Think of at least 3 examples from economics where theory suggests that the variables involved are cointegrated. For one of these cases, explain how you would test for cointegration between the variables involved.

Answers

Answer 1

1. Consumer Price Index (CPI) and Inflation: Theory suggests that CPI and inflation are cointegrated, meaning that CPI will eventually move in the same direction as inflation.

To test for cointegration between the two, you can use a Vector Error Correction Model (VECM). This model uses a linear combination of the two variables to detect if the error terms in the model are stationary over time. If the error terms are stationary, then this suggests that CPI and inflation are cointegrated.

2. Interest Rates and Stock Prices: Theory suggests that interest rates and stock prices are cointegrated, meaning that if one moves in one direction, the other will eventually follow.

To test for cointegration between the two, you can use a Vector Autoregression (VAR) model. This model uses a linear combination of the two variables to detect if the error terms in the model are stationary over time. If the error terms are stationary, then this suggests that interest rates and stock prices are cointegrated.

3. Exchange Rates and Trade Balance: Theory suggests that exchange rates and trade balance are cointegrated, meaning that if one moves in one direction, the other will eventually follow.

To test for cointegration between the two, you can use a Vector Autoregression (VAR) model. This model uses a linear combination of the two variables to detect if the error terms in the model are stationary over time. If the error terms are stationary, then this suggests that exchange rates and trade balance are cointegrated.

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Related Questions

1.When considering the agile project management process, at the end of each iterationSingle choice.

(1 Point)

Team members are released to work on other projects

The Scrum master assigns daily tasks to team members

Product owner determines whether or not the project is complete

Stakeholders and customers review progress and re-evaluate priorities

Answers

In the Agile project management process, at the end of each iteration, stakeholders and customers review progress and re-evaluate priorities. The correct option is stakeholders and customers review progress and re-evaluate priorities.

Agile emphasizes flexibility, collaboration, and adaptability, allowing the project team to respond effectively to changing requirements and customer feedback. Each iteration, also known as a sprint, is a time-boxed period during which specific tasks are completed based on the prioritized product backlog.

The product owner plays a crucial role in managing the product backlog and ensuring that the team is working on the most valuable tasks. After each sprint, the product owner, along with stakeholders and customers, reviews the progress made, assesses the current state of the project, and re-evaluates priorities based on any new information or feedback. This process enables the team to continuously improve the product and align their efforts with the stakeholders' and customers' needs.

It is important to note that the Scrum master does not assign daily tasks to team members, but rather facilitates the Scrum process and removes any obstacles the team may face. Additionally, team members are not released to work on other projects at the end of each iteration, as they continue to work on the same project throughout its duration, iterating and refining the product as needed. The correct option is stakeholders and customers review progress and re-evaluate priorities.

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consumer surplus in monopoly is smaller than it is in the same industry operating under perfect competition.falsetrue

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Consumer surplus in monopoly is smaller than it is in the same industry operating under perfect competition when there is just one seller in the market, a situation known as a monopoly takes place. This statement is True.

In traditional economic theory, the monopolistic situation is seen as the complete antithesis of perfect competition. A monopolist produces fewer units and sets prices higher than a market structure that is competitive.

The rising monopoly price causes the area of consumer surplus to contract. A share of the initial consumer surplus will be transferred to the producer in a competitive environment. The deadweight loss includes the balance. When monopoly and fully competitive conditions are compared, it is evident that the monopolist would set a higher price, produce less, and earn profits above average (also known as monopoly rents). As a result, consumer prices will rise, which will lead to a decrease in welfare value.

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What is the transformation of problem as it relates to Marx, andhow did Marx attempt to deal with it?

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Marx believed that the transformation of problem was the shift from the traditional agrarian economy to a capitalist economy.

He believed that this shift created class struggles and exploitation of the working class. Marx attempted to deal with this by advocating for a revolution of the working class to overthrow the bourgeoisie and establish a socialist society where the means of production are collectively owned.

He believed this would eliminate the exploitation of the working class and create a more equal society. Marx's ideas have had a significant impact on social and economic theory and have influenced many political movements.

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Given the following information, prepare the mps using a fixed order quantity (foq) of 90 and calculate the projected available inventory balances. What is the projected available inventory balance at the end of period 3?

