which of the following terms refers to the amount of resources committed to entering a foreign market? A. scale of entry B. mode of entry
C. institutional distance
D. benchmarking

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Answer 1

The term "scale of entry" (option A) refers to the level of commitment a company has in entering a foreign market, including the amount of resources allocated.

On the other hand, "mode of entry" (option B) describes the method used by a company to enter a foreign market. This can include exporting, licensing, franchising, joint ventures, or wholly-owned subsidiaries.

"Institutional distance" (option C) pertains to the differences in regulatory, normative, and cognitive institutions between two countries, which can impact the costs and risks associated with conducting business across borders.

Lastly, "benchmarking" (option D) is the practice of comparing one's business processes in foreign market and performance metrics to industry bests or best practices from other companies to improve performance.

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Related Questions

Which of the following is NOT an effective way to manage the inefficiency resulting from a negative externality? (A) Government intervention in the form of obligatory controls Per-unit taxes Assignment of property rights (D) Lump-sum taxes (E) Private negotiations among affected parties

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Private negotiations among affected parties is NOT an effective way to manage the inefficiency resulting from a negative externality. The answer to this question is (E) private negotiations among affected parties.

Private negotiations among affected parties may be a possible solution for managing the inefficiency resulting from a negative externality, but it may not always be an effective one. This is because negative externalities often affect a large number of individuals and businesses, making it difficult to negotiate a solution that is acceptable to all parties involved.

Additionally, private negotiations may not be possible if the parties affected by the negative externality are unable or unwilling to come to an agreement. On the other hand, government intervention in the form of obligatory controls, per-unit taxes, assignment of property rights, and lump-sum taxes are all effective ways to manage the inefficiency resulting from a negative externality.

Obligatory controls involve setting legal limits on the amount of pollution or other negative externalities that are allowed, while per-unit taxes make it more expensive to produce goods that create negative externalities. Assignment of property rights can help to ensure that those affected by negative externalities are compensated for any harm caused, and lump-sum taxes provide an additional revenue source for the government to invest in mitigating the negative effects of externalities.

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The association that actively promotes excellence in project management is:.

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The association that actively promotes excellence in project management is the Project Management Institute (PMI). PMI is a global organization that provides resources, certifications, and networking opportunities for project management professionals.

They offer a range of certification programs, including the Project Management Professional (PMP) certification, which is widely recognized as the gold standard in project management. PMI also provides access to a wealth of educational materials, webinars, and events to help project managers stay up-to-date on best practices and trends in the field. Additionally, PMI advocates for the value of project management and the importance of the profession in achieving organizational success. Overall, PMI is a valuable resource for anyone looking to advance their project management career and promote excellence in the field.

The association that actively promotes excellence in project management is the Project Management Institute (PMI). PMI is a global, non-profit professional organization dedicated to advancing the practice, science, and profession of project management. They achieve this by providing resources, certifications, networking opportunities, and professional development courses to project management professionals. PMI establishes standards and best practices through their widely recognized publication, the Project Management Body of Knowledge (PMBOK). By adhering to PMI's guidelines and obtaining their certifications, project managers can demonstrate their commitment to excellence and improve their skills in managing projects effectively.

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When a trust instrument is silent regarding a trusteeâs powers, which of the following implied powers does a trustee generally have?
The power to make distributions of principal to income beneficiaries
The power to lease trust property to third parties
A. Both A and B
B. Only A
C. Only B
D. Neither A nor B

Answers

When a trust instrument is silent regarding a trustee's powers, the trustee generally has certain implied powers. B. Only A

These implied powers are not specifically listed in the trust document, but they are considered necessary and reasonable for the trustee to carry out their duties. One of the implied powers is the power to make distributions of principal to income beneficiaries. This power allows the trustee to make distributions from the trust principal to the beneficiaries who are entitled to the trust's income. Another implied power is the power to lease trust property to third parties. This power enables the trustee to lease trust assets, such as real estate or equipment, to generate income for the trust. Both of these powers are generally available to a trustee when the trust instrument is silent regarding their powers.

