which of the following is not one of the four commonly recognized forms of utility?A. Form B. Time C. Production D. Place E. Posession and more.

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Answer 1

The answer to your question is C. Production. The four commonly recognized forms of utility are form, time, place, and possession.

Form utility refers to the usefulness or desirability created by changing the form, composition, or shape of a product. Time utility is the usefulness created by making a product available when it is needed or wanted by the customer. Place utility is the usefulness created by making a product available in a location convenient for customers. Possession utility is the usefulness created by transferring ownership or possession of a product to the customer. Production is not considered a form of utility because it does not directly create value for customers. Instead, production is the process by which goods or services are created, and it contributes to the overall efficiency and effectiveness of a business. Understanding the different forms of utility is important for businesses as it helps them to create products and services that meet the needs and wants of customers, and ultimately, drive sales and profits.

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at the break-even point,multiple choicecontribution per unit is zero.price is maximized.costs are zero.profits are zero.fixed costs are zero.

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At the break-even point, profits are zero. The break-even point is the level of sales or production at which total revenue equals total costs, resulting in zero profit or loss.

It is the point where a business covers all its expenses, both variable and fixed costs, without making any additional profit.

At this point, the contribution per unit, which represents the difference between the selling price and the variable cost per unit, is sufficient to cover the fixed costs. However, since there is no profit, the contribution per unit is not zero but rather equal to the fixed costs.

While the price may be a factor in determining the break-even point, it is not necessarily maximized at this point. Costs are not zero at the break-even point, as both fixed and variable costs are incurred. Fixed costs are also not zero but rather covered by the contribution per unit.

Therefore, the correct answer is that at the break-even point, profits are zero.

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Gateway, Corp. has an inventory turnover of 5.6. What is the firm's days's sales in inventory?
a) 57.9
b) 61.7
c) 65.2
d) 64.3

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Gateway, Corp. has an inventory turnover of 5.6. The firm's days' sales in inventory is option C - 65.2.

To calculate the days' sales in inventory, we need to use the formula:
Days' sales in inventory = 365 / inventory turnover

In this case, Gateway, Corp. has an inventory turnover of 5.6. Therefore, the calculation would be:

Days' sales in inventory = 365 / 5.6
Days' sales in inventory = 65.2

Here is a step-by-step explanation to calculate the firm's days' sales in inventory with an inventory turnover of 5.6:

Days' Sales in Inventory = 365 / Inventory Turnover
Now, let's plug in the given inventory turnover:

Days Sales in Inventory = 365 / 5.6 = 65.18

Rounded to one decimal place, the answer is 65.2. So, Gateway, Corp.'s days' sales in inventory is 65.2 (Option C).

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The law of diminishing marginal utility implies that the:a. marginal utility of a good diminishes over time.b. first unit of a good consumed will contribute most to the consumer's satisfaction.c. last unit of a good consumed will contribute most to the consumer's satisfaction.d. total utility is negative.e. total utility is constant as more units are consumed.

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The law of diminishing marginal utility implies that the last unit of a good consumed will contribute most to the consumer's satisfaction. The correct answer is (c)

The law of diminishing marginal utility is an economic principle that states that as a consumer consumes more and more units of a good, the additional satisfaction or utility gained from each additional unit of the good decreases. In other words, the marginal utility of a good diminishes as more of it is consumed.

The first unit of a good consumed may provide the consumer with the most satisfaction, but as they consume more of the good, the satisfaction gained from each additional unit decreases. Eventually, the consumer reaches a point where the marginal utility of each additional unit of the good becomes negative, meaning that the consumer is no longer gaining satisfaction from consuming more of the good.

Option (a) is incorrect because the law of diminishing marginal utility refers to the marginal utility of a good consumed, not over time. Option (b) is incorrect because the first unit of a good consumed may contribute the most to the consumer's satisfaction, but the law of diminishing marginal utility states that the marginal utility of each additional unit of the good will decrease.

Option (d) is incorrect because total utility can never be negative. Option (e) is incorrect because the law of diminishing marginal utility implies that total utility will increase as more units are consumed, but at a decreasing rate. Hence, option (c) is the correct option.