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The projected available inventory balance at the end of period 3 is 120 units.

To prepare the MPS (Master Production Schedule) using a fixed order quantity (FOQ) of 90, we need to first determine the net requirements and planned order releases for each period. The net requirements are the difference between the gross requirements and the projected available inventory balance from the previous period.

Assuming the following information: Period 1: Gross requirements = 150. Period 2: Gross requirements = 200. Period 3: Gross requirements = 100. Projected available inventory balance at the end of period 0 = 100

Using FOQ of 90, we can calculate the planned order releases as follows: Period 1: Planned order release = 180 (90*2) Projected available inventory balance at the end of period 1 = 130 (100+180-150)

Period 2: Planned order release = 210 (90*2+30)

Projected available inventory balance at the end of period 2 = 120 (130+210-200). Period 3: Planned order release = 90 (90*1). Projected available inventory balance at the end of period 3 = 120 (120+90-100)

There will be enough inventory to meet the demand for period 3, and the company can plan to order more inventory for the next period. Using FOQ helps to ensure that the company maintains a consistent inventory level and avoids stockouts or overstocking.

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if the relationship that is specified by interest rate parity does not exist at any period but does exist on average, then covered interest arbitrage should not be considered by u.s. firms. do you agree or disagree with this statement? explain. agree. if interest rate parity does exist on average, it proves that covered interest arbitrage is eliminated. agree. if at any point in time, interest rate parity does not exist, transactions costs and tax differences completely offset the excess returns. disagree. if at any point in time, interest rate parity does not exist, covered interest arbitrage could earn excess returns.

Answers

Disagree. Covered interest arbitrage may generate surplus profits if interest rate parity does not exist at any moment in time (unless the extra returns are compensated by transaction costs, tax disparities, etc.).

The cost of borrowing money is stated as an interest rate, which is often expressed as a percentage of the borrowed amount. It is the fee a lender assesses to a borrower for using money over a predetermined time frame. Depending on the type of loan or investment, interest rates may be fixed or variable.

(A) The CD's anticipated actual interest rate is 2%. (3% - 1% = 2%)

(B) The cost of government bonds will go up if nominal interest rates go down.

(C) Because they both refer to the quantity of money that is easily available in an economy, the aggregate measurements of the money supply and liquidity are closely connected. The entire amount of money in circulation is measured by the money supply.

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use the following information to answer the next two questions on service department cost allocations dept cost supervision maintenance machining assembly supervision $200,000 0.2 0.6 0.2 maintenance 400,000 0.4 0.45 0.15 machining 200,000 assembly 300,000 16. under the direct method, what will be the total service costs allocated to the machining dept? a. 450,000 b. 300,000 c. 164,289 d. 362,456 17. under the direct method, what will be the total service costs allocated to the assembly dept? a. 100,000 b. 150,000 c. 364,289 d. 262,456

Answers

The total service costs allocated to the Machining department using the direct method is $300,000. The total service costs allocated to the Assembly department using the direct method is $150,000. The correct answer is B) in both cases.

Under the direct method, service department costs are allocated to the production departments based on the actual amount of service used by each department. Using this method, we can allocate the costs as follows

The total service costs allocated to the Machining department will be

$200,000 × 0.2 = $40,000 (from Supervision)

$400,000 × 0.15 = $60,000 (from Maintenance)

$200,000 × 1.0 = $200,000 (from Machining)

Total service costs allocated to Machining department = $40,000 + $60,000 + $200,000 = $300,000

Therefore, the answer is (b) $300,000.

The total service costs allocated to the Assembly department will be

$300,000 × 0.2 = $60,000 (from Supervision)

$400,000 × 0.15 = $60,000 (from Maintenance)

$300,000 × 0.6 = $180,000 (from Assembly)

Total service costs allocated to Assembly department = $60,000 + $60,000 + $180,000 = $300,000

Therefore, the answer is (b) $150,000.

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for some tasks, a sigmoid learning curve is used to model proficiency. suppose the percent proficiency is given by the model , where t is days of practice. find the inflection point, the point where additional practice starts producing diminishing returns. give your answer accurate to at least 2 decimal places.

