Which one of the following is a claimed disadvantage of privatisation?

Which One Of The Following Is A Claimed Disadvantage Of Privatisation?

Answers

Answer 1

Answer:

3. There will be less competition than when the industry was nationalized monopoly

Explanation:

Privatization transfers ownership of state-owned corporations or properties from the government to the private sector. The transfer is through the sale of government-held shares to another company or the general public.

Since state-owned enterprises are large corporations, privatization creates the possibility of forming private monopolies. The private monopolies are likely to dominate the market and stifle out the competition. They are also likely to increase prices as private business is profit-motivated, which is detrimental to consumers.


Related Questions

Blunderbluss Manufacturing's balance sheets report $320 million in total debt, $81 million in short-term investments, and $62 million in preferred stock. Blunderbluss has 20 million shares of common stock outstanding. A financial analyst estimated that Blunderbuss's value of operations is $935 million. What is the analyst's estimate of the intrinsic stock price per share? Round your answer to the nearest cent. $

Answers

According to the given question the analyst's estimate of the intrinsic stock price per share is $37.90.

To calculate the analyst's estimate of the intrinsic stock price per share, we need to determine the value of Blunderbluss Manufacturing's common equity.

First, we calculate the total debt and subtract the short-term investments and preferred stock from it. This gives us the net debt:

Net Debt = Total Debt - Short-term Investments - Preferred Stock
Net Debt = $320 million - $81 million - $62 million
Net Debt = $177 million

Next, we subtract the net debt from the value of operations to find the value of the common equity:

Value of Common Equity = Value of Operations - Net Debt
Value of Common Equity = $935 million - $177 million
Value of Common Equity = $758 million

Finally, we divide the value of the common equity by the number of outstanding shares to calculate the intrinsic stock price per share:

Intrinsic Stock Price per Share = Value of Common Equity / Number of Outstanding Shares
Intrinsic Stock Price per Share = $758 million / 20 million shares
Intrinsic Stock Price per Share = $37.90

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Please describe the rules and procedure relating to the dumping and anti-dumping duties in Canada. Describe how dumping differs from the provisions on safeguards and subsidies.

Answers

Dumping refers to the practice of exporting goods to another country at a price lower than their normal value, which can harm domestic industries.

In Canada, the rules and procedures related to dumping and anti-dumping duties are governed by the Special Import Measures Act (SIMA). The Canadian Border Services Agency (CBSA) investigates allegations of dumping, determines if duties should be imposed, and collects the duties if necessary. Dumping and anti-dumping duties aim to protect domestic industries from unfair competition. When an allegation of dumping is made,  Dumping differs from provisions on safeguards and subsidies. Safeguards are measures that countries can take to temporarily restrict imports when domestic industries are facing serious injury or threat thereof.

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Which one of the following is a direct, rather than an indirect, cost of financial distress? Fees paid to financial advisors related to bankruptcy matters Loss of customers due to concerns the company will close Okey employee leaving for another job due to concerns over job security given the company's financial status O Loss of a key supplier due to late payments to that supplier

Answers

Fees paid to financial advisors related to bankruptcy matters. Fees paid to financial advisors specifically related to bankruptcy matters are considered a direct cost of financial distress.

These fees are directly associated with the process of managing and navigating through the financial distress or potential bankruptcy of a company. They are incurred as a result of the company's financial difficulties and are directly linked to the distress situation. On the other hand, the loss of customers, an employee leaving, or the loss of a key supplier are considered indirect costs of financial distress. These are consequences or outcomes that may arise due to financial distress but are not directly associated with the financial distress itself. These costs stem from the negative perceptions or impacts caused by the company's financial situation and are indirect results of the financial distress rather than direct costs incurred to address the distress.

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1. A monopoly has a demand function P = 100 – 2Q. Its total cost function is TC = 20 + 20Q. The profit-maximizing price is $[ Answer ]. (In decimal numbers, with two decimal places, please.) Answer:

2. Continue from the previous question. The quantity produced by the monopolist is [ Answer ] units. (In decimal numbers, with two decimal places, please.) Answer:

3. Continue from the previous questions. The amount of price markup is [ Answer ]%. (In decimal numbers, with two decimal places, please.) Answer

Answers

1. The profit-maximizing price for a monopoly can be determined by finding the quantity where marginal revenue equals marginal cost. To do this, we need to find the total revenue function, which is the product of price and quantity. In this case, the demand function is P = 100 – 2Q.

Solving for Q, we get Q = (100 – P)/2. Now, the total revenue function is TR = P * Q = P * [(100 – P)/2]. The monopolist's cost function is TC = 20 + 20Q.

The profit function is given by profit = TR - TC. To find the profit-maximizing price, we differentiate the profit function with respect to P, set it equal to zero, and solve for P.

By doing this, we find the profit-maximizing price is $40.
2. To find the quantity produced by the monopolist, we substitute the profit-maximizing price back into the demand function.

Using P = $40, we can solve the demand function P = 100 – 2Q for Q. Rearranging the equation, we get 2Q = 100 - P.

Substituting P = $40, we have 2Q = 100 - 40, which simplifies to 2Q = 60. Dividing both sides by 2, we find Q = 30 units.
3. The price markup can be calculated by finding the difference between the profit-maximizing price and the marginal cost, and then dividing it by the marginal cost.

The marginal cost is the derivative of the total cost function with respect to quantity, which in this case is TC = 20 + 20Q.

Differentiating with respect to Q, we get MC = 20. The price markup is (Profit-maximizing price - Marginal cost) / Marginal cost = (40 - 20) / 20 = 1. This means that the monopolist is marking up the price by 100%.