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you ask each of them how they deal with this kind of disappointment. which of the following responses would show the most promise for a future manager?

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A good response would be something like, "I understand that disappointment is a natural part of any job. but I try to remain optimistic and use it as an opportunity to learn and improve. I take responsibility for my actions and look for ways to make things better in the future. As a future manager. I would also focus on helping my team deal with disappointment in a positive and productive way. by offering support and encouragement while also pushing them to find solutions and learn from their mistakes."

The response that would show the most promise for a future manager in dealing with disappointment would be one that acknowledges the disappointment but focuses on finding solutions and learning from the experience.

Dealing with disappointment is crucial for a future manager. Among various responses, the one that shows the most promise would be: "I acknowledge the disappointment, learn from it, communicate openly with my team to address the issue, and move forward by implementing strategies to prevent similar situations in the future." This response demonstrates resilience, adaptability, and effective leadership skills that are essential for a successful manager.

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When the cost-of-goods-sold method is used to record inventory at net realizable value a. there is a direct reduction in the selling price of the product that results in a loss being recorded on the income statement prior to the sale. b. a loss is recorded directly in the inventory account by crediting inventory and debiting loss on inventory decline. c. only the portion of the loss attributable to inventory sold during the period is recorded in the financial statements. d. the net realizable value figure for ending inventory is substituted for cost and the loss is buried in cost of goods sold.

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Inventory in a periodic inventory system, the cost of inventories sold is "not recorded at the time goods are sold," is the right one. The correct answer is d. the net realizable value figure for ending inventory is substituted for cost and the loss is buried in cost of goods sold.

The cost of items sold is only calculated and recorded at the end of a given period, such as at the end of a month or year, as opposed to each time a sale is a loss is recorded directly in the inventory account by crediting inventory and debiting loss on inventory decline. made, in a periodic inventory system. In a perpetual inventory system, each time a sale is made, the cost of the goods sold is recorded. As a result, option D is the correct response since in a periodic inventory system, the cost of inventories sold is not recorded when products are sold.

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john maynard keynes concluded that multiple choice the aggregate demand curve is not important. prices and wages are flexible in the downward direction. the economy was not always at or tending toward full employment. supply creates its own demand.

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John Maynard Keynes, one of the most influential economists of the 20th century, believed that the aggregate demand curve was a critical factor in understanding economic fluctuations.

He argued that prices and wages were not always flexible in the downward direction, which meant that government intervention was necessary to stabilize the economy during times of recession. Keynes also pointed out that the economy was not always at or tending toward full employment, and that supply did not always create its own demand. Instead, he believed that there could be periods of high unemployment and unused production capacity, which would require government intervention to stimulate demand and restore economic growth.
Hi! You asked about John Maynard Keynes and his conclusions. John Maynard Keynes concluded that the aggregate demand curve is crucial in determining economic performance. He believed that prices and wages are not always flexible in the downward direction, which can cause market inefficiencies. Furthermore, Keynes emphasized that the economy was not always at or tending toward full employment, contrary to classical economic theories. Finally, he disagreed with the notion that supply creates its own demand, as he recognized that inadequate demand can lead to unemployment and underutilized resources in the economy.

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recording interest revenue and receivableon December 16, TechCom accepts a $3,000, 60-day, 12% note from a customer. When TechCom's accounting period ends on December 31, $15 of interest has accrued on this note ($3,000 × 12% × 15/360)December 16 note is collected on Februrary 14 3 months later

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This transaction reflects that TechCom has received the full amount of $3,045, which includes the principal amount  of $3,000 plus $45 of interest revenue.

When TechCom accepted the $3,000, 60-day, 12% note on December 16, the company would record the transaction as follows:

Debit: Accounts Receivable - $3,000

Credit: Notes Receivable - $3,000

This transaction reflects that TechCom is owed $3,000 from the customer, who has promised to pay the amount in 60 days by signing a promissory note.