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The inflection point of the learning curve occurs at approximately 5.8 days of practice. This is the point where additional practice starts producing diminishing returns, as the rate of improvement slows down significantly after this point.

To find the inflection point of the sigmoid learning curve, we need to find the value of t at which the second derivative of P(t) with respect to t equals zero.

First, let's find the first derivative of P(t):

[tex]P'(t) = -1200e^0.3t/(1+40e^0.3t)^2[/tex]

Next, we'll find the second derivative:

[tex]P''(t) = 36000e^0.3t(2+40e^0.3t)/(1+40e^0.3t)^3[/tex]

Now, we'll set the second derivative equal to zero and solve for t:

[tex]P''(t) = 0 = 36000e^0.3t(2+40e^0.3t)/(1+40e^0.3t)^3[/tex]

[tex]0 = 2+40e^0.3t\\-2 = 40e^0.3t\\-0.05 = e^0.3t[/tex]

t = ln(0.05)/0.3 ≈ 5.8 days

It's worth noting that the sigmoid learning curve is often used to model proficiency in various skills, such as language learning, musical instrument playing, and athletic performance. Understanding the inflection point can help learners and teachers optimize their training strategies and set realistic goals for proficiency.

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Note- Complete Question

For some tasks, a sigmoid learning curve is used to model proficiency. Suppose the percent proficiency is given by the model P(t)=100/1+40e^0.3t, where t is days of practice. Find the inflection point, the point where additional practice starts producing diminishing returns. Give your answer accurate to at least 2 decimal places. Comment

Using information from knowing why outsourcing is the best, why does it appear that Apple outsources to China?

Answers

Apple outsources to China because it offers lower manufacturing costs and access to a large pool of skilled labor. China has a strong manufacturing infrastructure, with many factories and suppliers that can produce high-quality components at a lower cost than in many other countries. Additionally, China has a large and highly skilled workforce, which is capable of producing large volumes of products with high levels of precision and quality. By outsourcing to China, Apple is able to take advantage of these benefits, while also benefiting from the country's strong intellectual property protection laws, which help to safeguard Apple's proprietary technology and designs. Overall, outsourcing to China allows Apple to reduce manufacturing costs, increase production efficiency, and maintain high levels of quality, which can help to improve its competitiveness in the global market.

after listening to the episode, why were the partnerships and related party transactions such a conflict of interest?

Answers

The partnerships and related party transactions were a conflict of interest because they created potential incentives for employees to prioritize their personal financial gain over the best interests of the company and its investors.

Partnerships and related party transactions can create conflicts of interest when employees have personal financial stakes in the entities they are dealing with, potentially leading them to prioritize their own interests over those of the company and its investors. This can result in decisions that may not be in the best interests of the company, such as entering into deals that benefit the employee personally but not the company or its investors.

Additionally, these types of transactions can be opaque and difficult to evaluate, creating risks of fraud or other unethical behavior. In the case discussed in the episode, partnerships with suppliers and related party transactions were major factors in the downfall of the company.

The answer is general as no additional information is given.

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What is the term used for when one company enters markets before its competitors?
O Early entry
O late O Last Entry
O First mover

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The term used for when one company enters markets before its competitors is "First Mover". This refers to a company that is the first to introduce a product or service in a particular market.

The first mover has the advantage of establishing a brand identity and customer loyalty before its competitors even enter the market. This can lead to a dominant market position and higher profits in the long run. However, being a first mover can also be risky as there is no guarantee of success and competitors may be able to learn from the first mover's mistakes and improve upon their offering. Ultimately, the decision to be a first mover or not depends on various factors such as the industry, product, competition, and resources available. Despite these risks, many companies aim to be first movers in order to capitalize on the benefits associated with early market entry.

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Based on the expectations theory if market participants expect that future short-term rates will be higher than current short-term rates, the yield curve will:_________

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Based on the expectations theory, if market participants expect that future short-term rates will be higher than current short-term rates, the yield curve will steepen.

=The expectations theory suggests that long-term interest rates are determined by the average of expected future short-term interest rates. If market participants expect future short-term rates to be higher than current short-term rates, they will require higher yields on long-term bonds.