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upon graduation, one of your classmates landed a job assembling a product from wedgits. he is able to assemble the first unit in 20 minutes. the second time he assembles the product it takes 18 minutes. the fourth unit of product is assembled in 16 minutes and 12 seconds. the observed reduction in assembly time is consistent with a/an:

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The observed reduction in assembly time of the product from wedgits is consistent with a reduction in the learning effect.

The learning effect is a phenomenon that occurs when an individual improves their performance on a task after repeated practice or exposure to the task. In this case, the classmate's assembly time for the product decreases as he becomes more familiar with the task.

The reduction in assembly time from 20 minutes to 16 minutes and 12 seconds in the fourth unit of product suggests that the classmate has become more efficient and effective at assembling the product as he has gained more experience. The observed reduction in assembly time is consistent with a decrease in the learning effect, as the classmate's performance improves over time as he becomes more familiar with the task.  

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what is the annual growth rate of a country whose living standards can double in 60 years?

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The annual growth rate of a country whose living standards can double in 60 years would be approximately 1.2%. This means that the country's Gross Domestic Product (GDP) would need to grow by 1.2% each year in order to double the living standards in 60 years.

This growth rate takes into account the country's population growth, as well as the growth of its economy. However, it is important to note that this growth rate is not guaranteed and may be impacted by various factors such as economic downturns or political instability.

In order to sustain this growth rate, the country would need to focus on promoting economic development, investing in infrastructure and education, and implementing sound economic policies.
To determine the annual growth rate of a country whose living standards can double in 60 years, we can use the Rule of 70. The Rule of 70 states that the time it takes for a value to double is approximately 70 divided by the annual growth rate. In this case, the living standards double in 60 years, so we have:

60 years = 70 / annual growth rate

Now, we can solve for the annual growth rate:

annual growth rate = 70 / 60
annual growth rate ≈ 1.2%

Therefore, the annual growth rate of a country whose living standards double in 60 years is approximately 1.2%. This rate indicates the consistent increase in living standards, which contributes to the overall development and well-being of the country's population.

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Passenger vehicles consume about _____ percent of all petroleum used in the U.S.
a. 31
b. 30
c. 29

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Passenger vehicles consume about 30 percent of all petroleum used in the U.S.

This makes them the largest consumer of petroleum in the country. Other sectors that consume significant amounts of petroleum in the U.S. include the industrial sector, which uses petroleum as a feedstock for chemicals and plastics, and the commercial transportation sector, which includes trucks, buses, and other vehicles used for commerce and transportation of goods.Petroleum is a fossil fuel that is used as a primary source of energy in the United States. It is used to power vehicles, generate electricity, and provide heat for buildings. The U.S. is the largest consumer of petroleum in the world, accounting for about 20 percent of global consumption.

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when a consumer puts much effort into deciding how to satisfy a need, he engages in

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When a consumer puts much effort into deciding how to satisfy a need, he engages in an extensive decision-making process.

An extensive decision-making process, also known as extensive problem-solving, refers to the level of effort and involvement a consumer puts into making a purchasing decision when faced with a new or unfamiliar need. It typically occurs when the consumer is faced with a high-involvement purchase or when they have limited prior knowledge or experience with the product or service.

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True or False: Auctions help determine the price of goods and services when the original set price is too high.

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True. Auctions can help determine the price of goods and services when the original set price is too high. Through bidding, buyers can determine the maximum price they are willing to pay for the goods or services, and the seller can then sell the item to the highest bidder at that price.

This process can result in a fair market value for the goods or services being sold. So, auctions help determine the price of goods and services when the original set price is too high.

In an auction, bidders compete to purchase goods or services by offering progressively higher prices. This competitive bidding process helps establish a market-driven price for the item, which may be lower than the original set price if it was overestimated.

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This statement is True. Auctions can help determine the price of goods and services when the original set price is too high. Through bidding, buyers can determine the maximum price they are willing to pay for the goods or services, and the seller can then sell the item to the highest bidder at that price.

This process can result in a fair market value for the goods or services being sold. So, auctions help determine the price of goods and services when the original set price is too high.

In an auction, bidders compete to purchase goods or services by offering progressively higher prices. This competitive bidding process helps establish a market-driven price for the item, which may be lower than the original set price if it was overestimated.

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a _____ structure simultaneously groups people and resources by function and by product.