On December 31, TechCom would need to record the accrued interest of $15 ($3,000 × 12% × 15/360) as follows:

Debit: Interest Receivable - $15

Credit: Interest Revenue - $15

This transaction reflects that TechCom has earned $15 of interest revenue, which will be collected when the note is due on February 14.

When the note is collected on February 14, TechCom would record the following transaction:

Debit: Cash - $3,045 ($3,000 + $45 interest)

Debit: Interest Receivable - $15 (to clear the balance)

Credit: Accounts Receivable - $3,000 (to clear the balance)

Credit: Interest Revenue - $45 ($15 from December 31 and $30 from January and February). TechCom would also clear the accounts receivable balance and interest receivable balance by recording the appropriate debits and credits.

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what are your goals when responding to the previous scenario? check all that apply.to avoid creating legal liability for your companyto ensure that the company knows you are angryto convey fairnessto encourage follow-up correspondence from the receiverto make the receiver understand the bad news

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The goals are, to avoid creating legal liability for your company, to convey fairness to encourage follow-up correspondence from the receiver, to make the receiver understand the bad news. Option a, c and d are correct.

When responding to the previous scenario, it is important to ensure that the response avoids creating legal liability for the company while still conveying fairness and making sure the receiver understands the bad news.

It is not necessary to communicate anger as this can be perceived as unprofessional and may create a negative impression of the company. Additionally, the goal should not be to encourage follow-up correspondence from the receiver unless it is necessary to resolve the issue at hand. Option a, c and d are correct.

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--The complete question is, what are your goals when responding to the previous scenario? check all that apply.

a. to avoid creating legal liability for your company

b. to ensure that the company knows you are angry

c. to convey fairness to encourage follow-up correspondence from the receiver

d. to make the receiver understand the bad news--

Answer: B

Explanation: took the test

OMG Inc. has 4 million shares of common stock outstanding, 3 million shares of preferred stock outstanding, and 5,000 bonds. Suppose the common shares are selling for $27 per share, the preferred shares are selling for $26 per share, and the bonds are selling for 108 percent of par. What weight should you use for debt in the computation of OMG's WACC?

Answers

To compute OMG's WACC, the weight of debt is calculated by dividing the market value of debt by the sum of the market value of equity and debt. The final answer is weight of debt in the computation of OMG's WACC is 3.42%.

First, let's calculate the market value of weight of debt

Market value of debt = 5,000 bonds × 108% of par = $5,400,000

Next, let's calculate the market value of equity:

Market value of equity = 4 million shares × $27 per share + 3 million shares × $26 per share = $150 million

Now, we can calculate the weight of debt:

Weight of debt = Market value of debt / (Market value of debt + Market value of equity)

= $5,400,000 / ($5,400,000 + $150,000,000)

= 0.0342 or 3.42%

Therefore, the weight of debt in the computation of OMG's WACC is 3.42%.

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select all that apply the statement of cash flows explains the difference between beginning and ending balances of cash and cash equivalents. a cash equivalent must satisfy which of the following criteria? (check all that apply.) multiple select question. be backed by secured assets be close to maturity be readily convertible to a known amount of cash be held at a local institution

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The difference between beginning and ending balances of cash and cash equivalent. It provides information about the cash inflows and outflows of a company during a specific period.

Cash equivaents are short-term investments that are easily convertible into cash and have a maturity date of three months or less. Examples of cash equivalents include treasury bills, commercial paper, and money market funds. To be considered a cash equivalent, an investment must satisfy certain criteria. In this multiple select question, we need to identify the criteria that a cash equivalent must satisfy. The correct options are:

A cash equivalent must be close to maturity, which means that it should have a short-term maturity date of three months or less. This ensures that the investment can be easily converted into cash when needed. Additionally, a cash equivalent must be readily convertible to a known amount of cash, which means that its value should be easily determined and not subject to significant fluctuations in market value.

