Suppose the budget constraint is given by 200P + 50S = 400, where P is pizza and S is spinach. If the prices of S and P increase by 10% each then the budget curve will shift to the A) Right with the same slope B) left with the same slope C) Right but the slope will be different than before D) Left but the slope will be different than before Say a consumer always consumed peanut butter and jelly in fixed proportions (for a perfect peanut and jelly sandwich). Then the indifference curves for peanut butter and jelly for this consumer would be A )L shaped B) A straight line with positive slope C) A straight line with negative slope D) Convex

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Answer 1

left with the same slope and Option D: ConvexExplanation:Budget Constraint is given as 200P + 50S = 400.Now, Prices increase by 10% then the new Budget Constraint becomes 220P + 55S = 400,Here, the budget constraint is in terms of P and S,So, by putting the values of P and S in the equation we will get the graph as shown below:Therefore, the budget curve will shift to the left with the same slope.

Hence, option B is correct.For the second part of the question, a consumer always consumed peanut butter and jelly in fixed proportions (for a perfect peanut and jelly sandwich), then the indifference curves for peanut butter and jelly for this consumer would be Convex. Therefore, option D is correct.Long Answer:Budget Constraint: A budget constraint is a visual representation of how a change in the price of one product affects the quantity demanded of another product, given that consumer income and the price of the other product remain constant. A budget line is the graph of this relationship. The budget line is typically a straight line.

If the price of one product increases, the budget line will rotate inward, and if it decreases, the budget line will rotate outward. In this situation, prices of S and P are increased by 10% each. Hence, the new budget line is 220P + 55S = 400. As the budget line is in terms of P and S, we can assume the values of P and S and get the following values.1. If P=0, then the value of S will be 400/55 = 7.272. If S=0, then the value of P will be 400/220 = 1.81Now we have two points (0,7.27) and (1.81,0) which we can plot on a graph and then connect it to obtain the budget line. Then, the shift in the budget line can be observed.The shape of the Indifference curve: Indifference curve is a graph of all possible combinations of two commodities that a consumer is indifferent to. It is also called an iso-utility curve or an equal satisfaction curve. The shape of the indifference curve depends on the nature of the goods. It can be straight, convex, or concave. If the goods are perfect substitutes, then the indifference curve is straight. If the goods are perfect complements, then the indifference curve is L-shaped. If the goods are neither perfect substitutes nor complements, then the indifference curve is convex, and if the goods are substitutes, then the indifference curve is concave.

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According to Komisar, what distinguishes the Silicon Valley is not its successes, but Multiple Choice the way it constantly innovates to new ideas the way it manipulates consumers to create new markets the way in which it keeps and sustains talent the way in which it deals with failures the way in which it is always changing While traditionally knowledge has been understood as rational, logical, and analytical (based upon empirical facts), researchers argue that managers use these qualities for less frequently than Multiple Choice emotion self-reliant drive O Intuition motive-driven desires O inspiring role models What is "intrinsic motivation?" Multiple Choice O It is motivation based upon successful outcomes. It is motivation based on consequences of outcomes. It is motivation derived from another person via inspiration. О It is an internal motivation from within. О None of the answers in this answer set is correct.

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According to Komisar, what distinguishes the Silicon Valley is not its successes, but the way it deals with failures.

"Intrinsic motivation" refers to an internal motivation from within.

According to Komisar, the distinguishing factor of the Silicon Valley is not its successes, but rather the way it deals with failures. The Silicon Valley culture embraces a mindset that views failure as a stepping stone to success. Rather than being discouraged by failures, the emphasis is placed on learning from them and using the experience to fuel innovation and growth.

"Intrinsic motivation" refers to motivation that comes from within an individual. It is driven by internal factors such as personal interest, passion, and satisfaction derived from the activity itself. Unlike extrinsic motivation, which relies on external rewards or consequences, intrinsic motivation is self-generated and self-sustaining. It is fueled by a genuine enjoyment and fulfillment in the process of the task or activity.

Intrinsic motivation is often associated with higher levels of creativity, persistence, and satisfaction in one's work. It is driven by personal values, interests, and a sense of autonomy, rather than external pressures or rewards.

Therefore, the Silicon Valley's ability to embrace failure and its emphasis on intrinsic motivation contribute to its innovative and dynamic culture.

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II 8. Given a three-equation system in three variables X1, X2, and xz: 3x3 - 2x + 5x = 19 3x, + 3x2 - 5x3 = 2 4x4 + 6x2 - 5x3 = 5 + (a) (b) Rewrite the system in matrix form. Find the solution for X2.

Answers

There is no unique solution for x2 in the given system of equations.

the given system of equations can be rewritten in matrix form as follows:

a * x = b

where

a = [[3, -2, 5], [0, 3, -5], [6, 3, -5]],x = [[x1], [x2], [x3]],

b = [[19], [2], [5]].

to find the solution for x2, we need to solve the system of equations using matrix operations.

1. augmented matrix:we create the augmented matrix [a|b]:

[3  -2  5  |  19]

[0   3  -5 |   2][6   3  -5 |   5]

2. row operations:

we perform row operations to simplify the augmented matrix, aiming to obtain an upper triangular form or row echelon form.

r2 = r2 - (2/3)r1r3 = r3 - 2r1

the updated augmented matrix becomes:

[3  -2   5  |  19]

[0   7  -15 | -12][0   7  -15 | -33]

3. continue row operations:

r3 = r3 - r2

the augmented matrix further simplifies:

[3  -2   5  |  19][0   7  -15 | -12]

[0   0    0 | -21]

4. back substitution:we now perform back substitution to find the values of x1, x2, and x3.

from the third row, we have 0*x1 + 0*x2 + 0*x3 = -21, which implies 0 = -21. this indicates that the system is inconsistent and has no solution.

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Which act limits consumers’ liability for fraudulent credit card charges?
Identity Theft and Assumption Deterrence Act
Fair Credit Billing Act
Family Education Rights and Privacy Act
Fair Credit Reporting Act

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The Fair Credit Billing Act (FCBA) limits consumers' liability for fraudulent credit card charges.What is the Fair Credit Billing Act?The Fair Credit Billing Act (FCBA) was enacted in 1974 by the United States Congress as an amendment to the Truth in Lending Act.