This increased demand for higher yields on long-term bonds will cause the yield curve to steepen, meaning the difference between short-term and long-term interest rates will widen.

A steeper yield curve indicates that investors expect higher inflation or stronger economic growth in the future, which will generally lead to higher interest rates.

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zeilinger products, incorporated, has a screen division that manufactures and sells a number of products, including a standard screen that could be used by another division in the company, the home security division, in one of its products. data concerning that screen appear below: capacity in units 40,000 selling price to outside customers $ 65 variable cost per unit $ 28 fixed cost per unit (based on capacity) $ 26 the home security division is currently purchasing 8,000 of these screens per year from an overseas supplier at a cost of $58 per screen. assume that the screen division is selling all of the screens it can produce to outside customers. from the standpoint of the screen division, what is the lost contribution margin if the screens are transferred internally rather than sold to outside customers? multiple choice $88,000 $392,000 $1,480,000 $296,000

Answers

If the screens are transferred inside rather than sold to outside clients, the contribution margin is lost. $296,000 Option (D)

The lost contribution margin if the screens are transferred internally rather than sold to outside customers can be calculated as follows:

Contribution margin per unit = Selling price - Variable cost - Fixed cost

= $65 - $28 - $26

= $11

Contribution margin for 8,000 units sold externally = 8,000 x $11

= $88,000

Contribution margin for 8,000 units sold internally = 8,000 x ($65 - $28)

= $296,000

As a result, the contribution margin is lost if the screens are relocated inside rather than sold to external consumers. is $296,000

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True or False: Recruitment does not need to be concerned with equal employment opportunity.

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The given statement: Recruitment does not need to be concerned with equal employment opportunity is FALSE.

Recruitment is one of the most critical HR functions, and it plays a vital role in ensuring that an organization has the right people in the right positions. One of the critical aspects of recruitment is ensuring that the organization is following equal employment opportunity (EEO) laws and regulations.

These laws prohibit employers from discriminating against candidates on the basis of race, gender, age, religion, disability, or other protected characteristics. EEO is not just a legal requirement but also a crucial ethical and social responsibility for an organization. Failing to comply with EEO laws can result in legal action, reputational damage, and loss of potential candidates.

Therefore, it is essential for organizations to implement recruitment processes that are fair, unbiased, and inclusive to attract and retain a diverse workforce that reflects the communities they serve.

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Supervoting shares of common stock provide shareholders with more votes per share compared with ordinary shares of common stock.a. trueb. false

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The main answer is "true". Supervoting shares of common stock typically grant shareholders more voting power per share than ordinary shares of common stock, which means they can have a greater influence on corporate decisions.

Supervoting shares of common stock are a type of stock that provides shareholders with more votes per share compared to ordinary shares of common stock. This means that holders of supervoting shares have a greater influence over the company's decisions and management compared to those holding regular shares.

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Firm A has a higher marginal cost than firm B. They compete in a homogeneous product Cournot duopoly. Which of the following results will NOT occur? Revenue of firm A< Revenue of firm B PriceA < Prices ะะด < Qะฒ ProfitA < Profit

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In a Cournot duopoly with homogeneous products and a higher marginal cost the result that will NOT occur in this scenario is PriceA < PriceB.

In a Cournot duopoly with homogeneous products, both firms produce the same product, and they compete by setting quantities. Since Firm A has a higher marginal cost, it will produce less quantity than Firm B (Q_A < Q_B). This is because Firm A's cost of production increases faster than Firm B's as the quantity increases.

Now, in a homogeneous product market, the price is determined by the market demand and the combined quantity produced by both firms. So, PriceA and PriceB will be the same, meaning that PriceA < PriceB will NOT occur.

As for revenues and profits, RevenueA = PriceA * Q_A, and RevenueB = PriceB * Q_B. Since PriceA = PriceB, RevenueA < RevenueB will occur because Q_A < Q_B. Lastly, ProfitA = RevenueA - Total CostA, and ProfitB = RevenueB - Total CostB. Since RevenueA < RevenueB and Total CostA > Total CostB (due to higher marginal cost), ProfitA < ProfitB will occur.

To summarize, the result that will NOT occur in this scenario is PriceA < PriceB.