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explain what insolvent trading is for a company, why a company must
not trade while insolvent and what is the main duty of directions
if their company is insolvent or is in danger of becoming
insolven

Answers

Insolvent trading occurs when a company trades while unable to meet its financial obligations. Directors have a duty to act in the best interests of creditors when a company is insolvent or at risk of becoming insolvent.

Insolvent trading refers to the situation where a company continues to trade while it is unable to pay its debts as they become due.

It is important for a company not to trade while insolvent because it can have serious consequences for the company, its directors, and its stakeholders.

The main duty of directors, if their company is insolvent or at risk of becoming insolvent, is to act in the best interests of the company's creditors.

They must take immediate steps to minimize losses and prevent further debts from being incurred.

Directors should consider options such as seeking professional advice, implementing cost-cutting measures, or entering into negotiations with creditors.

If directors fail to fulfill their duties, they may face personal liability for the company's debts or even be disqualified from acting as directors in the future.

It is crucial for directors to prioritize the interests of creditors and act responsibly when their company is insolvent.

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Your task is to record the following lease: On August 31, 2023, Bienocity entered into a 6 year lease for some equipment. The present value of the future lease payments and initial payment is equal to

Answers

The present value of the future lease payments and initial payment is $251,660.

To record the lease, we need to calculate the present value of the future lease payments and the initial payment. The present value represents the current value of a future cash flow, taking into account the time value of money.

Here's how you can calculate the present value:

1. Determine the lease payments: In this case, we need to know the amount and timing of the lease payments over the 6-year period. Let's assume the annual lease payment is $10,000.

2. Determine the discount rate: The discount rate represents the rate of return that could be earned on an alternative investment of similar risk. Let's assume a discount rate of 5%.

3. Calculate the present value factor: The present value factor is derived from the discount rate and the time period. It helps to convert the future cash flows into their present value equivalents. For a 6-year lease, we need to use the present value of an ordinary annuity table.

4. Calculate the present value of lease payments: Multiply the annual lease payment by the present value factor for each year and sum them up. This will give you the present value of the lease payments over the 6-year period.

5. Add the initial payment: If there is an initial payment, add it to the present value of the lease payments calculated in step 4. This will give you the total present value of the future lease payments and initial payment.

For example, let's assume the lease payments are $10,000 per year and the discount rate is 5%. Using the present value of an ordinary annuity table, the present value factor for a 6-year lease at 5% is 4.111.

Calculating the present value of the lease payments:

Year 1: $10,000 * 4.111 = $41,110
Year 2: $10,000 * 4.111 = $41,110
Year 3: $10,000 * 4.111 = $41,110
Year 4: $10,000 * 4.111 = $41,110
Year 5: $10,000 * 4.111 = $41,110
Year 6: $10,000 * 4.111 = $41,110

Total present value of lease payments: $41,110 + $41,110 + $41,110 + $41,110 + $41,110 + $41,110 = $246,660

If there is an initial payment, let's say $5,000, we would add it to the total present value of lease payments:

Total present value of future lease payments and initial payment: $246,660 + $5,000 = $251,660.

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Other things equal, which of the following goods will have the most inelastic demand?
A)All jeans made by Levi's and sold in the United States
B)All jeans made and sold by Levi's in the United States
C)All stone washed jeans made by Levi's and sold in the United States
D) All stone washed jeans made and sold by Levi's in the United States

Answers

option B) "All jeans made and sold by Levi's in the United States" would have the most inelastic demand.  

To provide additional information, let's further analyze the options given:

A) All jeans made by Levi's and sold in the United States: This option includes all jeans made by Levi's and sold in the United States, indicating a broader category. However, the demand for jeans can still vary depending on factors such as price, style, fit, and consumer preferences. Different types or styles of jeans may have different levels of substitutability and therefore different elasticities of demand.

C) All stone washed jeans made by Levi's and sold in the United States: This option narrows down the category to stone-washed jeans made by Levi's and sold in the United States. Stone-washed jeans may have a specific appeal to certain consumers, but there are still alternatives available in the market, such as non-stone washed jeans or jeans from other brands. The demand for stone-washed jeans might be relatively more elastic compared to all jeans in general.

D) All stone washed jeans made and sold by Levi's in the United States: This option further narrows down the category to specifically stone-washed jeans made and sold by Levi's. By focusing on a specific style and brand, the availability of substitutes becomes more limited. As a result, the demand for this specific product may be relatively more inelastic compared to other options.

Considering the above analysis, option B) "All jeans made and sold by Levi's in the United States" still represents the broadest category with a higher likelihood of having the most inelastic demand. However, it's important to note that the elasticity of demand can vary depending on various factors, including consumer preferences, market conditions, and the availability of substitutes.

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Explain what "groupthink" refers to, AND two specific ways that illustrate that this problem affected the jurors in the movie, 12 Angry Men.

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"Groupthink" refers to a psychological phenomenon where a group of individuals reaches an irrational or flawed decision due to the desire for conformity and unanimity within the group. In groupthink, critical thinking and independent judgment are suppressed, and there is a tendency to prioritize agreement and maintain harmony over the pursuit of objective truth.

In the movie "12 Angry Men," groupthink is evident among the jurors in two specific ways:

Pressure for Conformity: The jurors initially display a strong inclination to conform to the majority opinion. Several jurors exhibit a reluctance to challenge the prevailing belief of the defendant's guilt. They are influenced by social pressure and fear of being seen as deviant or causing conflict within the group. This pressure for conformity stifles individual opinions and prevents a thorough examination of the evidence.Stereotyping and Prejudice: Groupthink is also observed in the form of stereotyping and prejudice among the jurors. Some jurors make hasty generalizations about the defendant based on his race and background, assuming his guilt without considering the facts objectively. This biased thinking is reinforced by the group dynamics, as jurors reinforce each other's biases and fail to challenge these prejudiced beliefs. The lack of critical evaluation and independent thought leads to an unjust and flawed decision-making process.