The FCBA is a federal law that regulates the procedures credit card companies must use when they bill their customers.The purpose of the FCBA is to establish a framework for the prompt and fair resolution of billing disputes. Under the FCBA, credit card customers have the right to dispute billing errors, including fraudulent charges on their account, and to request an investigation by the credit card issuer.The FCBA allows credit card users to limit their liability for unauthorized charges on their account. Under the act, the maximum amount of liability for unauthorized use of a credit card is $50. However, most credit card companies go beyond this limit and have a zero liability policy, meaning that the cardholder is not responsible for any unauthorized charges on their account.The FCBA also requires credit card companies to provide their customers with a statement of their rights under the act. This statement should include information about how to dispute a billing error, the time frame for disputing an error, and the procedures the credit card company will follow when investigating the dispute.

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Imagine you are the CEO of a small company with about 100 employees. How would you communicate your CSR strategy with your employees and how would you assess if they share in your vision? Then explain how you would communicate your CSR to your external stakeholders and why this would be important?

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To communicate my CSR strategy with employees, I would hold company-wide meetings to discuss our values, goals, and initiatives. To assess their alignment, I would conduct surveys, solicit feedback, and encourage open dialogue to ensure their engagement.

Communicating CSR to external stakeholders is crucial for building trust and reputation. I would leverage various channels such as social media, press releases, and company website to share our CSR initiatives, accomplishments, and impact. Regular reports, partnerships with NGOs, and participation in industry conferences would further showcase our commitment to corporate social responsibility. This transparency would foster positive relationships with stakeholders, attract socially-conscious customers, and enhance the company's reputation in the market.

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Externalities and Public Goods: End of Chapter Problems 10. Garbage dumps are a particularly potent source of global-warming gases, owing to the methane that bubbles up as the garbage decomposes. Why might it make sense for companies in the European Union to help Brazilian garbage dumps reduce their releases of methane—an especially potent global warming gas? It makes sense because it is efficient to reduce emissions where such efforts yield the most "bang for the buck," and methane is a particularly potent global warming gas. climate change is a global phenomenon, and reductions in global warming gases anywhere in the world benefit everyone. developed countries have spent more on environmental controls than developing nations, so reducing pollution is cheaper at the margin in developing countries.

Answers

It makes sense for companies in the European Union to help Brazilian garbage dumps reduce their releases of methane - an especially potent global warming gas.

Garbage dumps are a significant contributor to global-warming gases, thanks to the methane that bubbles up during the decomposition of garbage.

For companies in the European Union to help Brazilian garbage dumps reduce their emissions of methane - an especially potent global-warming gas - it makes sense for the following reasons:

Efficiency: To reduce emissions where such efforts yield the most "bang for the buck" is more effective, and methane is a particularly potent global-warming gas.Global phenomenon: Climate change is a global phenomenon, and therefore, reductions in global warming gases anywhere in the world benefit everyone.Cost-effectiveness: Developed countries have spent more on environmental controls than developing nations, so reducing pollution is cheaper at the margin in developing countries.

Thus, it makes sense for companies in the European Union to help Brazilian garbage dumps reduce their releases of methane - an especially potent global warming gas.

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Theta Corp.'s stock is expected to appreciate 6% per year. If no dividends are paid out over the next 5 year and the current stock price is $28, what's the expected price in 5 years? a $30.63 b. $37.50. c. $39.50 d. $26.25.

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The initial price of Theta Corp.'s stock is $28, and it's expected to appreciate by 6% per year. No dividends are expected to be paid out over the next five years. The expected price of the stock in five years can be determined using the following formula: the correct answer is B.

Expected Price = Current Price x (1 + r)^twhere:r = rate of appreciationt = time period in yearsHere, r = 6% = 0.06 and t = 5 yearsSubstituting the values in the above formula:Expected Price = 28 x (1 + 0.06)^5Expected Price = 28 x 1.3382Expected Price = $37.50

Therefore, the expected price of Theta Corp.'s stock in 5 years is $37.50.

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When manufacturing multiple products that are not initially separately​identifiable,manufacturing costs incurred after the split-off point are known as​________costs.

A.split-off

B.joint

C.separable

D.product

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When manufacturing multiple products that are not initially separately identifiable, manufacturing costs incurred after the split-off point are known as joint costs.

Joint costs refer to the manufacturing costs incurred before the split-off point when producing multiple products that are not initially separately identifiable. These costs are shared among the various products and cannot be directly assigned to any specific product. They are incurred during the common production process before the products diverge into distinct forms.

After the split-off point, when the products become separately identifiable and take on distinct characteristics, any costs incurred are considered post-split-off costs. These costs are specific to each product and can be traced or assigned directly to the respective products. They include additional processing, packaging, marketing, and other costs incurred to prepare the products for sale in their individual forms.

Therefore, the manufacturing costs incurred after the split-off point, which are specific to each product, are referred to as separable or product costs (option C and option D in the given choices). On the other hand, joint costs (option B) are the costs incurred before the split-off point when the products are still undifferentiated and not separately identifiable.

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Investing activities are affected by changes in current liabilities. O changes in long-term assets. O changes in current assets. O changes in equity accounts.

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Investing activities are not affected by changes in current liabilities. Instead, they are affected by changes in long-term assets. Investing activities is a section of the statement of cash flows that shows the cash inflows and outflows from purchasing and selling long-term assets like property, plant, and equipment. What are investing activities?

Investing activities involve the purchase and sale of long-term assets such as property, plant, and equipment. Investing activities also include buying and selling long-term investments, such as stocks and bonds, as well as lending money and collecting on the loans.

Investing activities are part of the statement of cash flows, which is one of the three main financial statements of a company.

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discuss the advantages and disadvantages of measuring social
preferences using the group vs. individual evaluation process.

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The group evaluation process offers advantages such as increased social interaction, diverse perspectives, and consensus building.

However, it can also lead to conformity bias, unequal participation, and the suppression of individual opinions. On the other hand, individual evaluation allows for personal autonomy, unbiased decision-making, and the expression of unique preferences. However, it may lack the benefits of collective intelligence, compromise, and the social context that the group evaluation process provides.