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FILL IN THE BLANK. When computing the payback period for a new piece of equipment, the salvage value of the equipment being replaced is ______.

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The salvage value of the outdated equipment is ignored when calculating the payback period for a new piece of equipment. Here option C is the correct answer.

When calculating the payback period for a new piece of equipment, the salvage value of the equipment being replaced is typically deducted from the cost of the new equipment. This is because the salvage value represents the amount of cash inflow that the company can expect to receive when it sells the old equipment at the end of its useful life.

By deducting the salvage value from the cost of the new equipment, the net investment in the new equipment is calculated. This net investment represents the amount of money that the company needs to invest in the new equipment, net of any expected cash inflows from the sale of the old equipment.

It's important to note that the salvage value is only considered when it's expected to be received in cash. If the old equipment is not expected to be sold, or if the expected salvage value is not significant, it may be ignored in the payback period calculation.

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Complete question:

When computing the payback period for a new piece of equipment, the salvage value of the equipment being replaced is ______.

A- treated as part of the cash inflow for year 1

B- deducted from the cost of the new equipment

C- ignored

D- added to the cost of the new equipment

T/F: the strengthening and weaking of the euro relative to the dollar could cause zara to have occasional financial vulnerabilities.

Answers

True. Zara is a global fashion brand that operates in various countries, which means it is exposed to currency exchange rate risks.

When the euro strengthens relative to the dollar, Zara's profits from the US market decrease when translated into euros. On the other hand, when the euro weakens against the dollar, Zara's profits from the US market increase when translated into euros. Therefore, fluctuations in currency exchange rates could potentially impact Zara's financial performance, making it vulnerable to occasional financial risks.

The strengthening and weakening of the euro relative to the dollar could cause Zara to have occasional financial risks.

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the non-profit organizations that control amateur sports in the united states share a primary interest in two things. they are

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The two primary interests shared by non-profit organizations that control amateur sports in the United States are promoting the sports they oversee and providing opportunities for individuals to participate in those sports.

These non-profit organizations aim to develop and improve athletic programs, offer training and coaching, and organize events and competitions that allow athletes to showcase their skills. They also work to ensure that sports are accessible to people of all ages and backgrounds, with a focus on promoting physical fitness, health, and well-being.

Additionally, these organizations often prioritize the safety of athletes and the fair play of the sports they oversee, implementing rules and regulations to govern behavior and prevent injury. Overall, their primary goal is to foster a culture of sportsmanship and excellence in amateur sports.

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The non-profit organizations that control amateur sports in the united states share a primary interest in two things. Name them

alfredo incorporated reports net income of $244,000 for the year ended december 31. it also reports $93,800 depreciation expense and a $5,700 gain on the sale of equipment. its comparative balance sheet reveals a $38,300 decrease in accounts receivable, a $17,150 increase in accounts payable, and a $13,450 decrease in wages payable. calculate the cash provided (used) in operating activities using the indirect method.

Answers

The cash provided (used) in operating activities using the indirect method is $340,800.

To calculate the cash provided (used) in operating activities using the indirect method, we need to start with the net income and make adjustments for non-cash items and changes in working capital.

Starting with a net income of $244,000, we add back the depreciation expense of $93,800 and subtract the gain on the sale of equipment of $5,700.

This gives us a total of $332,100 in operating cash flows.

Next, we need to make adjustments for changes in working capital.

The decrease in accounts receivable of $38,300 means that the company collected $38,300 more in cash than it earned in revenue.

This is a source of cash, so we add $38,300 to the operating cash flows.

The increase in accounts payable of $17,150 means that the company paid $17,150 less in cash than it owed to suppliers.

This is a use of cash, so we subtract $17,150 from the operating cash flows.

Finally, the decrease in wages payable of $13,450 means that the company paid $13,450 more in cash than it owed in wages. This is a use of cash, so we subtract $13,450 from the operating cash flows.

