So, the beta of the stock is approximately 0.805.
Stock refers to shares of ownership in a company that represent the ownership interest of its shareholders. Stock represents a claim on the assets and earnings of the company and usually entitles the holder to a share of the company's profits through dividends. The value of stock can fluctuate based on various factors such as the company's financial performance, industry trends, and overall economic conditions.
To find the beta of a stock:
Beta = (Ri - Rf) / (Rm - Rf)
Expected return of the stock = 14.5%
Risk-free rate of return = 5.65%
Market risk premium = 7.2%
Beta = (14.5% - 5.65%) / (7.2% - 5.65%)
Beta = 0.805
Learn more about stock Visit: brainly.com/question/26128641
#SPJ4
malcolm should have explained how each person could benefit from completing his or her part of the project, which would be using what influence tactic?
In a case whereby malcolm should have explained how each person could benefit from completing his or her part of the project, the tactics that she was using is the influence of apprising tactic.
What is the Apprising?Apprising can be described as the tactics that can be used in an organization in tasks appealing by clarifying how they can benefit the followers personally or advance their careers.
It should be noted that this this implies communicating something of special interest or importance as in the above case.
Therefore, option A is correct.
Learn more about project, at:
https://brainly.com/question/25009327
#SPJ1
missing options:
apprising ingratiation piersonal apgeals consuitation collaboration
Which of the following scenario represent a flow from a household to a firm? Sherry's labor O the bowl of ice-cream Sherry recives O The $400 per week wage Sherry receives from working as a sale representative
The following scenario that represents a flow from a household to a firm is "Sherry receives the $400 per week wage from working as a sales representative."
The flow of income between households and firms is part of the circular flow of income. The circular flow of income shows the connections between households, firms, and markets in a national economy. It demonstrates how payments, goods, and services move through the economy between households and businesses.
It is a cycle of income payments from businesses to households and back again. In the circular flow model, households and firms are two fundamental participants. Households provide labor, land, and capital to firms, while firms provide products and services to house holds. In exchange for their work, households receive payment from firms.
To know more about Sherry visit:-
https://brainly.com/question/14695707
#SPJ11
1. What is the annual percentage rate (APR) for this credit card?
2. For cash advances what is the APR?
3. What three things would move the APR for the balance on this credit card to 28.99%?
4. What is the annual fee that customers are charged for holding this credit card?
5. If you decided to transfer the balance from another credit card to this credit card, what would be the fee charged?
a. What would be the APR charged for the transferred balance?
6. What is the fee for a cash advance?
7. If you use this credit card in a foreign country, what would be the fee on each transaction you made in the foreign country?
8. If you are late on making a payment, what would be the fee charged?
9. What would be the fee charged if you went over your credit limit?
Answer:
1. For purchases, the APR during an introductory period is either 8.99% or 10.99% or 12.99% depending on creditworthiness. After the introductory period the APR is 14.99%
2. Cash advance monthly rate changes based on what the Prime Rate is that month + 14.99% so if the prime rate is 3, add 14.99 to that so 17.99% of the amount received in cash. So if you take $200 cash advance, the amount charged at 17.99% would be 0.1799 x 200 =$35.98.
3. If the card holder does any of the following: makes a late payment, goes over their stated credit limit, make an account payment that is returned, or commit the afore mentioned acts on another account held by this same creditor the APR is then increased to 28.99%.
4. The annual fee charged for the credit card is $20.
5. The fee for a balance transfer is Either $5 or 3% of the amount that is transferred or $100 (whichever is greater) to this card from another account.
a. The APR charged for a balance transfer is 15.99%, but would vary based on the market Prime Rate.
6. Fee for cash advance is $5 or 3% of the amount of cash advance taken - whichever amount is largest.
7. 2% of the amount charged (in US dollars) in a transaction.
8. A late fee of $25 will be charged on an account with a balance of $999 or less. If the account balance if over $1000 the late fee of $35 will be charged and the APR will increase to 28.99%.
9. A fee of $29 is charged for accounts that exceed the credit limit in addition to an APR increase to 28.99%
Explanation: explanations are with the answers listed above.
If the united states exports $100 worth of diamonds to the kingdom of mocha and imports $80 worth of bows and arrows it has a(n)
Answer:
Trade surplus
Explanation:
In business when export is greater than import in monetary terms the situation is called trade surplus.
Trade surplus is a favorable situation in economics. The economic condition of a country is assumed to be better when the country has a trade surplus. The opposite situation in which import is greater than export is called trade deficit.