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the third national bank has reserves of $20,000 and checkable deposits of $100,000. the reserve ratio is 20 percent. households deposit $5000 in currency into the bank and that currency is added to reserves. how much excess reserves does the bank now have? show your computation.

Answers

The reserve ratio is 20%, which means the bank must hold 20% of checkable deposits in reserves. Therefore, the third national bank now has $5000 in excess reserves.

Reserves = Reserve ratio x Checkable deposits

Reserves = 0.20 x $100,000

Reserves = $20,000

The bank has $20,000 in reserves. When households deposit $5000 in currency into the bank, this increases the bank's reserves:

New reserves = $20,000 + $5000

New reserves = $25,000

To find the excess reserves, we subtract required reserves (which is 20% of checkable deposits) from the new reserves:

Excess reserves = New reserves - Required reserves

Excess reserves = $25,000 - (0.20 x $100,000)

Excess reserves = $25,000 - $20,000

Excess reserves = $5000

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1. what is your assessment of the design of the questionnaire? does it ask the right questions in view of the market segmentation goal of the study? have any critical questions been missed? could some questions be removed to reduce the length of the questionnaire? are there confusing questions? could you suggest ways to improve the questionnaire?

Answers

When looking at the questionnaire, one of the things to look out for is the quality of the design. Also, it's important to know and understand that the questionnaire needs to carry the right questions.

In order to know if any critical question has been missed, it's very important we look at the goal which the questionnaire seeks to achieve.

What is a questionnaire?

We can define a questionnaire as a research tool which is used by researchers to gather information and data needed to complete a research.

It actually helps to collect data in a very systematic and standardized way.

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Phillip is deciding between consuming Good X and Good Y. At his current level of consumption, his marginal utility per dollar for Good X is less than the marginal utility per dollar for Good Y. To achieve the consumer optimum, Phillip needs to:
a. consume more of Good Y until the marginal utility per dollar for Good X is greater than the marginal utility for Good Y.
b. consume less of Good X or more of Good Y until the marginal utility per dollar for Good X and Good Y is equal.
c. consume more of both Good X and Good Y until the marginal utility per dollar for Good Y is greater than the marginal utility for Good X.
d. consume less of both Good X and Good Y until the marginal utility per dollar for Good Y is greater than the marginal utility for Good X.
e. continue at his current level of consumption.

Answers

The correct answer for Phillip to achieve the consumer optimum is b.consume less of Good X or more of Good Y until the marginal utility per dollar for Good X and Good Y is equal.

This means that Phillip should adjust his consumption of both goods until the extra satisfaction he gets from the last dollar spent on Good X is the same as the extra satisfaction he gets from the last dollar spent on Good Y.

This way, Phillip will maximize his total utility and get the most value for his money.

It's important for consumers to consider the marginal utility per dollar of each good before making a purchase decision to ensure they are making the most efficient use of their resources.

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A conceptual model that helps strategists choose between seeking internal development, entering into an alliance, or acquiring new resources, capabilities, and competencies is called the ______ framework.

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The conceptual model you're referring to is called the make-or-buy framework. The make-or-buy framework helps organizations decide whether to develop a capability internally or acquire it from an external source.

Some important points on this issue are:

The make-or-buy framework involves evaluating the costs, benefits, and risks of each option. Organizations must assess their own strengths and weaknesses and determine if they have the resources and expertise to develop the capability in-house. Alternatively, they may choose to acquire the capability by purchasing another company or forming a strategic alliance with a partner that has the necessary expertise.The make-or-buy framework can help organizations make informed decisions about how to allocate resources and determine the best approach to achieving their strategic objectives. By considering the costs and benefits of each option, organizations can choose the most appropriate strategy to acquire new resources, capabilities, and competencies that will help them achieve a competitive advantage.

Overall, the make-or-buy framework provides a structured approach for decision-making and helps organizations identify the most effective and efficient way to obtain the resources they need to achieve their strategic objectives.

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a company is considering replacing an existing machine with a new machine. based on the information below, should the company keep or replace the existing machine?

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The company should keep the existing machine because the new machine will decrease overall income by $51,301.79, not by $55,000.

To determine whether the company should keep or replace the existing machine, we need to calculate the net present value (NPV) of each option. The NPV takes into account the initial cost of the machine, the expected cash inflows and outflows over its useful life, and the time value of money.