Adding all of these adjustments together, we get:

Operating cash flows = net income + depreciation - gain on sale of equipment + decrease in accounts receivable + increase in accounts payable - decrease in wages payable
Operating cash flows = $244,000 + $93,800 - $5,700 + $38,300 - $17,150 - $13,450
Operating cash flows = $340,800

Therefore, the cash provided (used) in operating activities using the indirect method is $340,800.

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the strategy that frequently adjusts the asset class mix in the portfolio to take advantage of changing market conditions while assuming that the investor's risk tolerance and investment constraints to be constant over time is called

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The strategy you are referring to is called tactical asset allocation. This approach involves making changes to the portfolio's asset allocation based on current market conditions, such as shifting to more defensive or aggressive investments as needed.

Tactical asset allocation differs from strategic asset allocation, which involves setting a long-term asset allocation based on an investor's risk tolerance and goals, and then maintaining that allocation over time. With tactical asset allocation, the goal is to improve returns or reduce risk by taking advantage of short-term opportunities in the market. However, this approach requires careful monitoring and analysis of market trends and may involve higher transaction costs than a buy-and-hold strategy.

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when jamie, a u.s. citizen, purchases a wool jacket made in ireland, the purchase is a. the u.s. import and an irish export. b. the u.s. export and an irish import. c. both the u.s. and irish export. d. both the u.s. and irish import.

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The answer is option A, which means that the purchase made by Jamie is considered a U.S. import and an Irish export.

This is because the jacket was made in Ireland and sold to a buyer in the United States, making it an export from Ireland and an import for the United States.

International trade involves the exchange of goods and services between countries. In this case, the wool jacket made in Ireland is considered a product that is being exported from Ireland to the United States. When Jamie purchases the jacket, it becomes an import for the United States, which means that it is subject to customs duties and other trade regulations.

At the same time, the purchase also represents an export for Ireland, which means that it contributes to the country's economy and balance of trade. The export of goods and services is an essential component of economic growth, as it allows countries to specialize in the production of certain goods and services while importing others that are more efficiently produced elsewhere.

In summary, Jamie's purchase of a wool jacket made in Ireland is a U.S. import and an Irish export, making option A the correct answer. This highlights the importance of international trade and the role it plays in supporting economic growth and development.

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Which of the following taxes satisfy the benefits received principles, and which satisfy the ability to pay principle? A. gasoline tax b. federal income tax c. tax on social security benefits

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Answer:

The benefits received principle states that individuals should pay taxes in proportion to the benefits they receive from government services, while the ability to pay principle asserts that individuals should pay taxes in proportion to their income or wealth.

A) Gasoline tax: This tax is more closely aligned with the benefits received principle, as it is often used to fund road construction and maintenance, and those who use more gasoline (i.e., drive more) typically benefit more from these services.

B) Federal income tax: This tax is more closely aligned with the ability to pay principle, as it is based on an individual's income and ability to pay, rather than the specific benefits they receive from government services.

C) Tax on Social Security benefits: This tax is somewhat controversial, as Social Security benefits are often seen as a form of earned income, rather than a government service. However, some argue that those who receive higher Social Security benefits should pay more taxes on those benefits, which would align with the benefits received principle.

In summary, the gasoline tax is more closely aligned with the benefits received principle, the federal income tax is more closely aligned with the ability to pay principle, and the tax on Social Security benefits could be argued to align with either principle, depending on one's perspective.

How do Preferred and Catch-Up Returns work in waterfall models?

Answers

In a private equity or venture capital investment, a waterfall model is used to allocate the profits and losses among the investors and the fund managers.

The model specifies the order in which the different investors receive their returns and the percentage of profits they are entitled to. Within the waterfall model, preferred returns and catch-up provisions are two mechanisms used to distribute returns to investors.

Preferred returns refer to a contractual arrangement where investors receive a fixed percentage of their initial investment before any profits are distributed to the fund managers. For example, if the preferred return is 8% and an investor has invested $100,000, the investor would receive $8,000 before any profits are distributed to the fund managers. Preferred returns are designed to ensure that investors receive a minimum return on their investment before the fund managers start receiving their share of the profits.