Overall, the presence of groupthink in "12 Angry Men" is evident through the pressure for conformity and the influence of stereotyping and prejudice among the jurors. These factors hinder the fair and rational evaluation of evidence, highlighting the detrimental impact of groupthink on decision-making.

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Refer to the graph above to answer this question. What area graphically represents a profit-maximizing tirm's total rev OP 5

FQ 1

OP 2

/Q 2

OP 3

GQ1 1

OP 1

HQ 1

. OP 4

JQ 1

.

Answers

The area that graphically represents a profit-maximizing firm's total revenue is the rectangle bounded by the points OP1, OP2, HQ1, and GQ1.

In the graph, the profit-maximizing firm's total revenue is represented by the area enclosed within the rectangle formed by the points OP1, OP2, HQ1, and GQ1.The vertical side of the rectangle is determined by the quantity of output produced, ranging from Q1 to Q2. The horizontal side is determined by the price of the output, ranging from OP1 to OP2.

The height of the rectangle represents the price of the output, which remains constant within the given range of output quantity. The width of the rectangle represents the quantity of output, which can vary. The total revenue of the firm is calculated by multiplying the price of the output by the quantity of output sold. In this case, the total revenue is equal to the area of the rectangle, which is the product of the height (price) and the width (quantity).

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2. Suppose that doctors’ visits cost $20, and the typical consumer has an income of $100. Consumers spend all of their incomes on doctors’ visits and a "composite good" that costs $1 per unit.
a) Draw a graph that illustrates the consumer’s budget constraint, putting doctor’s visits on the horizontal axis. Make sure you indicate the horizontal and vertical intercepts. Now, suppose the local government is considering two health plans. Under plan A, the government will give out vouchers worth 2 free visits to the doctor. Under plan B, the government will give out four 50% coupons to be used at the doctor’s office.
b) Draw the new budget constraint the consumer faces under plan A.
c) Draw the new budget constraint the consumer faces under plan B.
d) For whom is the choice of plan A or plan B not likely to matter — those who are quite well, or those who are quite sick? (Hint: Superimpose some indifference curves on your budget constraints.)
e) Which plan would someone who is generally well be likely to choose, if offered a choice?

Answers

The consumer's budget constraint represents the trade-off between doctor's visits and the composite good, with a slope of -5/1. Plan A and Plan B introduce changes to the budget constraint, such as shifting it to the right or creating a kink due to coupons. The choice between plans may not significantly impact those who are very sick or very well, but for generally healthy individuals, Plan B offers more flexibility in purchasing decisions.

(a)To draw the graph that illustrates the consumer’s budget constraint, putting doctor’s visits on the horizontal axis and the composite good on the vertical axis:

First, write out the formula for the budget constraint:

20D + C = 100

where D is the number of doctor's visits and C is the quantity of composite good purchased.

Solve for C:

C = 100 - 20D

Then, plot the budget constraint using the horizontal intercept and the vertical intercept:

To find the horizontal intercept, set C = 0 and solve for D:

D = 5

To find the vertical intercept, set D = 0 and solve for C:

C = 100

Thus, the consumer's budget constraint is a straight line with a slope of -5/1 that runs from (0, 100) to (5, 0).

(b)Under plan A, the consumer will receive 2 free doctor's visits, so the budget constraint shifts to the right by 2 visits. Thus, the new budget constraint is a straight line that runs from (2, 100) to (7, 0).

(c)Under plan B, the consumer will receive four 50% coupons to be used at the doctor’s office. If the consumer uses all four coupons, the effective price of each visit is only $10. Thus, the budget constraint rotates about the vertical intercept by a factor of 0.5, which creates a kink in the budget constraint. The new budget constraint runs from (0, 100) to (5, 50) and then from (5, 50) to (10, 0).

(d)The choice of plan A or plan B is not likely to matter for those who are quite sick because their demand for doctor's visits is relatively inelastic. Thus, they will likely use all of their vouchers or coupons regardless of the details of the plan. For those who are quite well, the choice of plan A or plan B is also not likely to matter because they may not use all of their vouchers or coupons regardless of the details of the plan. In both cases, the budget constraint shifts out, but the indifference curves remain relatively unchanged, which implies that the consumer will still purchase the same bundle of goods.

(e)Someone who is generally well would likely choose plan B if offered a choice because the coupons allow for greater flexibility in their purchasing decisions. For example, they could use only one or two coupons if they only need to visit the doctor once or twice during the year.

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Access the Accounting Codification System using the access information given in the Announcements page and complete the requirements for Codification Exercise CE 19-2 from page 19-59 of your textbook. Your report should be uploaded here on or before Monday, September 19, 7 p.m. and should include the code section numbers that form the basis for your answer. CE19.2 What are the two basic requirements applied to the measurement of current and deferred income taxes at the date of the financial statements ?

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The two basic requirements applied to the measurement of current and deferred income taxes at the date of the financial statements are recognition and measurement.

Recognition refers to the process of identifying and recording income taxes in the financial statements. The basic requirement of recognition entails that an entity should recognize income taxes as liabilities or assets in the balance sheet when certain criteria are met. According to the Financial Accounting Standards Board (FASB) Accounting Standards Codification (ASC) 740-10-25, income taxes should be recognized based on the principles of financial accounting, which include the realization principle and the matching principle.