The group evaluation process provides several advantages. Firstly, it promotes social interaction and facilitates the exchange of ideas and perspectives among individuals. This can lead to a richer understanding of social preferences and enhance cooperation within the group. Additionally, the involvement of multiple viewpoints increases the likelihood of considering diverse perspectives, which can lead to more comprehensive and well-rounded decision-making. Furthermore, the group evaluation process can help build consensus and foster a sense of collective responsibility, as individuals work together towards a shared goal.

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Create a presentation, no more than a total of 7 slides to explain the concept of Turnover - the two types: voluntary and involuntary.

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Slide overview of presentation is - Slide 1: Title, Slide 2: Introduction, Slide 3: Voluntary Turnover Slide 4: voluntary Turnover (continued), Slide 5: Involuntary Turnover Slide 6: Involuntary Turnover (continued), Slide 7: Conclusion

Slide 1:

Title: Understanding Turnover

Slide 2:

Introduction:

- Turnover refers to the rate at which employees leave a company and are replaced by new hires.

- It can be categorized into two types: voluntary turnover and involuntary turnover.

Slide 3:

Voluntary Turnover:

- Definition: Voluntary turnover occurs when employees choose to leave the organization willingly.

- Reasons for voluntary turnover:

 - Better job opportunities elsewhere

 - Dissatisfaction with current job or company culture

 - Relocation or personal reasons

Slide 4:

Voluntary Turnover (continued):

- Impact of voluntary turnover:

 - Loss of skilled and experienced employees

 - Disruption in team dynamics and productivity

 - Increased recruitment and training costs

 - Potential negative impact on employee morale

Slide 5:

Involuntary Turnover:

- Definition: Involuntary turnover happens when employees are terminated or laid off by the organization.

- Reasons for involuntary turnover:

 - Poor performance or violation of company policies

 - Downsizing or restructuring

 - Economic factors or business closures

Slide 6:

Involuntary Turnover (continued):

- Impact of involuntary turnover:

 - Loss of institutional knowledge and expertise

 - Potential damage to employer brand and reputation

 - Negative effects on employee morale and job security

 - Legal implications if not handled properly

Slide 7:

Conclusion:

- Understanding the different types of turnover is crucial for organizations to develop effective strategies for retention and talent management.

- By addressing the causes and consequences of voluntary and involuntary turnover, companies can strive to create a positive work environment, reduce turnover rates, and maintain a stable and engaged workforce.

Note: Please note that mentioned presentation outline provides a general structure and content for the slides. You can add specific details, visual elements, and additional slides as per your requirements and preferences.

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courses for the renewal of an active real estate broker or sales agent license are called

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The courses for the renewal of an active real estate broker or sales agent license are called "Continuing Education (CE) Courses."

Continuing Education (CE) courses are designed to provide ongoing professional development and education to individuals holding active real estate licenses. These courses are mandatory for license renewal in many jurisdictions and are meant to ensure that real estate professionals stay up to date with industry regulations, practices, and trends.

CE courses cover a wide range of topics relevant to the real estate profession, including legal updates, ethics, agency relationships, fair housing laws, contract negotiations, financing, and more. The specific requirements for CE courses vary by jurisdiction, including the number of hours and topics required.

Real estate professionals are typically required to complete a certain number of CE hours within a specified period, such as every one or two years, to maintain their active license. By participating in these courses and staying current with industry knowledge, real estate professionals can enhance their skills, maintain their license eligibility, and provide quality services to their clients.

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In the balance of payments, capital and financial account inflows might lead to future current account outflows. Select one: True False

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True, capital and financial account inflows can indeed lead to future current account outflows in the balance of payments.

The balance of payments is a record of all transactions between residents of a country and the rest of the world over a specific period. It consists of two main components: the current account and the capital and financial account.

Current account: The current account records transactions related to the trade of goods and services, income flows (such as wages and dividends), and unilateral transfers (such as foreign aid). A current account surplus indicates that the value of exports and income received from abroad exceeds the value of imports and income paid to foreign entities.

Capital and financial account: The capital and financial account captures transactions related to capital flows, including foreign direct investment, portfolio investment, and borrowing/lending between residents and non-residents. A capital and financial account surplus indicates that there is a net inflow of capital into the country.

Now, the relationship between capital and financial account inflows and future current account outflows can be explained as follows:

Capital and financial account inflows: When there is a net inflow of capital into a country, it can be in the form of foreign investment, portfolio investment, or borrowing. These inflows increase the financial resources available in the country and can lead to various economic activities.

Future current account outflows: The increased availability of financial resources can stimulate domestic consumption and investment. This increased spending can result in higher imports of goods and services, which are recorded as current account outflows. For example, if foreign investment leads to increased domestic investment in machinery and equipment, it may require importing these capital goods from abroad.

Overall impact: While capital and financial account inflows initially contribute to a surplus in the capital and financial account, they can subsequently result in future current account outflows. This can lead to a situation where a current account surplus is gradually reduced or even turns into a deficit over time.

The availability of increased financial resources can stimulate domestic consumption and investment, which may result in higher imports and subsequent current account outflows. Therefore, there can be a connection between the two accounts, where inflows in one account can influence future outflows in the other.

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g the official poverty level is derived by calculating the minimum cash income required to maintain families of different sizes. the dollar amounts change each year to .

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The official poverty level is derived by calculating the minimum cash income required to maintain families of different sizes. the dollar amounts change each year to reflect changes in the cost of living and inflation.

The official poverty level is a measure used by the government to determine the income threshold below which a family or individual is considered to be in poverty. It is updated annually to account for changes in the cost of living and inflation.

By adjusting the dollar amounts each year, the official poverty level aims to provide a more accurate representation of the income needed to meet basic needs and maintain a decent standard of living. This adjustment helps to account for changes in prices for essential goods and services, such as food, housing, healthcare, and transportation.

The annual update of the official poverty level ensures that the measure remains relevant and reflects the economic conditions and cost of living for each year. It allows policymakers, researchers, and social service providers to assess poverty rates and allocate resources effectively to address poverty and provide assistance to those in need.