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blockbusting, which involves persuading an individual to sell her home by telling her that minority groups are moving into the neighborhood, is one form of discrimination in housing that is prohibited by which of the following acts of congress?

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Blockbusting, which is persuading someone to sell their home by claiming that minority groups are moving into the area, is prohibited by the Fair Housing Act.

The Fair Housing Act is a federal law that prohibits discrimination in housing based on race, color, national origin, religion, sex, familial status, and disability. Blockbusting is a tactic used to create panic and fear in a community by convincing residents that the arrival of minority groups will lead to decreased property values and increased crime rates. This tactic is a clear violation of the Fair Housing Act's provisions against discrimination.

Blockbusting is a practice that has historically been used to promote discrimination and segregation in housing. It involves persuading homeowners to sell their properties by spreading false rumors that minority groups are moving into the area. By creating fear and panic in a community, blockbusters hope to drive down property values and encourage white homeowners to sell their homes at lower prices. Once these homes are sold, the blockbusters then resell them to minority buyers at inflated prices, profiting from the discrimination they helped create.

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Entry into a market by new firms will increase the.

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When new firms enter a market, it can lead to increased competition and innovation. This can ultimately benefit consumers by offering more choices and potentially lower prices.

However, it can also put pressure on existing firms to adapt and improve their products and services to stay competitive. Additionally, new firms may struggle to gain market share if they cannot offer something unique or if existing firms have already established strong brand recognition.

Overall, the impact of new firms entering a market depends on a variety of factors, such as the level of competition, consumer demand, and the ability of both new and existing firms to adapt to changing market conditions. In conclusion, entry into a market by new firms can have both positive and negative effects, and it is important to carefully consider the potential outcomes before making any decisions.
Entry into a market by new firms will increase the competition and supply of products or services.

When new firms enter a market, they introduce their own unique offerings, which may differ from existing options in terms of features, pricing, or quality. This increased variety is beneficial for consumers, as it provides them with more choices to select from. Furthermore, the new entrants often strive to attract customers by offering better deals or innovative products, prompting the existing firms to improve their offerings as well in order to stay competitive.

This process ultimately leads to a more efficient market, where resources are allocated more effectively, and prices reflect the true value of goods and services. As a result, the overall welfare of society is improved, with both consumers and producers benefitting from the content-loaded market dynamics that are set in motion by the entry of new firms.

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________ refers to a situation where a government does not attempt to influence through quotas or duties what its citizens can buy from another country.

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The term you're looking for is "free trade." Free trade refers to a situation where a government does not attempt to influence through quotas or duties what its citizens can buy from another country, allowing for open exchange of goods and services without barriers.

Free trade refers to a situation where a government does not attempt to influence through quotas or duties what its citizens can buy from another country. Free trade allows for the exchange of goods and services across borders without interference or restrictions from the government. This type of trade promotes economic growth and benefits consumers by providing access to a wider variety of goods at lower prices. However, there are also potential negative impacts on domestic industries and workers, which is why some governments may choose to implement protectionist policies. In summary, free trade is a long answer that describes a situation where the government does not interfere with international trade.

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a putable bond gives the bond holders the right a. to sell the bond back to the corporation at the original purchase price. b. to sell the bond back to the corporation at a stated premium. c. to sell the bond back to the corporation at the current market value. d. to sell the bond back to the corporation at par.

Answers

The correct option is D.  A putable bond gives the bondholders the right to sell the bond back to the corporation at par.

A putable bond is a type of bond that gives the bondholder the right, but not the obligation, to sell the bond back to the corporation before the maturity date. The answer to your question is option b - to sell the bond back to the corporation at a stated premium. This means that the bondholder has the option to sell the bond back to the corporation at a price that is higher than the original purchase price. The stated premium is typically set at the time the bond is issued and is based on prevailing market conditions. It's important to note that the bondholder can only exercise this option if they feel that the market conditions have changed in a way that makes it advantageous for them to do so.