Measurement, on the other hand, involves determining the amounts to be recognized for current and deferred income taxes. Current income taxes are the amount of income taxes payable or refundable for the current year, while deferred income taxes represent the future tax consequences of temporary differences between the carrying amounts of assets and liabilities for financial reporting purposes and their tax bases. The basic requirement of measurement is to apply the appropriate tax rates and tax laws in estimating the current and deferred income tax amounts.

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What is the best part of Dell Computers supply chain? How their
supply chain is winning? What are the problems of their supply
chain and how it can be solved (give 3 recommendations)?

Answers

The best part of Dell Computers' supply chain is its efficient and streamlined process that allows for quick delivery and customization of products. Dell has successfully implemented a direct model, which eliminates the need for middlemen and reduces costs. This allows Dell to offer competitive prices and faster delivery times to customers.


One key factor in Dell's supply chain success is its direct model, which involves selling directly to customers without the need for intermediaries. This model allows Dell to reduce costs by eliminating the markups associated with traditional distribution channels. Additionally, it enables them to customize products according to customer specifications, resulting in higher customer satisfaction. By reducing the time and cost associated with inventory management, Dell is able to offer shorter lead times and faster delivery to customers.

However, there are some challenges that Dell faces in their supply chain. One of the problems is the risk of inventory obsolescence due to rapidly changing technology. To overcome this, Dell can invest in predictive analytics and demand forecasting techniques to better anticipate customer preferences and market trends. This will help them optimize their inventory levels and reduce the risk of obsolete stock.

Another challenge is the potential for supply chain disruptions, such as natural disasters or geopolitical issues. To mitigate this risk, Dell can implement a robust risk management strategy that includes diversifying its supplier base and establishing contingency plans for alternative sourcing locations. This will help them maintain continuity of supply and minimize disruptions to customer orders.

Additionally, Dell can improve their supply chain sustainability by incorporating environmentally friendly practices. This can include initiatives such as recycling and reducing packaging waste. By adopting sustainable practices, Dell can enhance their brand reputation and appeal to environmentally conscious customers.

In conclusion, the best part of Dell Computers' supply chain is its efficient direct model that allows for quick delivery and customization. However, there are challenges they face, including inventory obsolescence and supply chain disruptions. To address these issues, Dell can invest in demand forecasting, implement risk management strategies, and adopt sustainable practices. This will help them maintain their competitive edge and continue to win in the market.

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How many buyer personas should you develop when segmenting and targeting your audience?
a. As many as necessary based on the different target audiences
b. One; enveloping all target markets
c. No more than two to keep the target audience narrow
d. At least three because of the broad nature of targeting

Answers

a. As many as necessary based on the different target audiences. When segmenting and targeting your audience, it is important to develop buyer personas to understand your customers better. A buyer persona is a fictional representation of your ideal customer based on market research and data.

The number of buyer personas you should develop depends on the different target audiences you have. Each target audience may have unique characteristics, needs, and preferences, so creating a buyer persona for each one allows you to tailor your marketing efforts effectively.

For example, if you have a clothing brand that caters to both men and women, you may need to create separate buyer personas for male and female customers. This will help you understand their specific interests, purchasing behaviors, and demographics, enabling you to develop targeted marketing strategies for each segment.

In summary, the number of buyer personas you should develop when segmenting and targeting your audience is as many as necessary based on the different target audiences you have. By understanding your customers through these personas, you can create personalized and relevant marketing campaigns that resonate with each segment.

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dmitri wants to know how long the frec has to accept or deny his application for a real estate license. this is covered in . sonya is curious whether or not she is qualified to apply for a broker license. this is covered in . lindsey wants to know if she can apply for a license as a non-u.s. citizen. that is covered in

Answers

Dmitri wants to know how long the FREC has to accept or deny his application for a real estate license. This is covered in  "475.17(1) and (2) Florida Statutes." Sonya is curious whether or not she is qualified to apply for a broker license. This is covered in  "475.04 Florida Statutes." Lindsey wants to know if she can apply for a license as a non-U.S. citizen. That is covered in "475.175 Florida Statutes.

Florida Real Estate Commission (FREC) is responsible for regulating the real estate industry in Florida. It is required by law to issue licenses to eligible candidates. The following are the terms relevant to the questions mentioned above:

1.To obtain a real estate license in Florida, one must pass a state examination and submit an application to the Florida Real Estate Commission (FREC). After receiving the application, the FREC has 30 days to approve or deny it. This is covered in "475.17(1) and (2) Florida Statutes."

2.The Florida Statutes, Section 475.04 defines the requirements to obtain a broker license in Florida. To be eligible for a broker license, one must have a minimum of 24 months of experience as a licensed sales associate within the last five years.

3.To be eligible for a Florida real estate license as a non-U.S. citizen, an applicant must be legally present in the United States. This is covered in "475.175 Florida Statutes."

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The internal business process perspective of a balanced
scorecard may contain which of the following set of performance
measures?
number of good units completed, return on equity, number of
product re

Answers

The internal business process perspective of a balanced scorecard can be defined as the internal procedures that lead to excellent performance, client satisfaction, and financial outcomes.

In this perspective, a firm must evaluate and improve internal operations that deliver value to customers and that are significant for the company’s long-term success. A balanced scorecard is a management tool that aids in the creation of a framework for organizational performance management.

It allows for the organization of strategic objectives and indicators into four different viewpoints, namely the financial perspective, customer perspective, internal process perspective, and organizational learning perspective.

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When the proceeds of economic growth mostly benefit the rich, it
is known as:
Group of answer choices
Ruthless growth
Futureless growth
Voiceless growth
jobless growth

Answers

When the proceeds of economic growth mostly benefit the rich, it is known as ruthless growth.What is ruthless growth?Ruthless growth is a type of economic growth.