For the existing machine, the initial cost is its book value of $35,000, and the expected cash inflows and outflows are:

Year 1: Variable manufacturing costs of $19,000

Year 2: Variable manufacturing costs of $19,000

Year 3: Salvage value of $40,000

Using a discount rate of, say, 10%, we can calculate the NPV of the existing machine as follows:

NPV = -$35,000 + ($19,000 / 1.1) + ($19,000 / 1.1^2) + ($40,000 / 1.1^3)

NPV = -$2,585.50

For the new machine, the initial cost is its purchase price of $75,000, and the expected cash inflows and outflows are:

Year 1: Variable manufacturing costs of $8,000

Year 2: Variable manufacturing costs of $8,000

Year 3: Variable manufacturing costs of $8,000

Year 4: Variable manufacturing costs of $8,000

Year 5: Salvage value of $0

Using the same discount rate of 10%, we can calculate the NPV of the new machine as follows:

NPV = -$75,000 + ($8,000 / 1.1) + ($8,000 / 1.1^2) + ($8,000 / 1.1^3) + ($8,000 / 1.1^4)

NPV = -$51,301.79

Comparing the two options, we can see that the NPV of the existing machine is higher than that of the new machine. Therefore, the company should keep the existing machine and not replace it with the new machine.

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Your question is incomplete but probably the complete question is :

A company is considering replacing an existing machine with a new machine. Based on the information below, should the company keep or replace the existing machine? Existing Machine New Machine Book value $ 35,000 Purchase price $ 75.000 Variable manufacturing costs per year $ 19,000 Variable manufacturing costs per year $ 8,000 Salvage value Selling price $ 40,000 Remaining useful life 2 years Useful life 5 years $0

Keep the existing machine because the new machine will decrease overall income by $55,000

Keep the existing machine because the new machine will increase overall income by $55,000.

Replace the existing machine because the new machine will decrease overall income by $55,000

Replace the existing machine because the new machine will increase overall income by $55.000,

what is the difference between a symmetric key system and an asymmetric key system?

Answers

The main difference between a symmetric key system and an asymmetric key system lies in the encryption and decryption processes.

Some important points about this are:

Symmetric key system and asymmetric key system are two types of encryption systems used in cryptography.A symmetric key system, also known as a shared secret system, uses a single secret key to encrypt and decrypt data. The same key is used for both encryption and decryption, and it must be kept secret by both the sender and the receiver of the encrypted data. This system is faster and more efficient than an asymmetric key system but requires that both parties have access to the same secret key.An asymmetric key system, also known as a public key system, uses a pair of keys, a public key, and a private key. The public key is shared freely and used to encrypt data, while the private key is kept secret and used to decrypt the data. This system is slower than a symmetric key system but provides greater security because the private key is kept secret and not shared.

Overall, the main difference between symmetric key system and asymmetric key system is that the symmetric key system uses a single secret key for both encryption and decryption, while the asymmetric key system uses a pair of keys, one for encryption and the other for decryption, which are not shared.

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assuming no safety stock, what is the reorder point (r) given an average daily demand of 50 units, a lead time of 10 days, and 625 units on hand? multiple choice 550 500 715 450 475

Answers

Answer:

f

Explanation:

The correct answer is 500 units.The formula for calculating the reorder point (r) is: r = average daily demand x lead time. In this case, r = 50 units/day x 10 days = 500 units.

Since there is no safety stock mentioned, the reorder point would be the same as the minimum inventory level.
Therefore, the answer is: 500 units.To calculate the reorder point (r) for your given situation, you can use the following formula:
Reorder Point (r) = Average Daily Demand × Lead Time
Given the average daily demand of 50 units and a lead time of 10 days:
Reorder Point (r) = 50 units/day × 10 days = 500 units

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an increase in aggregate demand (ad) can cause group of answer choices a recession in the economy. an increase in cyclical unemployment. a cola (cost of living adjustment) an expansion in the economy.

Answers

An increase in aggregate demand (AD) does not typically cause a recession in the economy. In fact, an increase in AD usually leads to an expansion in the economy.