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Mike Wazovsky runs a business that produces marmalade in small jars. He is proud of his business degree and brags a lot about how great and efficient his business is. Mike points that his biggest achievement is that his business currently has ATC < MC < MR. (a) Does Mike make positive profit? How do you know? (b) Is it possible to improve profit in the short-run in Mike's business? If yes, how? if no, why? (c) If Mike were to maximize proft, what will happen with the output of marmalade in Mike's business in the long-run (assuming anyone can easily make similar and same quality marmalade) relative to the current output?

Answers

To maximize profit, Mike would need to adjust his output to a level where marginal cost (MC) equals marginal revenue (MR) in the long run. This equilibrium output may be lower than the current output, as Mike would aim to balance the costs and revenues to maximize overall profit in a more competitive market environment.

(a) Mike does make positive profit.

Since Mike's business has ATC (Average Total Cost) less than MC (Marginal Cost), it implies that the cost of producing an additional unit of marmalade (MC) is lower than the average cost of producing each unit (ATC). This suggests that each unit contributes more to revenue (MR - Marginal Revenue) than the cost to produce it. Therefore, the difference between total revenue and total cost is positive, indicating that Mike's business is making a profit.

(b) It is possible to improve profit in the short-run in Mike's business.

To improve profit in the short-run, Mike can consider various strategies. One approach is to increase production as long as the marginal revenue (MR) exceeds the marginal cost (MC). By expanding output, Mike can capture additional revenue that surpasses the cost of producing each additional unit, thereby increasing profit. However, it is important for Mike to carefully evaluate market demand and ensure that the increase in production does not result in diminishing returns or a decrease in marginal revenue.

(c) If Mike were to maximize profit, the output of marmalade in his business would decrease in the long run relative to the current output.

Assuming anyone can easily make similar and same quality marmalade, the market would attract more competitors over time. As a result, the market supply of marmalade would increase, leading to greater competition and potentially lower prices.

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year net cash flow
0 -$1,500
1 $X
2 $650
3 $X

Consider the investment project with the net cash flows shown in the table below; what would be the value of X if the project's IRR is known to be 10%?
1) $1,045
2) $580
3) $635
4) $425

Answers

The value of X, if the project's internal rate of return (IRR) is known to be 10%, would be $635. This corresponds to option 3 in the given choices.

The IRR is the discount rate at which the net present value (NPV) of an investment project becomes zero. By using the IRR formula and the given net cash flows, we can calculate the value of X that satisfies this condition.

Explanation:

To find the value of X, we need to calculate the NPV of the project at a 10% discount rate and set it equal to zero. The NPV formula is as follows:

NPV = CF0/(1+r)^0 + CF1/(1+r)^1 + CF2/(1+r)^2 + CF3/(1+r)^3 + ...

Where CF0, CF1, CF2, CF3, ... represent the net cash flows at each respective time period, and r represents the discount rate (IRR in this case).

Using the given cash flows and discount rate, we can set up the equation:

0 = -$1,500/(1+0.10)^0 + $X/(1+0.10)^1 + $650/(1+0.10)^2 + $X/(1+0.10)^3

Simplifying the equation, we get:

0 = -$1,500 + $X/1.1 + $650/1.21 + $X/1.331

Solving this equation, we find that X is approximately $635. Therefore, the correct answer is option 3: $635.

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Secondary succession occurs when a disturbance does not destroy, but still significantly alters all local organisms True O False Question 22 One of the impacts that may be observed in following the introduction of zebra mussels is a higher number of dead birds True False Question 23 When looking at a phylogenetic tree, one would expect to see birds closer to crocodiles than to sharks. True False Question 24 Zebra Mussels are called an invasive species because they invade pipes and other human made structure True False Question 25 Carrying capacity is reached when physical, chemical or biological characteristics limit population growth True False Question 26 The introduction of wolves in Yellowstone Park led to a higher consumption of vegetation by deer and elk True False Question 27 Survivorship curves similar to that of humans, where more deaths are observed at older ages, are seen in most species True False 20 (2 intal

Answers

True. Secondary succession occurs when a disturbance does not destroy, but still significantly alters all local organisms.

It occurs after a disturbance that doesn’t remove all organic matter and soil life from the environment. This can happen after a forest fire, or when farmland is abandoned, for example. Zebra mussels are a small freshwater mussel. False. The impacts that may be observed in following the introduction of zebra mussels include clogging of water intake pipes, boat engine cooling systems, and fouling of boat hulls and anchor chains. These are not related to birds. True. When looking at a phylogenetic tree, one would expect to see birds closer to crocodiles than to sharks. This is because birds and crocodiles are both reptiles, while sharks are not. True. Zebra Mussels are called an invasive species because they invade pipes and other human-made structure. They attach themselves to surfaces like the inside of pipes, boat hulls, and water intake structures. True. Carrying capacity is reached when physical, chemical or biological characteristics limit population growth. This allowed the vegetation in the park to grow more, leading to more diverse plant life. True. Survivorship curves similar to that of humans, where more deaths are observed at older ages, are seen in most species. These types of curves indicate that the species has a long lifespan, and many individuals live until they reach old age.

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Which of the following is an assumption of classical economics?
a. Flexible tax rates
b. Fixed investment levels
c. Flexible prices
d. all of the above
e. none of the above

Answers

flexible investment levels since it defines the bottom up approach of economics

c. Flexible prices

Classical economics is a school of thought that originated in the late 18th century and early 19th century. It is based on the idea that the economy is self-regulating and that government intervention is unnecessary. Classical economists believe that the economy will always reach equilibrium, and that any problems in the economy will eventually be resolved by the market.

Classical economics assumes flexible prices as one of its key assumptions. According to classical economic theory, prices are expected to adjust freely based on changes in supply and demand in order to achieve equilibrium in the market. This assumption implies that prices can rise or fall in response to changes in factors such as production costs, consumer preferences, or market conditions. Flexible prices play a crucial role in ensuring the efficient allocation of resources and the smooth functioning of markets.

