paid is $115,301.

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james hayes owns 552 shares of ohio utility preferred stock. if this preferred stock issue pays $3.40 per share each year, what is the total dollar amount mr. hayes will receive in one year? (round your answer to 2 decimal places.)

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James Hayes will receive a total dollar amount of $1876.80 in one year from his 552 shares of Ohio Utility preferred stock, assuming the dividend remains constant.

To calculate the total dollar amount James Hayes will receive in one year, we need to multiply the annual dividend per share by the number of shares he owns.

Given that James owns 552 shares of Ohio Utility preferred stock, and the stock pays a dividend of $3.40 per share each year, we can calculate the total dollar amount as follows:

Total dollar amount = Annual dividend per share x Number of shares

Total dollar amount = $3.40 × 552

Total dollar amount = $1876.80

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At its most basic level, economic growth depends on
A) government leadership.
B) government's fixing prices to encourage stability.
C) political freedom.
D) saving by the government.
E) creating the right incentives.

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At its most basic level, economic growth depends on creating the right incentives.(E)

Economic growth is driven by a combination of factors, but one of the most fundamental aspects is creating the right incentives for individuals and businesses to invest, innovate, and be productive.

These incentives can come in various forms, such as tax breaks, regulatory policies, and investment opportunities. When people are motivated to work harder, invest more, and take calculated risks, the economy will grow as a result.

Government leadership, political freedom, and saving by the government can all contribute to creating these incentives, but the main driving force of economic growth lies in the incentives themselves.(E)

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most central banks state that the most important economic variable to stabilize is multiple choice question. financial markets. prices. interest rates. employment.

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Central banks around the world prioritize stabilizing interest rates as the most important economic variable. Interest rates affect the cost of borrowing and spending in the economy, which in turn affects economic activity, inflation, and employment.

The central bank adjusts interest rates by manipulating the money supply in the economy. When interest rates are low, borrowing and spending increase, which stimulates economic activity and job growth. However, this can also lead to inflation if demand outstrips supply.

Conversely, when interest rates are high, borrowing and spending decrease, which can slow down economic activity and lead to unemployment. Therefore, central banks aim to strike a balance between economic growth and inflation by adjusting interest rates based on current economic conditions.

While financial markets and prices also play a crucial role in the economy, interest rates have a broader impact on the overall economy, making it the most important economic variable to stabilize. By stabilizing interest rates, central banks can promote stable economic growth, low inflation, and sustainable employment levels.

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a contract where the buyer pays a minimal amount for each unit purchased from the supplier but shares a fraction of the revenue for each unit sold is a

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The type of contract where the buyer pays a minimal amount for each unit purchased from the supplier but shares a fraction of the revenue for each unit sold is known as a revenue-sharing agreement.

Revenue-sharing type of agreement is often used in business relationships where a supplier provides a product or service to a buyer, but the buyer may not have the upfront capital to pay for the product or service in full. Instead, the supplier and buyer agree to a revenue-sharing arrangement where the buyer pays a minimal amount for each unit purchased, and the supplier shares in the revenue generated from each unit sold by the buyer.

This type of agreement can be beneficial for both parties involved. For the buyer, it allows them to get the product or service they need without having to pay a large upfront cost. For the supplier, it provides them with a steady stream of revenue from each unit sold and can help them to expand their customer base.

However, revenue-sharing agreements can also come with some risks. If the buyer does not sell enough units or fails to generate enough revenue, the supplier may not receive the expected return on their investment. Additionally, if the buyer is not successful in selling the product or service, it can also impact their bottom line.

Overall, revenue-sharing agreements can be a useful tool for businesses looking to expand their offerings or enter into new markets. However, it is important for both parties to carefully consider the terms of the agreement and ensure that it is a mutually beneficial arrangement.

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