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at mike's bakery, the cost of making one croissant is $1.00. if mike sells 15 croissants and gains producer surplus of $45.00, then mike must be selling his croissants for

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Mike's producer surplus indicates the difference between the cost of making one croissant and the price at which he sells them. If he gains a producer surplus of $45 by selling 15 croissants, we can calculate the price at which he sells them by dividing the surplus by the number of croissants sold:

Producer Surplus = Price - Cost

$45 = Price - $1.00

Price = $46.00

Therefore, Mike must be selling his croissants for $46.00 each at his bakery.
At Mike's Bakery, the cost of making one croissant is $1.00. To find the selling price, we'll use the information provided about the producer surplus and the number of croissants sold.

1. Calculate total cost of making 15 croissants: 15 croissants * $1.00/croissant = $15.00

2. Calculate total revenue including the producer surplus: $15.00 (total cost) + $45.00 (producer surplus) = $60.00

3. Divide the total revenue by the number of croissants to find the selling price per croissant: $60.00 / 15 croissants = $4.00 per croissant

Mike must be selling his croissants for $4.00 each to gain a producer surplus of $45.00 when selling 15 croissants.

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Place in order the events that occur in the short run when the federal reserve enacts expansionary monetary policy.

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Expansionary monetary policy refers to a set of actions that the Federal Reserve takes to stimulate economic growth by increasing the supply of money and lowering interest rates. When the Fed enacts expansionary monetary policy, the following events occur in the short run:

1. The Fed buys government securities: One of the primary ways the Fed increases the supply of money is by purchasing government securities from banks. This increases the banks' reserves and gives them more money to lend out to consumers and businesses

2. Lower interest rates: As banks have more money to lend, they lower their interest rates to entice more borrowers. Lower interest rates make borrowing more affordable, which can stimulate spending and investment.
3. Increased borrowing: With lower interest rates, consumers and businesses are more likely to take out loans to make purchases or invest in projects. This increased borrowing can stimulate economic growth in the short run.

4. Increased money supply: As more loans are made and more money is circulated, the overall money supply in the economy increases. This increased money supply can further stimulate spending and investment, leading to short-run economic growth.
5. Potential inflation: One downside of expansionary monetary policy is the potential for inflation. As more money is circulating in the economy, there is more demand for goods and services, which can lead to higher prices. This inflation can be a concern in the long run, so the Fed needs to balance the benefits of expansionary policy with the potential for inflation.

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Miley, inc. Has excess capacity. Under what situations should the company accept a special order for less than the current selling price?.

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Miley, Inc. should consider accepting a special order for less than the current selling price when the incremental revenue from the order exceeds the incremental costs.

This means that the additional revenue generated from accepting the order should cover the variable costs of production, such as direct labor and materials, and contribute towards covering the fixed costs of the company's excess capacity. The company should also consider the long-term impact of accepting the order on its reputation, brand image, and relationships with existing customers.

If the order aligns with the company's strategic goals and does not harm its existing business, it may be worthwhile to accept it to generate additional revenue and utilize the excess capacity. In summary, Miley, Inc. should accept a special order for less than the current selling price if the incremental costs are lower than the additional revenue, the opportunity cost is low, and there is potential for future business growth.

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When $100 is deposited in the banking system, it leads to maximum expansion in bank deposits of $1,000. What is the required reserve ratio assuming that the excess reserves are o O 5% O 10% O 20% 0 0% Question 3 1 pts When you purchase a T-shirt for $25, money is serving which function? Medium of exchange Store of value Standard of deferred payments O Unit of account

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The required reserve ratio in this case is 10%.

The required reserve ratio can be calculated using the money multiplier formula:

Money multiplier = 1 / Required reserve ratio

Given that a $100 deposit leads to a maximum expansion of $1,000 in bank deposits, we can set up the following equation:

1,000 = 100 / Required reserve ratio

Solving for the required reserve ratio, we get:

Required reserve ratio = 100 / 1,000

Required reserve ratio = 0.1 or 10%

Therefore, the required reserve ratio in this case is 10%.