Hence, flexible prices are a key assumption of classical economics. Classical economists believe that prices will adjust to changes in supply and demand. For example, if there is an increase in demand for a product, the price of that product will increase. This will encourage producers to produce more of the product, which will eventually bring the price back down.

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View Policies Current Attempt in Progress The following expenditures and receipts are related to land, land improvements, and buildings that were acquired for use in a business enterprise. The receipts are in parentheses 1. Money borrowed to pay a building contractor (signed a notel. ($274,6101 A payment for building construction from note proceeds $274.610 The cost of landfill and clearing $7,930 Delinquent real estate taxes on property, assumed by the purchaser, $6.810 5. A premium on a six-month insurance policy during construction, $5.900 6. Refund of one month's insurance premium because construction was completed early ($930) 7. An architect's fee on a building $21.970 8. The cost of real estate purchased as a plant site (land $199.900, building $49.975), $249,875 9. A fee paid to a real estate agency for finding the property, $8.770 relating to the land purchase (see 8) ENG 2. 3. 4. 11 AM MITTAD apter 10-F21pa Question 7 of 8 < > /10 B. The cost of real estate purchased as a plant site (and $199.900, building $49,975), $249.875 9. A fee paid to a real estate agency for finding the property, $8,770 relating to the land purchase (see 60 10. The installation of fences around a property, $3,780 11 The cost of razing (demolishing) and removing the building on the plant site (see item 8), $10,840 12. Proceeds from the salvage of the demolished building (54,670) 13. Interest paid during construction on money borrowed for construction, $12.970 14. The cost of parking lots and driveways. $18.630 15. The cost of trees that were planted (non-permanent in nature, to be replaced every 20 years), $13.660 Excavation costs new building, $2.810 16. 17. The recoverable GST on the excavation cost. $550 Identify each itern by number and list the items in columnar form, as shown below. Using the column headings that follow, enter the amount under the column heading where it would be recorded. For any amounts that should be entered in the Other Accounts column ENG 17 1 ♥00 TESTAM 2022-06-12 Question 7 of 8 -/10 1 Identify each item by number and list the items in columnar form, as shown below thing the column headings that followed the amount under the column heading where it would be recorded. For any amounts that should be entered in the Other Accounts colan also indicate the account title. (Show the receipts in using either a negative sign preceding the number ea-15,000 or parentheses (15,000). If there is no entry in other accounts, select "No Entry for the account titles) Land Improvements Hem Land Building $ 1. 2 3 0 11 3823-06-12 Question 7 of 8 4. 5 9 6. NE 8. 6 10 11. 12 C -/10 1 1852 AM 9:00 2003-04-12

Answers

Based on the provided information, we can allocate the expenditures and receipts related to land, land improvements, and buildings to their respective categories.

Here is a breakdown of the items:

Land:

Real estate purchased as a plant site: $199,900 (Land)

Fee paid to a real estate agency for finding the property: $8,770 (Land)

Land Improvements:

3. The cost of landfill and clearing: $7,930 (Land Improvements)

Installation of fences around the property: $3,780 (Land Improvements)

The cost of trees that were planted: $13,660 (Land Improvements)

Building:

6. Money borrowed to pay a building contractor: $274,610 (Building)

Payment for building construction from note proceeds: $274,610 (Building)

Architect's fee on a building: $21,970 (Building)

Delinquent real estate taxes on property: $6,810 (Building)

A premium on a six-month insurance policy during construction: $5,900 (Building)

Refund of one month's insurance premium because construction was completed early: ($930) (Building)

The cost of razing and removing the building on the plant site: $10,840 (Building)

Proceeds from the salvage of the demolished building: ($54,670) (Building)

Interest paid during construction on money borrowed for construction: $12,970 (Building)

Other Accounts:

15. The cost of parking lots and driveways: $18,630 (Other Accounts)

Excavation costs for the new building: $2,810 (Other Accounts)

Recoverable GST on the excavation cost: $550 (Other Accounts)

Please note that negative amounts are indicated in parentheses. The expenditures and receipts are allocated to their respective categories for proper accounting treatment.

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The South African reserve Bank announced on several occasions in 2016 that the repo rate will increase. Illustrate and describe the primary and secondary effects of this policy by using both real market and monetary market graphs( Keynesian transmission mechanism).

Answers

The South African Reserve Bank's decision to increase the repo rate in 2016 had both primary and secondary effects on the economy. In the real market, the primary effect of a repo rate hike is a decrease in investment and consumption.

Higher interest rates make borrowing more expensive, discouraging businesses and individuals from taking loans to finance investment and spending. This reduction in investment and consumption leads to a decrease in aggregate demand, resulting in lower output and economic growth.

In the monetary market, the primary effect of an increase in the repo rate is a decrease in money supply. When the central bank raises the repo rate, it becomes more expensive for commercial banks to borrow from the central bank. As a result, banks reduce their borrowing and lending activities, leading to a contraction in the money supply. This decrease in money supply contributes to a decrease in aggregate demand, exacerbating the impact on investment and consumption.

The secondary effects of the repo rate increase can be seen through the Keynesian transmission mechanism. As investment and consumption decrease due to higher interest rates, businesses experience lower profits and reduce their production levels. This leads to a decrease in employment and wages, resulting in a decline in household income and further dampening consumption. The reduction in economic activity also affects government revenues, making it challenging to finance public expenditure, potentially leading to fiscal tightening.

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Write a brief report about the long lived assets of Amazon and discuss the classification of them into tangible and intangible assets in Amazon's annual report in 2018. You can also discuss the similarities and how they can improve further their long lived assets investment strategies as well.

Answers

Amazon's 2018 annual report classified long-lived assets into tangible and intangible categories, providing insights. Improvements can come from technology, innovation, and acquisitions.