The reason for this is that an increase in AD means that there is more demand for goods and services in the economy. This, in turn, leads to an increase in production and employment, as businesses hire more workers to meet the increased demand.

While it is true that an increase in AD can lead to an increase in the cost of living (COLA) due to higher prices for goods and services, this does not necessarily mean that there will be a recession. In fact, a COLA can be seen as a positive development, as it means that workers' wages are keeping pace with inflation.

The only way that an increase in AD could potentially lead to a recession is if it leads to an increase in cyclical unemployment. Cyclical unemployment occurs when there is a downturn in the economy, and businesses lay off workers due to decreased demand for their products or services. However, even in this scenario, it is not the increase in AD that causes the recession, but rather the downturn in the economy itself.

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the primary factors involved in the marketing mix are sometimes called the 5 intangibles of marketing. group of answer choices true false

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"The primary factors involved in the marketing mix are sometimes called the 5 intangibles of marketing." This is false.

The four Ps of marketing -- product, pricing, place, and promotion -- are the main components of the marketing mix. The 4 Ps are tangible and manageable components that companies employ to create an effective marketing strategy. On the other side, the five intangibles of marketing refer to elements that are less physical and do not fall under the marketing mix.

People, procedures, concrete evidence, placement, and perception are examples of these intangibles. Although these variables are crucial to take into account when marketing, the main components of the marketing mix, which are centered on creating and promoting goods and services, do not include them.

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glad to be here! yes, i have heard of the recommendation to move to an electronic system. i know you and i have serious concerns about this potential change because we do not think the employees will be receptive to moving away from our traditional inventory management system. narrator well, it looks like you're going to have your hands full here. from a company standpoint you, as the ceo, need to move forward and make this change in order to stay ahead of the competition, but there seems to be some resistance. let's utilize lewin's change model to better analyze this situation. based on the model, what would be your first step? refreezing motivating changing or moving unfreezing

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While there may be resistance to change, it's important to consider the potential benefits and drawbacks of a new electronic system for inventory management. Using Lewin's Change Model, the first step would be to unfreeze the current system and create awareness of the need for change. From there, the necessary changes can be made and the system can be refrozen to ensure that the changes are sustained over time.

As the CEO, it's important to consider the potential benefits and drawbacks of this change for the company and its employees. However, in order to stay ahead of the competition and remain efficient, it may be necessary to implement this change.To analyze the situation using Lewin's Change Model, the first step would be unfreezing. This involves recognizing the need for change and communicating this to employees. It's important to create awareness of the benefits of the new system and the potential drawbacks of continuing with the traditional system. This could involve providing training and support for employees to help them adjust to the new system and understand its benefits.

Once the employees have been unfrozen, the next step would be to make the necessary changes to the inventory management system. This could involve updating the technology and processes, as well as providing ongoing support and training to ensure that employees are able to use the new system effectively.Finally, the system should be refrozen to ensure that the changes are sustained over time. This could involve monitoring and evaluating the new system to identify any issues or areas for improvement, as well as providing ongoing training and support to ensure that employees continue to use the system effectively.

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What type of interview asks job candidates to provide an example of a time they did something to try to understand how they would act in the new organization when faced with an analogous situation?

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The type of interview that asks job candidates to provide an example of a time they did something to try to understand how they would act in the new organization

when faced with an analogous situation is called a behavioral interview. In a behavioral interview, the interviewer will ask questions that are designed to elicit specific examples of how the candidate has acted in certain situations in the past. The idea is that past behavior is a good predictor of future behavior, so by asking these types of questions, the interviewer can get a better sense of how the candidate is likely to behave in the future.

During a behavioral interview, the candidate will typically be asked to describe a specific situation or challenge they faced in a previous job, and then explain how they responded to that situation. The interviewer will be looking for specific details about the candidate's actions, as well as their thought process and decision-making skills. By asking these types of questions, the interviewer can get a better sense of whether the candidate has the skills and experience necessary to succeed in the new role.

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which statements made by a client indicate that they may be experiencing closed-angle glaucoma?note: credit will be given only if all correct choices and no incorrect choices are selected. select all that apply.