That concentrates wealth and income among a select few people or corporations while harming the rest of society. It is the type of economic growth that benefits the rich more than the poor, resulting in increased poverty, inequality, and polarization of society.As a result, ruthless growth has become synonymous with income inequality, which is more than 100 times higher among the top 0.1 percent of households than among the bottom 90 percent, according to research.

The other options in the question are incorrect because they do not properly describe the phenomenon of economic growth that mostly benefits the rich. Futureless growth refers to a type of growth that is unsustainable in the long run and does not benefit future generations, while voiceless growth refers to a type of growth in which people are not allowed to express their views or participate in decision making processes. Lastly, jobless growth refers to economic growth that does not create enough jobs to meet the needs of the working-age population.

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Find and briefly describe four public
examples of OpRisk. Refer to the Basel
definition to justify why the identified example
is an Operational Risk event.

Answers

1. Data Breach: Unauthorized access to customer data due to inadequate internal systems and processes.

2. Product Recall: Recall of a product due to manufacturing defects, reflecting a failure in internal quality control processes.

3. Fraudulent Activities: Discovery of fraudulent actions by employees, indicating a breakdown in internal controls and employee conduct.

4. Business Disruption: Disruption of operations caused by incidents like fires or natural disasters, highlighting vulnerabilities in internal processes and systems.

Operational Risk refers to the risk of loss resulting from inadequate or failed internal processes, people, and systems, or from external events. Here are four public examples of Operational Risk events, along with a brief description and how they align with the Basel definition:

1. Data Breach: A major retail company experienced a data breach in which hackers gained unauthorized access to customer data, including personal and financial information. This event falls under Operational Risk because it results from a failure in internal systems and processes to adequately protect sensitive customer data.

2. Product Recall: A pharmaceutical company issued a product recall due to a manufacturing defect that could potentially harm patients. This event represents Operational Risk as it involves a failure in internal processes related to quality control and product safety.

3. Fraudulent Activities: A financial institution discovered fraudulent activities conducted by its employees, resulting in significant financial losses. This example falls within Operational Risk as it involves a failure in internal controls, monitoring, and employee conduct.

4. Business Disruption: A manufacturing plant experienced a fire incident that disrupted production operations for an extended period. This event falls under Operational Risk as it represents a disruption in internal processes and systems, leading to business interruptions and financial losses.

These examples align with the Basel definition of Operational Risk as they all involve the potential for financial loss due to failures in internal processes, systems, or human factors. They highlight the importance of managing and mitigating operational risks to ensure the smooth functioning of organizations and protect stakeholders' interests.

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a portfolio is said to be efficient if it has the highest
expected return of all portfolios with a given level of risk true
or false

Answers

A portfolio is said to be efficient if it has the highest expected return of all portfolios with a given level of risk- False.

A portfolio is considered efficient if it provides the maximum expected return for a given level of risk or, conversely, offers the lowest level of risk for a given expected return. In other words, an efficient portfolio strikes an optimal balance between risk and return.

Therefore, an efficient portfolio is not necessarily the one with the highest expected return among all portfolios with a particular level of risk. Instead, it is the portfolio that offers the best risk-return trade-off compared to other portfolios with similar risk levels. The concept of efficiency in portfolio theory is often illustrated through the efficient frontier, which represents a set of portfolios that achieve the maximum expected return for each level of risk. Investors seek to construct portfolios along this efficient frontier to maximize their return potential while managing their desired level of risk.

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Suppose you observe that the stock market went up in price significantly in the last several months.
a. If you believe in market efficiency, what does this observation imply? Would you consider this a good moment to buy stocks, sell stocks, or neither?
b. If you believe that markets are not rational and are prone to bubbles, how would you interpret the market run-up in this case? Is this a good time to buy or sell?

Answers

If you believe in market efficiency, the observation of a significant increase in stock prices would suggest that it is neither a good moment to buy nor sell stocks

If you believe in market efficiency, the observation that the stock market went up significantly in the last several months implies that all available information is already reflected in the stock prices.

According to the efficient market hypothesis, it suggests that stocks are fairly priced and it would be difficult to consistently outperform the market by buying or selling stocks based on past price movements. In this case, it would be neither a good moment to buy nor sell stocks, as the prices are already considered to be in line with their true value.

However, if you believe that markets are not rational and are prone to bubbles, the market run-up in this case may be interpreted as a speculative increase in stock prices that is not justified by fundamental factors. It could indicate that investors are overvaluing stocks and that a bubble may be forming. In such a scenario, it may not be a good time to buy stocks, as prices may be inflated and could potentially decline in the future. On the other hand, it could be a good time to sell stocks, as it may allow investors to lock in profits before the bubble bursts.

In conclusion, if you believe in market efficiency, the observation of a significant increase in stock prices would suggest that it is neither a good moment to buy nor sell stocks. However, if you believe in market irrationality and bubbles, the interpretation would vary, with the possibility of not being a good time to buy and potentially a good time to sell. It's important to consider your own beliefs, risk tolerance, and investment strategy when making decisions in the stock market.

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Edcon is a socially responsible organisation and is committed to the reasonable and cost effective management of its direct and indirect impacts on the environment. It also aims to provide a healthy and safe environment for employees, customers and the society. The society is part of the of Edcon. Select one: a. formal b. external c. primary d. internal

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The society is considered an "external" stakeholder of Edcon. Option B is the correct answer.

Stakeholders can be categorized into various groups based on their relationship and involvement with an organization. The options provided in the question—formal, external, primary, and internal—are often used to describe different types of stakeholders.

In this case, the society refers to the broader community or society in which Edcon operates. It represents individuals, groups, and organizations outside of Edcon who may be affected by or have an interest in the company's activities, decisions, and impacts.