Ann ha 8 chicken in her yard. Thi week, they produced 5 egg each. Ann pack the egg into 6egg cartoon
Ann has 8 chickens in her yard. This week, they produced 5 eggs each, which means that she has a total of 40 eggs.
She can pack the eggs into 6 egg cartons, with each carton containing 6 eggs and having 4 eggs left over.
Ann has 8 chickens in her yard, and each chicken produced 5 eggs this week. This means that she has a total of 40 eggs. She can pack the eggs into 6 egg cartons, with each carton containing 6 eggs, which leaves 4 eggs left over. This is because 6 multiplied by 8 is 48, and 48 minus 40 is 8, which is the number of eggs left over.
Learn more about mathematics:
https://brainly.com/question/929808
#SPJ4
It would be most appropriate to combine a judgment approach to forecasting with a quantitative approach by:
a. having a group of experts examine each historical data point to determine whether it should be included in the model.
b. developing a trend model to predict the outcomes of judgmental techniques in order to avoid the cost of employing the experts.
c. combining opinions about the quantitative models to form one forecasting approach.
d. adjusting a forecast up or down to compensate for specific events not included in the quantitative technique.
Answer: The most appropriate way to combine a judgment approach to forecasting with a quantitative approach is by adjusting a forecast up or down to compensate for specific events not included in the quantitative technique. This is option d.
Explanation: Option a is incorrect because it would be too time-consuming and expensive to have a group of experts examine each historical data point.
Option b is incorrect because developing a trend model to predict the outcomes of judgmental techniques would not be effective since judgmental techniques are based on subjective opinions rather than objective data.
Option c is incorrect because combining opinions about the quantitative models would not necessarily lead to a more accurate forecast.
Therefore, option d is the best way to combine a judgment approach to forecasting with a quantitative approach.
Hope this helps, and have a great day!
You plan to spend the next four summers vacationing abroad. The first summer trip, which is
exactly one year away, will cost you $22000, the second-$27 500, the third- $33000, and the
fourth- $35000. You want to save for these vacations. How much should you deposit in your
account today so that you will have exactly enough to finance all the trips? The account pays
interest at 6%, compounding semi-annually.
The amount that should be deposited in the account today so that there will be enough to finance all the trips is $99,148.32.
To finance four future summer trips with specific costs, you need to determine the amount to deposit today. Given the costs of each trip and an interest rate of 6% compounded semi-annually, you can calculate the required deposit amount to cover all expenses.
To calculate the deposit amount needed today, we can use the concept of present value. The present value represents the current worth of future cash flows. In this case, the future cash flows are the costs of the four summer trips.
The formula to calculate the present value (PV) of a future sum of money (FV) is as follows:
PV = FV / (1 + i)n
where i is the interest rate per compounding period and n is the number of compounding periods.
The problem gives the future value of each vacation, the time between now and each vacation, and the interest rate. We need to find the amount we must deposit today to have enough to finance all the vacations.
We can calculate the present value (PV) of each vacation as follows:
PV1 = 22000 / (1 + 0.06/2)^(2*1) = 19616.45
PV2 = 27500 / (1 + 0.06/2)^(2*2) = 23253.81
PV3 = 33000 / (1 + 0.06/2)^(2*3) = 26996.47
PV4 = 35000 / (1 + 0.06/2)^(2*4) = 29381.59
The present value (PV) of all the vacations is the sum of the PV of each vacation:
PV_total = PV1 + PV2 + PV3 + PV4 = 99148.32
Therefore, the amount that should be deposited in the account is $99,148.32.
Learn more about cash flows here :
https://brainly.com/question/27994727
#SPJ11
howard schultz's decisions exhibit the following level of moral development:
Howard Schultz's decisions exhibit a high level of moral development.
Moral development refers to the individual's ability to distinguish right from wrong and make ethical decisions. Schultz's decision to provide healthcare benefits and stock options to all Starbucks employees, including part-time workers, showcases his commitment to social responsibility and fairness. Additionally, his decision to close all Starbucks stores for racial bias training following an incident in Philadelphia demonstrates his commitment to diversity and inclusion. Schultz's actions also exhibit a sense of responsibility towards the environment. He introduced the "Grounds for your Garden" program, which encourages customers to recycle used coffee grounds for composting. The company has also invested in renewable energy and introduced eco-friendly cups. Overall, Schultz's decisions exhibit a high level of moral development as he prioritizes ethical values and social responsibility in his leadership. He understands the importance of making decisions that not only benefit the company but also positively impact society and the environment.