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The structure you are referring to is called a matrix structure. This type of organizational structure combines functional and product structures by creating cross-functional teams that work on specific projects or initiatives.

In this structure, employees are assigned to both a functional department and a project team, allowing them to draw on the resources and expertise of both groups. The matrix structure is often used in complex organizations that require a high level of coordination and collaboration between departments. It allows for a more flexible allocation of resources and can help ensure that the right people are assigned to the right projects. However, this structure can also be challenging to manage, as employees may have to balance competing priorities and report to multiple managers. Overall, the matrix structure can be a highly effective way to manage resources and achieve organizational goals, but it requires careful planning and management to be successful. By combining the strengths of functional and product structures, the matrix structure can help organizations be more efficient, innovative, and responsive to customer needs.

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When a manufacturer chooses one or more retailing partners, the overriding consideration must bea. the satisfaction of the retailing partners.b. the retailers' customary distribution intensity.c. whether customers can participate in mobile commerce.d. the greatest possible customer convenience and satisfaction.e. the overall cost to the manufacturer.

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When a manufacturer chooses one or more retailing partners, the overriding consideration must be the greatest possible customer convenience and satisfaction. The answer is: d.

When a manufacturer chooses one or more retailing partners, the main consideration should be the satisfaction of the end customers. The manufacturer should aim to provide the greatest possible customer convenience and satisfaction, which is achieved by selecting retailing partners who can provide efficient and effective distribution channels, customer service, and product availability.

While the overall cost to the manufacturer is also an important consideration, it should not be the overriding factor. The manufacturer should also consider the retailers' customary distribution intensity, but this should be viewed in the context of how it can impact customer satisfaction.

Mobile commerce may also be a consideration, but again, it should be viewed in the context of whether it can provide greater convenience and satisfaction to the customers. Thus, d. is the right option.

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conversion cannot occur when a person mistakenly believes that he or she is entitled to the goods. true or false

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Conversion refers to the act of wrongfully taking, using, or disposing of another person's property, without their permission or legal right. False.

It is considered a civil wrong or tort, and the victim can sue the converter for damages.  A person's mistaken belief that they are entitled to someone else's property does not excuse their action and does not negate the fact that the property was wrongfully taken. The key element in conversion is the unauthorized taking or use of the property, not the intent of the converter. For instance, if someone mistakenly believes that a bicycle left unlocked in a public place is abandoned and takes it, they are still committing conversion. The rightful owner of the bike can sue the converter for the return of the bike or its value in damages.  In short, the converter's intent or belief does not affect the legal implications of their actions.

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a shoe manufacturer is evaluating new equipment that would custom fit athletic shoes. the new equipment costs $117,000 and will generate $45,000 in net cash flows for five years. (negative cumulative cash flows should be indicated with a minus sign.) determine the break-even time for this equipment

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This means that the equipment will pay for itself in 2.6 years, or just over 2 and a half years.

To determine the break-even time for the shoe manufacturer's new equipment, we need to calculate the point at which the cumulative cash flows generated by the equipment equal the initial investment of $117,000.
To do this, we can use the formula for the payback period, which is:

Payback period = Initial investment / Net cash inflow per year

In this case, the initial investment is $117,000 and the net cash inflow per year is $45,000. Therefore, the payback period can be calculated as:

Payback period = $117,000 / $45,000 = 2.6 years

It's important to note that the payback period is just one measure of the profitability of an investment. While a short payback period can be desirable, it doesn't take into account the time value of money or the potential for future cash flows beyond the payback period. It's also important to consider other factors such as the equipment's potential to increase revenue or reduce costs in the long term.

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Each of us face decisions in our lives that require us to make choices, knowing that:
the best choice is relative to the value of the next best alternative.
the impacts of our choices are not quantifiable.
the impacts of our choices can always be quantified in dollars.
the opportunity cost of one’s decision is always maximized.

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Each of us faces decisions in our lives that require us to make choices, knowing that the best choice is relative to the value of the next best alternative. Therefore, the correct answer is option A.

Option (a) is correct: the best choice is relative to the value of the next best alternative. When making decisions, we must consider the opportunity cost of choosing one option over another.