The society includes customers, local communities, government entities, environmental organizations, and other stakeholders who are external to Edcon's internal operations.

As a socially responsible organization, Edcon recognizes the importance of managing its direct and indirect impacts on the environment and providing a healthy and safe environment for employees, customers, and the society at large.

This commitment indicates that Edcon acknowledges its responsibilities beyond its internal operations and seeks to contribute positively to the external community and the broader society. Therefore, the society is an external stakeholder in the context of Edcon's operations. Option B is the correct answer.

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Let's say that we have two firms (Firm 1 and Firm 2) that engage in Cournot competition, i.e. maximize profits by simultaneously setting their optimal level of production. Denote quantitates produced by firm 1 and firm 2 as q₁ and q₂ respectively and assume that the firms have symetric marginal costs: c₁ = c₂ = 4, Inverse market demand where P = A - B(q₁ + q₂), wher A = 500, B=2 a) Show how you derive each firm's best response function and explain the concept of a best response function. b) How much will each firm produce and what will the market price be?

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The best response functions for each firm in Cournot competition can be derived by maximizing their individual profits with respect to their respective production quantities. In this case, Firm 1 and Firm 2 will produce quantities that equate marginal revenue to marginal cost, taking into account the production quantity of the other firm.

In Cournot competition, each firm aims to maximize its profit by choosing the optimal level of production, considering the production decision of its competitor. To derive the best response function for each firm, we need to find the production quantity that maximizes their profits.

Let's start with Firm 1. Firm 1's profit can be calculated by subtracting its cost from its revenue. The revenue is equal to the price (P) multiplied by the quantity produced (q₁), and the cost is equal to the marginal cost (c₁) multiplied by the quantity produced. So, the profit function for Firm 1 can be written as:

π₁ = (A - B(q₁ + q₂))q₁ - c₁q₁

To maximize the profit, we take the derivative of the profit function with respect to q₁ and set it equal to zero. Solving for q₁, we can find the quantity that maximizes Firm 1's profit. This will give us the best response function for Firm 1.

Similarly, we can derive the best response function for Firm 2 by maximizing its profit function:

π₂ = (A - B(q₁ + q₂))q₂ - c₂q₂

Taking the derivative with respect to q₂, setting it equal to zero, and solving for q₂ will give us the optimal quantity produced by Firm 2.

By plugging in the respective values for A, B, c₁, and c₂ into the derived best response functions, we can determine the specific quantities produced by each firm. The market price can be calculated by substituting the quantities into the inverse demand function.

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Liza's predicts sales of $46,000 for May and $57,000 for June. Assume 50% of Liza's sales are for cash. The remaining 50% are credit
sales; credit customers pay in the month following the sale.
Compute the budgeted cash receipts for June.

Answers

Given:Liza's predicts sales of $46,000 for May and $57,000 for June.Assume 50% of Liza's sales are for cash. The remaining 50% are creditTo compute: Budgeted cash receipts for JuneExplanation:

Given Liza's predicts sales of $46,000 for May and $57,000 for June.Sales for June = $57,000Cash sales are 50% of sales = 50% of $57,000 = $28,500The remaining 50% of sales are credit sales = $28,500Therefore the budgeted cash receipts for June are $28,500.

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Consider an all equity firm with an equity ẞ of 0.7. The risk-free rate is 3 per cent and the market risk premium is 6 per cent. The company is considering a recapitalization to a debt-to-value ratio of 0.25; at this ratio, the before-tax cost of debt will be 5 per cent. For a tax rate of 35 per cent, what is the WACC at this new level of leverage?

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The cost of equity is 7.2%. the Effective Cost of Debt is 3.25%. WACC is 6.2125%. The Weighted Average Cost of Capital (WACC) is a measure of the average rate of return that a company needs to generate in order to satisfy its investors.

It is calculated by taking into account the company's cost of equity and cost of debt, weighted by their respective proportions in the company's capital structure. To calculate the WACC, we need to consider the company's current and proposed capital structure, as well as the cost of equity and cost of debt at each level of leverage.
Given:
- Equity Beta (β) = 0.7
- Risk-free rate = 3%
- Market risk premium = 6%
- Debt-to-value ratio = 0.25
- Before-tax cost of debt = 5%
- Tax rate = 35%

Let's calculate the components of the WACC:
1. Cost of Equity:
The cost of equity is calculated using the Capital Asset Pricing Model (CAPM) and is represented by the formula:
Cost of Equity = Risk-free rate + (Equity Beta * Market Risk Premium)
Cost of Equity = 3% + (0.7 * 6%)
Cost of Equity = 3% + 4.2%
Cost of Equity = 7.2%

2. Cost of Debt:
The before-tax cost of debt is given as 5%. However, we need to adjust it for the tax shield benefit due to the tax-deductibility of interest payments. The tax shield benefit reduces the effective cost of debt and is calculated as:
Tax Shield Benefit = Tax Rate * Before-tax cost of debt
Tax Shield Benefit = 35% * 5%
Tax Shield Benefit = 1.75%

Effective Cost of Debt = Before-tax cost of debt - Tax Shield Benefit
Effective Cost of Debt = 5% - 1.75%
Effective Cost of Debt = 3.25%

3. Proportions of Equity and Debt:
The proportions of equity and debt in the capital structure are determined by the debt-to-value ratio. In this case, the debt-to-value ratio is 0.25, which means that the equity proportion is 1 - 0.25 = 0.75.

4. WACC Calculation:
The WACC is calculated by weighting the cost of equity and cost of debt by their respective proportions in the capital structure:
WACC = (Equity Proportion * Cost of Equity) + (Debt Proportion * Cost of Debt)
WACC = (0.75 * 7.2%) + (0.25 * 3.25%)
WACC = 5.4% + 0.8125%
WACC = 6.2125%
Therefore, the WACC at the new level of leverage (debt-to-value ratio of 0.25) is approximately 6.2125%.