Learn more about development here:
https://brainly.com/question/28011228
#SPJ11
Riley is 25 years old, and will soon be starting a career as a business analyst. According to Levinson, Riley is in the _____ phase of adult development
According to Levinson, Riley is in the Novice phase of adult development.
What is Business?This refers to the buying and selling of goods with the major aim of making profit.
Hence, we can see that based on the adult development phase, because Riley who is 25 years old and just starting out as a business analyst is in the novice phase.
Read more about business here:
https://brainly.com/question/1958071
#SPJ1
Which action demonstrates that Elsa acts with transparency?A. She shares her company’s trade secrets with its competitors. B. She accepts only small gifts from clients. C. She keeps conversations with stakeholders confidential. IncorrectD. She acknowledges the concerns of others. CorrectE. She considers herself accountable only to her team
The action that demonstrates that Elsa acts with transparency is
D. She acknowledges the concerns of others. What is transparency?Transparency means being open and honest in communication, and acknowledging the concerns of others is an important aspect of transparency.
Sharing trade secrets with competitors or keeping conversations with stakeholders confidential would not be considered transparent. Accepting only small gifts from clients is not necessarily an indicator of transparency, although it could be seen as a way to avoid conflicts of interest.
Considering oneself accountable only to one's team is not an indicator of transparency, as it suggests a lack of willingness to be accountable to a broader group of stakeholders.
Learn more about transparency at:
https://brainly.com/question/8342414
#SPJ1
View the Amortization Table and use it to answer each question. According to the chart, Demarco and Tanya will pay a total of in interest over the life of their loan. This means their total cost, including the purchase price, is approximately . This amount is than what they would pay in total using the fixed-rate mortgage.
Answer:According to the chart, Demarco and Tanya will pay a total of
✔ $195,104
in interest over the life of their loan.
This means their total cost, including the purchase price, is approximately
✔ $365,104
.
This amount is
✔ higher
than what they would pay in total using the fixed-rate mortgage.
Explanation:
MAKE THIS THE BRAINLY
Answer:
According to the chart, Demarco and Tanya will pay a total of
✔ $195,104
in interest over the life of their loan.
This means their total cost, including the purchase price, is approximately
✔ $365,104
This amount is
✔ higher
than what they would pay in total using the fixed-rate mortgage.
Explanation:
I took this and these were the correct answers. :)
Cain Company reports net cash provided by operating activities of $35,000. It also reports the following information under “Adjustments to reconcile net income to net cash provided by operating activities” on its statement of cash flows (using the indirect method).
It can be seen from the solutions given that Cain's net income is $24,000.
Here is the solution:Net income = Net cash provided by operating activities - Adjustments
= $35,000 - $6,000 - $10,000 + $4,000 + $7,000 + $4,000
= $24,000
Therefore, Cain's net income is $24,000.
Here is a breakdown of the adjustments:
To determine cash flow from operations, it is necessary to include the gain on equipment sales in the net income as it is a non-cash entry.
A rise in accounts receivable implies that customers are prolonging payment of their invoices, resulting in decreased cash flow from the company's activities.
The depreciation expense is classified as a non-cash expense, hence it must be included in the calculation of cash from operations by adding it back to the net income.
A decrease in inventory indicates that the company is experiencing faster turnover of its inventory, leading to increased cash flow generated by its operations.
A rise in prepaid expenses denotes that the company is channeling more funds towards prepaid expenditures like insurance and rent, implying a reduced cash inflow from its operational activities.
A decline in the amount of wages that the company owes indicates that it is not promptly compensating its workforce. Consequently, this implies that the company's operational cash flow is reduced.
Read more about net income here:
https://brainly.com/question/28390284
#SPJ1
Hailey, a lawyer on the staff of International Group, always considers the consequences of an action rather than the nature of the action itself when making ethical decisions in a business context. Hailey is applying
the utilitarian theory of ethics in business contexts.
religious beliefs in business contexts.
Kantian ethics in business contexts.
the principle of rights theory of ethics in business contexts
Answer:
the utilitarian theory of ethics in business contexts.
Explanation:
According to the Utilitarian theory of ethics, the steps to be chosen by any business of entity should rely on maximizing the good and minimizing the sufferings. Also, at the same time, the benefit or good to the maximum is required to be considered before taking any decision.
In the given excerpt, Hailey adopts the utilitarian theory of ethics by focusing on the outcome of the steps that he take.
The balance on a credit card, that charges a 20%
APR interest rate, over a 1 month period is given in
the following table:
Days 1-5: $200 (initial balance)
Days 6-20: $350 ($150 purchase)
Days 21-30: $150 ($200 payment)
What is the finance charge, on the average daily
balance, for this card over this 1 month period?
finance charge = $ [?]