Opportunity cost is the value of the next best alternative that must be forgone as a result of choosing a particular option. This means that we must weigh the benefits and costs of each option and choose the one that provides the highest net benefit, or the highest benefit minus the opportunity cost.

Option (b) is incorrect, as the impacts of our choices can often be quantified, although not always in monetary terms.

Option (c) is also incorrect, as the impacts of our choices cannot always be quantified in dollars. Many decisions involve non-monetary factors, such as social, environmental, or ethical considerations.

Option (d) is also incorrect, as the opportunity cost of a decision is not always maximized. Opportunity cost is simply the value of the next best alternative, and maximizing it may not always be the best course of action, depending on the situation.

In summary, when making decisions, it is important to consider the opportunity cost of each option, or the value of the next best alternative that must be forgone.

This allows us to weigh the benefits and costs of each option and choose the one that provides the highest net benefit, regardless of whether the impacts can be quantified in monetary terms. Therefore, the correct answer is option A.

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where in vendor central can a user find recommendations to improve their business and increase sales?

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In Vendor Central, a user can find recommendations to improve their business and increase sales in the "Performance" section. Here are the steps to access these recommendations:

1. Log in to your Vendor Central account.

2. Navigate to the main dashboard.

3. Look for the "Performance" tab or section. The exact placement and labeling may vary based on updates and changes made by Amazon.

4. Click on the "Performance" tab to access the performance-related information and tools.

5. Within the "Performance" section, you may find various reports, metrics, and recommendations to help improve your business and increase sales.

Amazon provides valuable insights and recommendations to vendors through features like Business Reports, Inventory Performance Dashboard, and other performance-related tools. These resources can provide data-driven suggestions and guidance on optimizing your product listings, inventory management, pricing strategies, advertising opportunities, and other areas that can positively impact your sales performance on the platform.

Keep in mind that the specific layout and availability of recommendations may vary based on your vendor account's features, subscription, and Amazon's updates.

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using instant messaging at work may annoy some people, but others believe that it saves time.

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Instant messaging is a communication tool used in various work environments to facilitate quick and efficient communication between team members. While it can save time by allowing employees to send brief messages and receive immediate responses, some individuals may find it annoying or distracting.

Proponents of instant messaging at work argue that it enables faster communication compared to email or face-to-face meetings, as messages are delivered instantly and can be easily accessed. This can lead to quicker problem-solving, improved collaboration, and increased productivity.

On the other hand, some employees may view instant messaging as an interruption to their workflow, causing them to lose focus and feel overwhelmed. Additionally, the informal nature of instant messaging may lead to miscommunications and misunderstandings, especially in professional settings where tone and context are important.

In conclusion, instant messaging at work can be both a time-saving tool and a potential annoyance depending on individual preferences and work styles. To ensure a positive work environment, it is essential for organizations to establish clear guidelines on instant messaging usage and encourage employees to find a balance between utilizing this tool effectively and respecting their colleagues' need for focus and productivity.

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When would direct labor costs associated with building a custom home be assigned to the job?A) Only indirect labor is assigned to construction, not direct laborB) After first being added to manufacturing overheadC) When the labor is incurred during constructionD) After the construction has moved from work-in-process to the finished product

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The direct labor costs associated with building a custom home would be assigned to the job when the labor is incurred during construction.

This means that as soon as a worker performs a task that directly contributes to the construction of the custom home, the cost of that worker's time is added to the job's cost. Direct labor costs include wages, salaries, benefits, and other costs associated with the workers who are physically working on the job. These costs are tracked in real-time and are used to calculate the total cost of the job as it progresses, allowing for accurate job costing and profitability analysis.

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an individual’s right to privacy includes the exclusive use of his or her likeness.
T/F

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Yes, the above statement is true. An individual's right to privacy includes the exclusive use of his or her likeness.

This means that a person has the right to control and protect their image and likeness from being used without their consent for commercial purposes, such as advertising or merchandising. This right is often referred to as the "right of publicity" and is recognized in many countries, including the United States. It allows individuals to prevent others from using their name, image, voice, or other identifying features without their permission. However, there are some exceptions to this right, such as when the use of the likeness is for news reporting, commentary, or artistic expression. Therefore, an individual's right to privacy includes the exclusive use of his or her likeness.