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Closed-angle glaucoma is a type of glaucoma that occurs when the angle between the iris and the cornea narrows, causing a blockage of the aqueous humor. This leads to increased pressure in the eye, which can cause damage to the optic nerve and eventually lead to vision loss.

The following statements made by a client may indicate that they may be experiencing closed-angle glaucoma:

1. "I have sudden, severe eye pain"
2. "My vision is blurry and I see halos around lights"
3. "I feel like there's something in my eye"
4. "I have nausea and vomiting"
5. "My eye feels red and swollen"
Sudden, severe eye pain is a common symptom of closed-angle glaucoma. Blurred vision, halos around lights, and a feeling of something in the eye can also indicate closed-angle glaucoma. Nausea and vomiting can be symptoms of the increased pressure in the eye caused by closed-angle glaucoma. Redness and swelling in the eye may also be present.
It's important to note that closed-angle glaucoma is a medical emergency and requires immediate attention from an eye doctor. If a client experiences any of these symptoms, they should seek medical attention right away. Early detection and treatment can help prevent vision loss from closed-angle glaucoma.

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NOTE- The question seems to be incomplete, The complete question isn't available on the search engine.

If the p-value associated with a test is 0.001, then:
You reject the null hypothesis of the test at 1% level of significance
You do not reject the null hypothesis of the test at 1% level of significance
You reject the null hypothesis of the test at 10% level of significance
You do not reject the null hypothesis of the test at 10% level of significance
None of the above

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The p-value of 0.001 associated with a test indicates that the null hypothesis of the test can be rejected at a 1% level of significance, but not at a 10% level of significance.

This means that the probability of the null hypothesis being true is less than 1%, and the probability of the alternative hypothesis being true is greater than 99%.

This indicates that the results of the test are statistically significant, and that the null hypothesis can be rejected. Therefore, the p-value of 0.001 implies that you reject the null hypothesis of the test at 1% level of significance, but not at 10% level of significance.

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Explain the changes in economic systems and labor systems from 1450 to 1750. (Unit 4.4)

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Despite the influence of European powers, economic systems like the Indian Ocean Trade Network and the Mit'a System mostly remained unchanged from 1450 to 1750.

However, Europeans also brought new types of labour to the Americas, notably the Hacienda System and chattel slavery.

Existing trade networks in the Indian Ocean continued to thrive and included intra-Asian trade and Asian merchants (such Swahili Arabs and Omanis), despite considerable disruption and reorganisation brought on by the advent of Portuguese, Spanish, and Dutch merchants.

In the Americas, newly established colonial economies relied heavily on agriculture and made use of pre-existing labour arrangements.

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Which could be considered barriers to entry that would prevent potential competitors from entering a monopoly market?

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Some barriers to entry that prevent potential competitors from entering a monopoly market include High startup costs, Economies of scale, Exclusive access to resources, Legal barriers, Brand loyalty, customer preferences, and Network effects.

Some barriers to entry that prevent potential competitors from entering a monopoly market include:

1. High startup costs: Establishing a new business in a monopoly market may require significant financial investment to purchase equipment, acquire property, or develop new technologies. This high initial cost can deter potential competitors from entering the market.

2. Economies of scale: In some industries, large firms enjoy cost advantages due to economies of scale, making it difficult for smaller competitors to enter the market and compete effectively. These cost advantages can stem from bulk purchasing, access to cheaper resources, or more efficient production methods.

3. Exclusive access to resources: A monopoly may have exclusive control over a critical resource, such as a patent, license, or natural resource. This exclusive access can create a barrier for potential competitors, as they cannot obtain the necessary inputs for their products or services.

4. Legal barriers: In some cases, government regulations or laws can create barriers to entry. For example, a government may grant a company exclusive rights to provide a specific service or product, preventing other businesses from entering the market.

5. Brand loyalty and customer preferences: If consumers have strong preferences for a particular brand, it can be difficult for new competitors to gain a foothold in the market. This loyalty can result from a company's marketing efforts, product quality, or customer service.

6. Network effects: Some markets exhibit network effects, where the value of a product or service increases with the number of users. In such markets, a monopoly may have a significant advantage as they have already captured a large user base, making it challenging for new entrants to compete.

By understanding these barriers to entry, potential competitors can better assess their chances of success when considering entering a monopoly market.

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