Round to the nearest hundredth.
Enter
The balance on a credit card, that charges a 20% APR interest rate, the Finance charge is given as
$4.3055
This is further explained below.
What is the APR interest rate?Generally, The interest rate that is applied to a loan, mortgage loan, credit card, etc. is referred to as an annual percentage rate of charge, which sometimes corresponds to a nominal APR and sometimes corresponds to an effective APR.
The annual percentage rate of charge is the interest rate for the entire year, as opposed to just a monthly fee or rate. It is a fee for financing that is presented in the form of an annual rate.
Interest rate APR = 12%
Average balance = ((200*5)+(350*15)+(150*10))/30
Average balance = $258.33
Average balance*APR/12
Finance charge =\(\frac{258.33*20 \%}{12 }\)
Finance charge = $4.3055
Read more about APR interest rates
https://brainly.com/question/14270693
#SPJ1
¿Cómo harías el marketing de tu producto?
Answer:
postearlo en redes sociales
Explanation:
Answer:
I don't understand
Explanation:
I don't know
Margarita recently started working as a temp for Lucid Systems Technology. On her first day, Shari, her team leader goes over the details of how to use the accounting softw and how to file a report on hei Work at the end of each day By the end of the first week, Margarita is confident and able to do her work without asking Shari for guidance, but Shari still checks in periodically to give her encouragement and suggestions. By the end of the week, Shari is demonstrating which stage in the life cycle theory of leadership? A. R1, telling B. R1, selling C. R3, selling D. R4, delegating E. R3. parte oathg
Answer:
E.
R3. participating
Lillian's company has distributed a guidebook on using inclusive language that does not discriminate. This information will help her, and her coworkers follow what kind of guidelines?
group dynamics
conflict resolution
business hierarchy
business etiquette
Answer:
the answer is business etiquette
Explanation:
i just did the test and got 100 percent
A manual on employing nondiscriminatory language that is inclusive was issued by Lillian's employer. She and her employees will be better able to follow business etiquette thanks to this information. Hence, Option D is correct.
What are business etiquettes?The terms "business etiquette" and "social and business etiquette" relate to the standards and expectations of behavior in both contexts, the customary behaviors and conduct, and a professional code of ethics. All that's required is that one must act politely.
It is customary to behave in certain ways at work, and this is governed by a code of conduct. "Respect and protect time, people, and processes" is the goal of this code. Standard business etiquette is not universally accepted and can differ depending on the setting.
Therefore, Option D is correct.
Learn more about business etiquette from here:
https://brainly.com/question/5718637
#SPJ2
Refer to Table 10. 3. Assume that the economy is at equilibrium in both years, and that government spending is zero for this economy. The change in investment spending from year 1 to year 2 is
Based on the information provided in Table 10.3, we can see that the equilibrium level of income in year 1 is $1,000 billion, and the equilibrium level of income in year 2 is $1,200 billion. We also know that the consumption and saving schedules are the same in both years, and that government spending is zero for this economy.
Therefore, we can use the Keynesian cross model to determine the change in investment spending from year 1 to year 2. The Keynesian cross model states that equilibrium output is determined by the intersection of the aggregate expenditure line and the 45-degree line, where aggregate expenditure is equal to consumption plus investment.
In year 1, the aggregate expenditure line intersects the 45-degree line at the equilibrium level of income of $1,000 billion. At this level of income, consumption is $800 billion and investment is $200 billion.
In year 2, the aggregate expenditure line intersects the 45-degree line at the equilibrium level of income of $1,200 billion. At this level of income, consumption is $960 billion and investment is $240 billion.
Therefore, the change in investment spending from year 1 to year 2 is $40 billion ($240 billion - $200 billion).
To know more about equilibrium level click this link -
brainly.com/question/32095272
#SPJ11
what is a perfect market?
Answer:
A Perfect market is
a market where the sellers of a product or service are free to compete fairly, and sellers and buyers have complete information: The internet has a big part to play in the creation of a perfect market. Compare. imperfect market.
Wagers
A gambling contract is illegal unless it is a type of wagering specifically authorized by state statute.
Insurance
Anyone taking out a policy on the life of another must have an insurance interest in that person.
Licensing Statutes
When a licensing requirement is designed to protect the public, any contract made by an unlicensed worker is unenforceable.
Licensing Statutes
When a licensing requirement is designed merely to raise revenue, a contract made by an unlicensed person is generally enforceable.