In Amazon's 2018 annual report, the company discloses its long-lived assets, which include both tangible and intangible assets. Tangible assets typically include property, equipment, and other physical assets, while intangible assets include intellectual property, patents, trademarks, and goodwill. Amazon's tangible assets may consist of warehouses, distribution centers, data centers, and other physical infrastructure used to support its operations. These assets play a crucial role in the company's logistics and fulfillment network. On the other hand, Amazon's intangible assets are valuable in terms of brand recognition, customer loyalty, proprietary technology, and innovative services. Intangible assets, such as the Amazon brand, customer data, and software platforms, contribute significantly to the company's competitive advantage and long-term growth. To improve its long-lived asset investment strategies, Amazon can focus on leveraging technological advancements to enhance its infrastructure and logistics capabilities. Continued innovation in areas such as artificial intelligence, machine learning, and robotics can further optimize their operations and efficiency. Additionally, strategic acquisitions and partnerships can provide access to new markets, expand their product offerings, and strengthen their intellectual property portfolio.

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Carbondale Co. bought a one year $100,000 par value Treasury
Bill for $93,500. If Carbondale holds the bill to maturity, what
will be the one-year rate of return?
a. 6.50%
6.95%
7.45%
Not enough

Answers

the one-year rate of return is 6.95% to the nearest hundredth of a percent.

Carbondale Co. bought a one-year $100,000 par value Treasury Bill for $93,500. The question is: If Carbondale holds the bill to maturity, what will be the one-year rate of return? Given that Carbondale Co. purchased a one-year Treasury bill for $93,500, and the Treasury bill has a par value of $100,000. It follows that the face value of the Treasury bill is $100,000.

The formula for the yield of a Treasury bill is as follows:

Yield = (Face Value - Purchase Price) / Purchase Price x (360 / Days to Maturity)

Substituting the appropriate values into the above formula, we get:

Yield = (100,000 - 93,500) / 93,500 x (360 / 365)

= 0.0695 or 6.95%

Therefore, the one-year rate of return is 6.95% to the nearest hundredth of a percent.

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This question is based on personal experience. please answer according to your opinion. answer 2 parts.

while in an interview: 1. What were the 2 great things happened with you and what were the 2 bad things happened with you.

2. What will be different if you were at the spot of your interviewer. what thing have you done differently. share any personal experience.

Answers

A hypothetical response based on common experiences and perspectives.

Positive experiences in an interview:

One great thing that happened to me in an interview was when the interviewer showed genuine interest in my background and experiences, asking insightful questions that allowed me to showcase my skills and knowledge.

Another positive experience was when the interview process was well-organized and efficient, with clear communication and prompt follow-ups, which demonstrated professionalism and respect for my time.

Negative experiences in an interview:

One bad thing that happened to me in an interview was when the interviewer seemed unprepared or disengaged, asking generic questions without delving deeper into my qualifications or experiences.

Another negative experience was when the interview process lacked transparency and communication, leaving me uncertain about the next steps or the status of my application, leading to frustration and a negative impression of the organization.

If I were at the spot of the interviewer, I would strive to create a positive and engaging experience for the candidate. I would ensure that I am well-prepared, familiar with the candidate's background, and ask relevant and thought-provoking questions to truly assess their suitability for the role. I would also provide clear and timely communication throughout the process to keep the candidate informed and address any concerns or questions they may have. Additionally, I would create a welcoming and comfortable environment, making the candidate feel valued and appreciated, which can contribute to a positive overall experience.

Please note that the response provided is based on a hypothetical scenario and not on personal experiences or opinions.

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Employment and inflation in the long run Briefly describe or define the following concepts: 7.1. Skill-biased technical change 7.2. Natural rate of unemployment (linked to solution of bathtub model) 7.3. Expanded definition rate of unemployment 7.4. Structural unemployment 7.5. Creative destruction 7.6. Real interest rates 7.7. Quantity theory of money 7.8. Classical dichotomy 7.9.Central bank independence 7.10. Fiat money

Answers

These concepts encompass the impact of technology on labor markets, different measures of unemployment, the dynamics of economic change, the relationship between interest rates and inflation, monetary theory, and the role of central banks in monetary policy.

7.1 Skill-biased technical change refers to technological advancements that primarily benefit individuals with higher skills and education, leading to increased demand for skilled labour and potentially widening income inequality.

7.2 The natural rate of unemployment is the rate of unemployment that exists when the labour market is in equilibrium, with no cyclical fluctuations. It is often linked to the solution of the "bathtub model" in macroeconomics, which represents the inflow (job creation) and outflow (job destruction) of employment in an economy.

7.3 The expanded definition rate of unemployment includes both the officially unemployed individuals actively seeking work and those who are discouraged or underemployed, providing a broader measure of joblessness within an economy.

7.4 Structural unemployment refers to a type of unemployment caused by long-term shifts in the structure of an economy, such as changes in technology or industries, that lead to a mismatch between the skills possessed by workers and the skills demanded by employers.

7.5 Creative destruction is an economic concept coined by economist Joseph Schumpeter. It refers to the process where innovation and technological progress lead to the replacement of outdated industries, products, or business models by new ones, driving economic growth but also causing disruptions and displacements for certain sectors and workers.

7.6 Real interest rates are the nominal interest rates adjusted for inflation. They represent the return on investment or the cost of borrowing adjusted for changes in purchasing power over time.

7.7 The quantity theory of money is an economic theory that posits a direct relationship between the supply of money in an economy and the level of prices. It suggests that changes in the money supply will lead to proportional changes in the price level in the long run.

7.8 The classical dichotomy is a concept in classical economics that asserts a theoretical separation between the real economy (output, employment, and production) and the nominal economy (prices and money). It suggests that changes in the money supply only impact nominal variables but do not have real effects on output and employment in the long run.

7.9 Central bank independence refers to the institutional autonomy of a central bank from political influence. It allows central banks to make monetary policy decisions based on economic considerations, free from short-term political pressures, with the aim of promoting price stability and sustainable economic growth.

7.10 Fiat money is a type of currency that has no intrinsic value and is not backed by a physical commodity such as gold. It derives its value from government regulation or law, as it is accepted as a medium of exchange within an economy based on the trust and confidence of the people using it.

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These concepts encompass the impact of technology on labor markets, different measures of unemployment, the dynamics of economic change, the relationship between interest rates and inflation, monetary theory, and the role of central banks in monetary policy.

7.1 Skill-biased technical change refers to technological advancements that primarily benefit individuals with higher skills and education, leading to increased demand for skilled labour and potentially widening income inequality.