When you purchase a T-shirt for $25, money is serving the function of a medium of exchange. This means that money is being used to facilitate the transaction and exchange goods or services.

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Which of the following monetary policy actions by the Federal Reserve would result in an appreciation of the United States dollar?(a) An open-market purchase of government bonds(b) An open-market sale of government bonds(c) A decrease in the discount rate(d) A decrease in the required reserve ratio(e) An increase in the money supply

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When the Federal Reserve conducts an open-market sale of government bonds, it reduces the supply of money in the economy. This leads to an increase in interest rates, which makes investing in U.S. (b) An open-market sale of government bonds.

Assets more attractive to foreign investors. As a result, the demand for dollars increases, leading to an appreciation of the U.S. dollar.

On the other hand, an open-market purchase of government bonds, a decrease in the discount rate, a decrease in the required reserve ratio, or an increase in the money supply would increase the supply of money in the economy, leading to lower interest rates and a depreciation of the U.S. dollar.

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The central bank of Country A has become concerned about a steep decline in investment spending. (a) Calculate the simple money multiplier.

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The simple money multiplier in Country A is 10. This means that for every $1 increase in the reserves of the banking system, up to $10 of new money can be created through the process of deposit creation.

The simple money multiplier can be calculated as:

Simple Money Multiplier = 1 / Reserve Ratio

= 1 / 0.1

= 10

A banking system refers to a network of financial institutions, such as banks, credit unions, and other financial intermediaries, that provide a variety of financial services to individuals and businesses. These services include deposit taking, lending, payment processing, and investment management.

The banking system plays a critical role in the economy by facilitating the flow of money and credit. Banks accept deposits from customers and use those funds to make loans and investments, which in turn stimulate economic activity. Banks also provide a range of financial products and services, such as mortgages, credit cards, and insurance, which help individuals and businesses manage their finances and mitigate risks.

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janet sells a share of harper short at $9.80 per share, and at some future date covers her short position (gets out of his short position) when harper is trading at $14.70. what is janet's profit or loss on the trade?

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Since the question states that she covered her position at a higher price, we can conclude that Janet made a profit of $4.90 per share, or $490 if she sold 100 shares.

To calculate Janet's profit or loss on the trade, we need to consider the difference between the selling price and the covering price. Janet sold a share of Harper short at $9.80 and covered her position when Harper was trading at $14.70, which means the difference is $14.70 - $9.80 = $4.90 per share. If Janet sold one share, her profit would be $4.90. However, we don't know how many shares Janet sold, so we need to take that into account. If Janet sold 100 shares, her profit would be $490 (100 shares x $4.90 per share). On the other hand, if Janet covered her position at a price lower than the selling price, she would have incurred a loss instead of a profit.

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_____ enables a restaurant operator to price control and monitor the entire menu, and generate a detailed item analysis and insight into what inventory usage and cost sales should be.

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Menu Engineering enables a restaurant operator to price control and monitor the entire menu, and generate a detailed item analysis and insight into what inventory usage and cost sales should be.

Menu engineering refers to the process of strategically designing and pricing a menu in order to increase profitability and efficiency.

By analyzing data on sales, customer preferences, and inventory costs, restaurant operators can determine which items to feature prominently on the menu, which items to price higher or lower, and which items to remove altogether.

This allows for greater control over menu pricing and inventory usage, leading to increased profitability. Through menu engineering, a restaurant operator can identify the most profitable items and adjust the menu accordingly.

For example, high-profit items can be placed in strategic locations on the menu or highlighted with attractive imagery or descriptions. Similarly, items that are not selling well can be re-priced or removed from the menu entirely.

In summary, menu engineering enables restaurant operators to optimize their menus for profitability and efficiency by analyzing sales data and inventory costs.

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