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true or false? it is recommended that advertisers request the audience planning tool report monthly in order to assess the impact of varying strategies.

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This statement "it is recommended that advertisers request the audience planning tool report monthly in order to assess the impact of varying strategies" is True.

It is highly recommended for advertisers to request the audience planning tool report on a monthly basis to assess the impact of varying strategies. The audience planning tool report provides crucial insights into the behavior, interests, and demographics of the target audience. It helps advertisers understand how their campaigns are performing, what strategies are working and what needs to be improved.


By requesting the audience planning tool report on a monthly basis, advertisers can keep a track of their campaign's progress, make data-driven decisions and tweak their strategy accordingly. It also enables them to identify trends and patterns in the audience's behavior over time. This information can be used to optimize campaigns for better ROI.


In today's highly competitive advertising landscape, advertisers need to constantly evaluate their campaigns and adjust their strategies to stay ahead of the curve. The audience planning tool report is a powerful tool that can help them achieve this goal.

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Which of the following diversity factors has been called the "last acceptable bias"?
A) sexual orientation
B) gender identity
C) religious belief
D) ethnic origin

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The correct answer is Option A. The diversity factor that has been called the "last acceptable bias" is sexual orientation.

Despite progress in recent years, discrimination against individuals based on their sexual orientation is still prevalent in many societies. This discrimination can manifest in various forms, including exclusion from certain jobs or housing, harassment, and violence. The term "last acceptable bias" has been used to describe the continued discrimination against individuals based on their sexual orientation, even as other forms of discrimination have become less socially acceptable. This highlights the ongoing need for awareness, education, and advocacy to promote greater acceptance and inclusion of individuals of all sexual orientations.

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a partial balance sheet ($s in thousands) for captain d's sportswear is shown below. The debt to equity ratio is: O 1.35 0.99 O 2.57 0.57

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The partial balance sheet for Captain D's Sportswear indicates the assets, liabilities, and equity of the company at a certain point in time. The debt-to-equity ratio is a measure of the proportion of debt used by the company.

It is calculated by dividing total debt by total equity. In this case, we have two possible answers for the debt-to-equity ratio, depending on the missing value in the partial balance sheet. If the missing value is the long-term debt, the debt-to-equity ratio is 1.35. If the missing value is the equity, the debt-to-equity ratio is 0.99. The debt-to-equity ratio provides insight into the financial risk of the company. A higher ratio indicates that the company is more reliant on debt financing, which may increase its financial risk. On the other hand, a lower ratio indicates that the company is more reliant on equity financing, which may be less risky.
In conclusion, the partial balance sheet provides valuable information about the financial position of Captain D's Sportswear, and the debt-to-equity ratio is an important metric for assessing the financial risk of the company. You provided four potential answers for the debt-to-equity ratio: 1.35, 0.99, 2.57, and 0.57. To identify which of these values is correct, you would need to have the total liabilities and total equity amounts from the partial balance sheet.

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what is the recommended new reorder point if the service level (cycle service level) is increased to 98%

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When the service level (cycle service level) is increased to 98%, it is important to reevaluate the reorder point to ensure optimal inventory management.

The reorder point refers to the inventory level at which a new order must be placed to avoid stock-outs. The new recommended reorder point can be calculated by using the following formula:

Reorder Point = (Average daily demand x Lead time) + Safety stock


To increase the service level to 98%, the safety stock must be adjusted accordingly. Safety stock is the additional inventory kept to accommodate any unexpected demand or delays in the supply chain.


To determine the new safety stock, it is necessary to calculate the z-score for the desired service level of 98%. The z-score is the number of standard deviations away from the mean demand that corresponds to the desired service level.

Once the z-score is calculated, the safety stock can be found using the following formula:

Safety Stock = z-score x Standard Deviation of Demand x Lead Time


Once the new safety stock is determined, it can be added to the lead time demand to calculate the new reorder point. This process will ensure that inventory levels are sufficient to meet demand and prevent stock-outs, while also optimizing inventory holding costs.

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Which of these products would be most apt to involve the use of a single-period model? Multiple Choice fresh fish, frozen corn , calculators , gold coins , hammers

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the product that would most likely involve the use of a single-period model is gold coins. The correct option is d) gold coins.