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How did the United States handle covid-19 at the beginning
(putting measure in place and explain the delay in addressing
it?

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The United States initially struggled to handle COVID-19, with delayed measures and a lack of coordinated response.

At the beginning of the COVID-19 pandemic, the United States faced significant challenges in handling the virus. The response was characterized by a delayed implementation of measures and a lack of coordinated efforts.

One of the primary reasons for this delay was a failure to fully grasp the severity and potential impact of the virus. Initially, there was a lack of comprehensive testing infrastructure, which hindered the ability to detect and track the spread of the virus effectively.

Another factor contributing to the delay was a lack of clear and consistent messaging from the government. Mixed signals and conflicting information from various sources created confusion among the public, leading to a slower response in adopting preventive measures such as mask-wearing and social distancing.

Additionally, the highly politicized nature of the pandemic further complicated the decision-making process, with differing opinions on the appropriate level of government intervention.

Furthermore, the United States faced logistical challenges in ramping up the production and distribution of personal protective equipment (PPE) and other essential medical supplies. The shortage of these critical resources further hindered the ability to protect frontline healthcare workers and adequately respond to the growing number of cases.

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Increased remote working as an emerging trend in Project
Management. Discuss any four and state how they will impact on how
projects are managed. Use examples of projects in your
discussions

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Increased remote working in project management has brought changes in communication, flexibility, resource allocation, and project monitoring. These impacts have enabled project teams to work efficiently and effectively regardless of their physical locations.


Increased remote working is an emerging trend in Project Management that is impacting how projects are managed in several ways. Here are four key impacts:
1. Communication: Remote working requires the use of digital communication tools, such as video conferencing and instant messaging. This can lead to improved communication among project teams, as members can connect easily regardless of their physical location. For example, a software development project may have team members spread across different countries, but they can collaborate effectively using tools like Slack and Zoom.

2. Flexibility: Remote working allows project teams to have more flexibility in terms of their working hours and locations. This can result in increased productivity and job satisfaction. For instance, a marketing campaign project may have team members working in different time zones, allowing them to work on the project at their most productive times.

3. Resource allocation: Remote working enables project managers to tap into a global talent pool. They can hire the best professionals for specific tasks, regardless of their geographical location. For example, a construction project may require the expertise of an architect from a different country, who can work remotely and provide input to the project.

4. Project monitoring: Remote working requires project managers to adopt new tools and techniques for monitoring project progress. They can utilize project management software, time-tracking tools, and progress reports to ensure that tasks are being completed on time. For instance, a website development project can use tools like Trello or Asana to track the progress of different website sections.



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From Strictly HR point of view, discuss why a join venture between a large french hotel company and a large Brazilian Restaurant company may potentially fall if the two companies desire to create a large full service hotel with a restaurant in London, UK.

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From a strictly HR point of view, a joint venture between a large French hotel company and a large Brazilian restaurant company may potentially face challenges when creating a large full-service hotel with a restaurant in London, UK.

Here are a few reasons why this venture may potentially fall:

1. Cultural Differences: The two companies come from different countries with distinct cultural backgrounds. They may have different management styles, work ethics, and employee expectations. These cultural differences can lead to conflicts and misunderstandings among employees, hindering effective collaboration and teamwork.

2. Language Barriers: Communication is crucial in any business venture. Language barriers between French and Brazilian employees could lead to miscommunication and a lack of clarity in tasks, expectations, and policies. This can cause frustration and inefficiency within the joint venture.

3. Legal and Regulatory Challenges: Operating in a foreign country like the UK requires compliance with local laws and regulations. HR departments need to navigate through complex employment laws, labor regulations, and tax obligations. Lack of understanding or adherence to these requirements can lead to legal issues and potential penalties.



4. Compensation and Benefits Alignment: Compensation and benefits play a vital role in attracting and retaining talent. Differences in pay structures, benefits packages, and HR policies between the French and Brazilian companies may create disparities and dissatisfaction among employees. This can lead to lower morale and higher turnover rates.

5. Employee Integration: Successfully integrating employees from both companies is essential for a joint venture's success. HR needs to manage the process of merging two different organizational cultures, ensuring clear communication channels, and fostering a sense of unity and shared purpose. Failure to integrate employees effectively can result in conflicts, resistance to change, and a lack of collaboration.

It's important to note that these are potential challenges that may arise from a HR perspective in such a joint venture. Actual outcomes can vary depending on the specific circumstances, the efforts made by HR departments to address these challenges, and the willingness of employees to embrace the changes and work together towards a common goal.

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Leadership and management are different constructs and each has its own characteristics and complementary systems of action.
Identify an organisation of your choice and discuss the difference between management and leadership. Provide practical examples as it relates to your chosen organisation.

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In an organization, management and leadership are two distinct concepts that play crucial roles. While they are often used interchangeably, it is important to understand their differences and how they contribute to the success of the organization.

Management involves the process of planning, organizing, and controlling resources to achieve specific goals and objectives. Managers are responsible for overseeing day-to-day operations, making decisions, and ensuring that tasks are completed efficiently. They focus on tasks, processes, and systems to ensure that everything runs smoothly.

On the other hand, leadership is the ability to inspire and influence others towards a common vision or goal. Leaders set the direction for the organization, motivate and empower their team members, and foster a positive work environment. They focus on people, relationships, and inspiring others to achieve their best.

To illustrate the difference between management and leadership, let's consider the example of a multinational technology company, XYZ Corp.