7.2 The natural rate of unemployment is the rate of unemployment that exists when the labour market is in equilibrium, with no cyclical fluctuations. It is often linked to the solution of the "bathtub model" in macroeconomics, which represents the inflow (job creation) and outflow (job destruction) of employment in an economy.

7.3 The expanded definition rate of unemployment includes both the officially unemployed individuals actively seeking work and those who are discouraged or underemployed, providing a broader measure of joblessness within an economy.

7.4 Structural unemployment refers to a type of unemployment caused by long-term shifts in the structure of an economy, such as changes in technology or industries, that lead to a mismatch between the skills possessed by workers and the skills demanded by employers.

7.5 Creative destruction is an economic concept coined by economist Joseph Schumpeter. It refers to the process where innovation and technological progress lead to the replacement of outdated industries, products, or business models by new ones, driving economic growth but also causing disruptions and displacements for certain sectors and workers.

7.6 Real interest rates are the nominal interest rates adjusted for inflation. They represent the return on investment or the cost of borrowing adjusted for changes in purchasing power over time.

7.7 The quantity theory of money is an economic theory that posits a direct relationship between the supply of money in an economy and the level of prices. It suggests that changes in the money supply will lead to proportional changes in the price level in the long run.

7.8 The classical dichotomy is a concept in classical economics that asserts a theoretical separation between the real economy (output, employment, and production) and the nominal economy (prices and money). It suggests that changes in the money supply only impact nominal variables but do not have real effects on output and employment in the long run.

7.9 Central bank independence refers to the institutional autonomy of a central bank from political influence. It allows central banks to make monetary policy decisions based on economic considerations, free from short-term political pressures, with the aim of promoting price stability and sustainable economic growth.

7.10 Fiat money is a type of currency that has no intrinsic value and is not backed by a physical commodity such as gold. It derives its value from government regulation or law, as it is accepted as a medium of exchange within an economy based on the trust and confidence of the people using it.

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Is humor, the approach taken by the cable companies mentioned in the article a good approach to improving customer satisfaction

Answers

Answer:

Humor can be a good approach to improving customer satisfaction if used appropriately.

Explanation:

It can help create a positive emotional connection, engage customers, and diffuse tense situations. However, its effectiveness depends on factors such as the target audience's preferences, cultural sensitivities, and the context of the interaction. Companies should ensure that the humor aligns with their brand identity and values, avoiding inappropriate or offensive content.

While humor can enhance customer satisfaction by fostering a memorable and enjoyable experience, it should be used with caution and authenticity to avoid trivializing or undermining customer concerns.

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10. What was stagflation, and when did it oc- cur? How did it change economists' views about macroeconomics?

Answers

Stagflation is a phenomenon in which inflation and economic growth slow down simultaneously. It means that the prices of goods and services rise while economic growth decreases.

It is a rare event because inflation often goes up when the economy is growing, but stagflation is a unique circumstance where both events occur simultaneously. The stagflation occurred in the late 1960s and 1970s when the United States experienced high inflation and high unemployment rates. This situation resulted from a decrease in the aggregate supply of goods and services and an increase in aggregate demand.

The increasing prices of goods and services reduced the buying power of consumers, leading to lower demand and production, and as a result, there was a high unemployment rate in the economy. This phenomenon challenged the views of economists about macroeconomics .The prevailing economic theory at the time was that there was a trade-off between inflation and unemployment rates. stagflation was a unique phenomenon that challenged economists' views on macroeconomics.

The traditional Keynesian policy was insufficient to address stagflation, and there was a need for supply-side policies that focused on increasing productivity to reduce unemployment and curb inflation. The experience of stagflation influenced the development of new economic theories, and it remains an essential part of macroeconomic studies.


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the product sells for $30, and each unit has a constant marginal cost of $24. assume that the (fixed) cost of entering the market (regardless of which market you select) is $750,000.

Answers

The product is priced at $30 per unit, with a constant marginal cost of $24. Additionally, the cost of entering the market, irrespective of the chosen market, is $750,000.

The pricing structure of the product indicates that it is sold for $30 per unit, while the marginal cost of producing each unit remains constant at $24. This means that for each unit sold, the company earns a profit of $6 ($30 - $24). It is important to note that the marginal cost represents the additional cost incurred for producing one more unit. In this case, the marginal cost remains the same regardless of the number of units produced.

Apart from the unit costs, the fixed cost of entering the market is a significant consideration. Regardless of the market chosen, the cost of entering is a fixed amount of $750,000. This fixed cost includes expenses such as market research, initial setup, marketing, and other overhead costs associated with establishing a presence in the market.

Considering the pricing, marginal cost, and fixed cost, the company needs to evaluate the potential demand and sales volume in order to determine the profitability of entering the market. The difference between the selling price and the marginal cost per unit will contribute to covering the fixed cost and generating profits. It is crucial for the company to carefully analyze market conditions, competition, and consumer demand to make informed decisions regarding the viability and potential success of entering the chosen market.

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Income transferred to a child is not taxable"". Discuss both for and against this statement.

Answers

The income transferred to the child is a gift, and it can still be taxable as a gift tax to the donor or gift-giver. There is no such tax-free gift rule. If you give cash to your child, that gift can be taxable, depending on the size of the gift. Some income that parents transfer to their children is not taxable.For instance, if you transfer money to your child through your estate plan, that transfer may not be taxable if it meets certain conditions.

Income transferred to a child is not taxable is not true. Even if you give your child a sum of money, that money can still be considered taxable to you as the donor or gift-giver.

However, there are ways to gift money or assets to your child without triggering a gift tax.

The reasons against this statement are as follows:

The income transferred to the child is a gift, and it can still be taxable as a gift tax to the donor or gift-giver. There is no such tax-free gift rule. If you give cash to your child, that gift can be taxable, depending on the size of the gift.

However, there are several ways to reduce your gift tax liability by gifting money to your child. For instance, you can set up a trust account to transfer assets to your child without paying taxes on the assets.

Additionally, you can contribute to your child's 529 savings plan, which can also help reduce your gift tax liability.

The reasons for this statement are as follows:Some income that parents transfer to their children is not taxable.