A single-period model is a type of financial model used to determine the value of an asset or investment for a single period. This model assumes that there is only one period of investment, and there are no cash flows or dividends to consider in the future.

Gold coins are a commonly traded commodity in the financial market. The value of gold coins is determined by its market price, which fluctuates based on various economic and geopolitical factors. In this scenario, a single-period model would be suitable to determine the current value of the gold coins, as there are no future cash flows to consider.

On the other hand, fresh fish and frozen corn are perishable goods that have a limited shelf life and are typically consumed immediately. Calculators and hammers are durable goods that can be used over an extended period of time, and their value is determined by their usefulness and condition over time. These products would not be suitable for a single-period model as their value is influenced by various factors over time.

In conclusion, a single-period model would be most apt to involve the use of gold coins, as their value is determined by market price fluctuations and there are no future cash flows to consider. Therefore the correct option  d) gold coins

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Complete question

Which of these products would be most apt to involve the use of a single-period model? Multiple Choice

a) fresh fish, B) frozen corn , c) calculators , d)  gold coins ,e) hammers

to get all the customers from hawaii sorted together, which of the following would be used?a. order byb. group byc. havingd. sort

Answers

To get all the customers from Hawaii sorted together in a database query, the correct operator to use is "group by".

The "group by" clause is used to group data in a table based on one or more columns. In this case, we would group the customers by their location, specifically the state of Hawaii.

This will ensure that all customers from Hawaii are listed together. Using "order by" would sort the entire table by a specific column, but it would not group customers from Hawaii together.

"Having" is used to filter groups based on certain conditions, but it is not necessary in this case as we are only interested in grouping customers by location. "Sort" is not an operator in SQL, so it would not be applicable in this situation.

Overall, "group by" is the best option to use when we want to group data based on specific values, and it is commonly used in SQL queries to organize and analyze data.

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Which of the following was the first to prohibit "conspiracies in restraint of trade"?
The Sherman Act.
The Federal Trade Commission Act.
The Clayton Act.
The Gramm-Rudman Act.

Answers

The first to prohibit "conspiracies in restraint of trade" was the Sherman Act.

The Sherman Antitrust Act was passed in 1890 and was the first federal law to prohibit anticompetitive practices in the United States. It prohibits "conspiracies in restraint of trade" and monopolization, among other anticompetitive practices. The law was designed to promote competition and prevent the formation of monopolies or other anticompetitive arrangements.

The Federal Trade Commission Act, passed in 1914, established the Federal Trade Commission (FTC) and gave it the authority to enforce federal antitrust laws. The Clayton Act, passed in 1914, strengthened the Sherman Act by prohibiting certain types of anticompetitive practices, such as price discrimination and tying arrangements.

The Gramm-Rudman Act, passed in 1985, was a law designed to reduce the federal budget deficit by setting targets for deficit reduction. It did not address antitrust issues or prohibit conspiracies in restraint of trade.

In summary, the first law to prohibit "conspiracies in restraint of trade" was the Sherman Antitrust Act, which was passed in 1890 to promote competition and prevent anticompetitive practices.

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a construction firm is going to save money by upgrading a piece of equipment. the cost savings will be $15,000 in year 1 and increase by $2,000 each year thereafter until the end of year 6. at an interest rate of 15% which of the following is closest to the equivalent annual value of the savings? a. $15,000 b. $20,000 c. $30,000 d. $25,000

Answers

To calculate the equivalent annual value of the savings from upgrading the equipment, we need to find the present value of the cash flows and then convert it into an annuity.

The cash flows are as follows:
Year 1: $15,000
Year 2: $17,000
Year 3: $19,000
Year 4: $21,000
Year 5: $23,000
Year 6: $25,000
Using a 15% interest rate, the present value of these cash flows can be calculated using the formula: PV = CF / (1 + r)^n, where PV is present value, CF is the cash flow, r is the interest rate, and n is the year.
Summing the present value of each cash flow, we get a total present value of approximately $65,893.
To convert this present value into an equivalent annual value, we'll use the annuity formula: A = PV * (r * (1 + r)^n) / ((1 + r)^n - 1), where A is the equivalent annual value.
Using this formula, the equivalent annual value is approximately $19,109. This value is closest to option B, $20,000. Therefore, the closest equivalent annual value of the savings from upgrading the equipment is $20,000.