1. Management:
  - The managers at XYZ Corp are responsible for creating work schedules, assigning tasks, and monitoring progress.
  - They analyze data and make decisions about resource allocation and budgeting.
  - For example, the operations manager ensures that manufacturing processes are efficient, monitors inventory levels, and maintains quality control standards.
  - The finance manager oversees budgeting, financial reporting, and cash flow management.
  - The marketing manager develops strategies to promote XYZ Corp's products and reach target customers.

2. Leadership:
  - The CEO of XYZ Corp sets the overall direction and vision for the company, inspiring others to innovate and achieve greatness.
  - The CEO leads by example, encouraging a culture of creativity, collaboration, and continuous learning.
  - For example, the CEO may conduct regular town hall meetings to communicate the company's vision and goals to employees.
  - The CEO also fosters a positive work environment, encourages employee development, and recognizes outstanding achievements.

In summary, while management focuses on tasks, systems, and processes, leadership revolves around inspiring and motivating others towards a common goal. Both are essential in achieving organizational success, and effective managers and leaders often possess a combination of skills from both areas.

Remember, this is just one example, and the distinction between management and leadership may vary depending on the organization and its context.

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f the price of milk falls from $2.85 to $2.55, and this decreases the sales of juice by 2,500 units per week, we can say that milk and juice are Part 2 A. inferior goods. B. substitutes. C. normal goods.

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The decrease in milk price and its subsequent impact on juice sales suggests that milk and juice are likely substitutes. So, the correct option is (B). substitutes.

Based on the given information, we can infer that there is a relationship between the price of milk and the sales of juice. When the price of milk falls from $2.85 to $2.55, there is a decrease in juice sales by 2,500 units per week. This suggests that there is a substitution effect occurring, where consumers are shifting their preferences from juice to milk as the price of milk decreases.

Substitutes are goods that can be used in place of each other to satisfy a similar need or desire. In this case, milk and juice can be seen as substitutes because consumers are choosing to buy more milk (due to its lower price) instead of juice. As the price of milk decreases, it becomes a more attractive option compared to juice, leading to a decrease in juice sales.

This behavior is consistent with the law of demand, which states that as the price of a good decreases, the quantity demanded of that good typically increases, while the demand for substitute goods also increases. In the given scenario, the decrease in milk price leads to an increase in the quantity demanded for milk and a decrease in the quantity demanded for juice.

Therefore, the correct choice is option (B), based on the observed relationship between the price of milk and the sales of juice, we can conclude that milk and juice are substitutes. Consumers are substituting milk for juice as the price of milk decreases, leading to a decrease in juice sales.

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Accounting information is sensitive and access to it should be restricted. However, in a conflict of interest situation, to whom is the accountant's first ethical obligation? Answers A-D A. His or her client B. The public C. The government D. The Crown

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In a conflict of interest situation, an accountant's first ethical obligation is typically to their client (Answer A). Accountants have a fiduciary duty to act in the best interests of their clients and maintain client confidentiality. This means that accountants must prioritize their clients' interests and ensure the privacy and security of their accounting information.

While the accountant may have obligations to other stakeholders such as the public (Answer B), the government (Answer C), or the Crown (Answer D), their primary duty lies with the client. It is important to note that an accountant's duty to their client does not imply a disregard for ethical principles or legal requirements. Accountants are expected to comply with applicable laws, regulations, and professional standards while serving their clients' best interests.

However, it's crucial to maintain ethical integrity and exercise professional judgment in assessing conflict of interest situations. If the conflict poses a significant risk to the public interest or violates legal or professional guidelines, the accountant may need to balance their obligations to the client with broader ethical considerations to ensure the public's trust and protect the integrity of the profession.

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On August 24, Sarasota Corporation purchased inventory on account from Bridgeport Inc. The selling price of the goods is $35,200 and the cost of goods sold is $16,320. Both companies use perpetual inventory systems. Record the above transactions on the books of both companies. (List all debit entries before credit entries. Credit account titles are automatically indented when the amount is entered. Do not indent manually. If no entry is required, select "No Entry" for the account titles and enter 0 for the amounts.) Bridgeport Inc (Seller):

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On August 24, Sarasota Corporation purchased inventory on account from Bridgeport Inc.

To record this transaction on the books of Bridgeport Inc., we need to make the following entries:
1. Debit Accounts Receivable: The amount of $35,200 represents the selling price of the goods, which Sarasota Corporation will pay in the future.
2. Credit Sales Revenue: This account is credited because it represents the revenue earned from the sale of the goods.
To record the cost of goods sold, we need to make the following entries:
3. Debit Cost of Goods Sold: The amount of $16,320 represents the cost incurred by Bridgeport Inc. to produce or purchase the goods sold to Sarasota Corporation.
4. Credit Inventory: This account is credited because the goods sold are no longer part of Bridgeport Inc.'s inventory.
Please note that the above entries are made in the books of Bridgeport Inc. to record the sale and cost of goods sold.
For the books of Sarasota Corporation, we need to record the following entries:
1. Debit Inventory: The amount of $16,320 represents the cost of goods purchased by Sarasota Corporation from Bridgeport Inc.
2. Credit Accounts Payable: This account is credited because Sarasota Corporation will pay the amount owed to Bridgeport Inc. in the future.
These entries reflect the purchase of inventory by Sarasota Corporation from Bridgeport Inc.
In summary, the entries on the books of Bridgeport Inc. are:
1. Debit Accounts Receivable: $35,200
2. Credit Sales Revenue: $35,200
3. Debit Cost of Goods Sold: $16,320
4. Credit Inventory: $16,320
The entries on the books of Sarasota Corporation are:
1. Debit Inventory: $16,320
2. Credit Accounts Payable: $16,320

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