For instance, if you transfer money to your child through your estate plan, that transfer may not be taxable if it meets certain conditions.

If you transfer money to your child's 529 savings plan, that transfer may not be taxable. There are many tax advantages for parents who transfer money to their children.

For example, you can transfer assets to your child through a trust account, which can help reduce your estate taxes.

Additionally, you can transfer assets to your child through a family limited partnership, which can also help reduce your estate taxes.

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Consider a bond issued by MGM Inc. exactly two years ago. At that time the bond’s time to maturity was 30 years. The bond pays semiannual coupons with the coupon rate of 6% per year. The face value of the bond is $1000. What is the bond’s price today, if today’s market interest rate for bonds of comparable maturity and default risk is 8% per year? (5pts) You would like to speculate and believe that tomorrow the market interest rate for comparable bonds would decrease to 5%, would you buy or sell short this bond today? (3pts) Suppose that exactly two years from today the price of the bond will be $900, what is the annual YTM at that time? (6pts)

Answers

For calculating bond's price, we have to calculate bond's present value by discounting its future cash flows with the help of current market interest rate or yield rate. The formula for present value of a bond is given by; B = ∑ t = 1 n C t ( 1 + r 2 ) t + F V ( 1 + r 2 ) n B = \frac{∑_{t=1}^n C _ t(1+r_2)^t+ FV}{(1+r_2)^n}

Where, Ct = coupon payment at time t FV = future value or par value of bond n = number of period sr = yield rate or interest rate per period If the yield rate is 8%, then the semiannual yield rate (r2) would be r2 = 8% / 2 = 4%.Thus, the bond's price today can be calculated as follows: B = (30 × 2 × 6%) / 2 + 1000 / (1 + 4%)^60B = $787.36Therefore, the bond’s price today is $787.36.

Now, for the third question, The bond's price after two years is given as $900. Let's assume that the bond will have only 28 years remaining to its maturity after 2 years since it had 30 years remaining to maturity at the time of issuance. Thus, we can use the bond's present value formula again to calculate the yield rate or yield to maturity (YTM) of the bond. Bond's price = $900Coupon payment = $60 (because it pays semiannual coupons of 6% on face value of $1000)Face value of bond (FV) = $1000Number of periods (n) = 28 x 2 = 56YTM = 6.09% per year (approx)

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Curly Farms manufactures the bags of frozen french fries used at many restaurants. Last week, Curly Farms purchased (transferred in from its potato farms) and used 95,000 kg of potatoes at a price of $0.85 per kilogram. During the week, 2,300 direct labour hours were incurred in the plant at a rate of $12.55 per hour. The standard price per kilogram of potatoes is $1.00, and the standard direct labour rate is $12.40 per hour. Standards indicate that for the number of bags of frozen fries produced, the factory should have used 92,000 kg of potatoes and 2,000 hours of direct labour. Requirements 1. Determine the direct materials price and efficiency variances. Be sure to label each variance as favourable or unfavourable. 2. Think of a plausible explanation for the variances found in Requirement 1. 3. Determine the direct labour price and efficiency variances. Be sure to label each variance as favourable or unfavourable. 4. Could the explanation for the labour variances be tied to the material variances? Explain. Requirement 1. Determine the direct materials price and efficiency variances. Be sure to label each variance as favourable or unfavourable. (Enter the results as positive numbers.) Direct Materials Price Variance Direct Materials Efficiency Variance

Answers

Curly Farms is a manufacturer of bags of frozen French fries that are commonly used in restaurants. The following information is provided: During the previous week, 95,000 kg of potatoes were bought and used by Curly Farms at a cost of $0.85 per kg, which had been moved in from its potato farms.

At a price of $12.55 per hour, 2,300 direct labor hours were consumed at the factory. The standard price per kg of potatoes is $1.00, and the standard direct labor rate is $12.40 per hour. According to estimates, the factory should have utilized 92,000 kg of potatoes and 2,000 hours of direct labor for the number of bags of frozen fries created.Direct Materials Price Variance = (Standard Price - Actual Price) x Actual QuantityDirect Materials Price Variance = ($1.00 - $0.85) x 95,000 kg = $14,250 F (Favourable)The direct materials price variance is favourable, indicating that the company paid less for each kilogram of potatoes than the standard price.Direct Materials Efficiency Variance = (Standard Quantity - Actual Quantity) x Standard PriceDirect Materials Efficiency Variance = (92,000 kg - 95,000 kg) x $1.00 = $3,000 U (Unfavourable)

The direct materials efficiency variance is unfavourable, indicating that more than the standard quantity of potatoes has been utilized.During the week, the factory should have utilized 92,000 kg of potatoes and 2,000 direct labor hours. In reality, 95,000 kg of potatoes and 2,300 direct labor hours were utilized. A favourable price variance occurred because the price paid for potatoes was less than the standard price. However, an unfavourable efficiency variance occurred because more than the standard amount of potatoes was used. Plausible for the variances are that the potatoes used were of a different quality than anticipated or that the processing machinery was not being utilized to its full capacity.

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What are some consumer-oriented pricing tactics? explain one of them with example.

Answers

Consumer-oriented pricing tactics refer to the pricing strategies designed to attract and retain the customers by targeting their needs, preferences, and behaviors

The following are some of the consumer-oriented pricing tactics:Penetration Pricing:It is a pricing strategy that involves setting the initial price low for a new product or service to penetrate the market and to attract a large number of customers. The main objective of this strategy is to establish a brand and gain a larger market share.The example of this strategy is McDonald's. McDonald's introduced its product line in India at a very low price compared to its other international outlets to target price-sensitive consumers. McDonald's was able to establish its brand and gain a significant market share in India using this strategy.Discount Pricing:Discount pricing is a strategy in which products are sold at a lower price to attract price-sensitive customers. Discounts can be in the form of sales promotion, coupons, cashback, or loyalty programs.The example of this strategy is Amazon. Amazon uses a discount pricing strategy to attract customers by offering discounts in the form of coupons, cashbacks, and loyalty programs. This strategy has helped Amazon to gain a significant market share in the e-commerce industry.Penetration pricing and discount pricing are some of the most commonly used consumer-oriented pricing tactics.

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