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a ____ lock allows concurrent transactions to access different rows of the same table.

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A row-level lock allows concurrent transactions to access different rows of the same table.

In a database management system, row-level locking is a concurrency control mechanism that allows multiple transactions to access different rows of the same table simultaneously without interfering with each other. Row-level locking can help to improve performance and reduce contention for resources in a multi-user database environment.

When a transaction requests a row-level lock on a particular row of a table, other transactions are prevented from acquiring locks on the same row until the lock is released. This ensures that each transaction can work with the row independently, without the risk of conflicting changes or data corruption.

Row-level locking is commonly used in databases that support high levels of concurrency, such as online transaction processing (OLTP) systems.

In summary, a row-level lock is a type of locking mechanism that allows concurrent transactions to access different rows of the same table without interference.

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you have been chosen to provide an estimate of your firm's cost of equity to management for the upcoming budgetary planning meeting. you have calculated the cost of equity using three approaches, capm, dcf and bond yield plus risk premium. you are confident in your numbers but the results vary. you should:

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In preparing your estimate for the firm's cost of equity for the upcoming budgetary planning meeting, you have used three approaches: CAPM (Capital Asset Pricing Model), DCF (Discounted Cash Flow), and Bond Yield Plus Risk Premium. While you are confident in your calculations, the results from these methods vary.

In this situation, it is advisable to present all three approaches to management, highlighting the differences and underlying assumptions for each method. This will provide a comprehensive view of the firm's cost of equity from various perspectives, allowing management to make an informed decision.

Explain the CAPM method, which considers the risk-free rate, beta, and market risk premium. Next, discuss the DCF approach, focusing on the growth rate and dividend payout. Finally, present the Bond Yield Plus Risk Premium approach, which incorporates the firm's bond yield and an additional risk premium.

By providing these insights, management can weigh the strengths and limitations of each method and determine the most appropriate estimate for the firm's cost of equity during the budgetary planning meeting.

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In the short run, an increase in market demand will usually lead to a(n): a) decrease in price and an increase in quantity. b) decrease in price and a decrease in quantity. c) increase in price and an increase in quantity. d) increase in price and a decrease in quantity.

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In the short run, an increase in market demand will usually lead to an increase in price and an increase in quantity. This can be explained by the basic economic principle of supply and demand. When there is an increase in demand for a good or service, but the supply remains constant, the market price for that good or service will increase.

This is because there are more buyers than there are sellers, and buyers are willing to pay more in order to obtain the productAt the same time, an increase in demand will also lead to an increase in quantity supplied, as producers will want to take advantage of the higher price that they can receive for their product. This means that more of the good or service will be produced and sold, as producers seek to capitalize on the increased demand.It is important to note, however, that these effects are typically only seen in the short run. In the long run, producers may be able to increase their production capacity, which can lead to a decrease in price and an increase in quantity. Additionally, if there are no barriers to entry, new producers may enter the market, which can increase competition and lower prices.

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it is possible for an economic ""good"" to turn into an economic ""bad."" True/False

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it is possible for an economic ""good"" to turn into an economic ""bad."" This is True

It is possible for an economic good to turn into an economic bad, depending on the context and circumstances.

For example, a product that is initially considered a good may later be discovered to have harmful environmental or health impacts, or it may become overproduced and lead to a glut in the market, causing prices to drop and leading to economic losses for producers.

Additionally, some goods may have unintended negative consequences, such as the overuse of antibiotics leading to antibiotic resistance or the use of pesticides harming beneficial insect populations.

As such, the perception of a good or bad can change over time and is often influenced by evolving scientific knowledge, market dynamics, and societal values.

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The transaction that John sold 100 shares of Dell stock on the New York Stock Exchange Multiple Choice a. took place in the primary market b. occurred in a dealer market c. was facilitated in the secondary market d. involved a proxy e. was a private placement

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John sold 100 shares of Dell stock on the New York Stock Exchange can be described as c. facilitated in the secondary market.

The secondary market is where previously issued securities, such as stocks, are traded among investors. For example, if you want to buy Apple stock, you would purchase the stock from investors who already own the stock rather than Apple. In this case, the terms "proxy" and "private placement" are not relevant to the given scenario.

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