Usury
Usury laws prohibit charging excess interest on loans.
A lender who charges a usurious rate may forfeit the illegal interest, all interest, or in some states, the entire loan.
Restraint of Trade: Noncompete Agreements
To be valid, an agreement not to compete must be ancillary to a legitimate bargain.
Ancillary means that the no compete must be part of a larger agreement.
Sale of Business: noncompete
When a noncompete agreement is ancillary to the sale of s business, it is enforceable if reasonable in time, geographic area, and scope of activity.
Employment: noncompete
Generally, a noncompete clause in an employment contract is enforceable only if it is essential to the employer, fair to the employee, and harmless to the general public.
Exculpatory Clause
A contract provision that attempts to release one party from liability in the event the other is injured.
An exculpatory clause is generally unenforceable when it attempts to exclude an intentional tort or gross negligence.
Exculpatory Clause
An exculpatory clause is usually unenforceable when the affected activity is in the public interest, such as medical care, public transportation, or some essential service.
An exculpatory clause is generally unenforceable when the parties have greatly unequal bargaining power.
An exculpatory clause is generally unenforceable unless the clause is clearly written and readily visible.
Bailment
Giving possession and control of personal property to another person.
Bailor / Bailee
Bailor - One who creates a bailment by delivering goods to another.
Bailee - A person who rightfully possesses goods belonging to another.
Unconscionable Contracts
An unconscionable contract is one that the court refuses to enforce because of fundamental unfairness.
Procedural Unconscionability
One party uses its superior power to force a contract on the weaker party.
Substantive Unconscionability
A contract with extremely one-sided and unfair terms.
Adhesion Contracts
Standard form contract prepared by one party and presented to the other on a " take it or leave it"basis.
Wagers Unless it is a form of wagering specifically permitted by state law, a gambling contract is unlawful. The obsolete Public Gambling Act of 1867 is the most significant piece of legislation in India pertaining to sports betting and gambling insurance.
Because "wager" literally means "a bet" or "anything claimed to be lost or won on the outcome of a questionable subject," wagering agreements are just regular betting arrangements. Wagering contracts are discussed under Section 30 of the Indian Contract Act, which states that such contracts are void.
The presence of two parties who are of sound mind to receive profit or loss is the essential requirement of a wagering relationship. In everyday speech, a wager refers to betting or gambling. The term "wager" is generally used to refer to betting.
Read more about gambling contract at
https://brainly.com/question/14940104
#SPJ4
which of the following would be an example of rent seeking? a. nationalizing a previously private utility and keeping it under tight state control b. giving control of a nationalized industry to supporters of those in power c. providing cash payments to influential industry leaders in return for political support d. sharing power between labor and the military in a nondemocratic regime
An example of rent-seeking would be providing cash payments to influential industry leaders in return for political support. The correct option is (C).
A rent-seeking activity is a technique utilized by people or groups to influence public policy in their benefit by trying to get market prices higher than free market levels would provide.
Rent-seeking is the practice of a company using its resources to obtain an unauthorized financial advantage from external parties, whether directly or indirectly, without providing anything in return to those parties or the community.
A company looks to acquire money from others by changing or manipulating the environment in which economic activity occurs, as opposed to producing wealth themselves.
A common illustration of rent-seeking is corporate political lobbying. These are primarily carried out by businesses in an effort to gain economically from government action.
Rent-seeking activities are thus a way to divert money to themselves that would otherwise have gone to consumers or taxpayers.
Therefore, the example of rent-seeking would be providing cash payments to influential industry leaders in return for political support.
To know more about rent-seeking, refer here:
https://brainly.com/question/24018910#
#SPJ11
multinational banks are often not subject to the same regulations as domestic banks a. none of the options b. there may be reduced need to publish adequate financial information c. there may be increased need to publish adequate financial information d. the requirements to publish adequate financial information are the same
The correct answer is option B: there may be a reduced need to publish adequate financial information for multinational banks.
When it comes to multinational banks, they are often not subject to the same regulations as domestic banks. This means that option D, which states that the requirements to publish adequate financial information are the same, is incorrect.
In fact, multinational banks may have a reduced need to publish adequate financial information, as stated in option B. This is because they may have different reporting standards and disclosure requirements in different countries.
On the other hand, option C is incorrect, as there may not necessarily be an increased need to publish adequate financial information for multinational banks. It ultimately depends on the regulations and requirements in each country where the bank operates.
Therefore, the correct answer is option B: there may be a reduced need to publish adequate financial information for multinational banks.
To know more about adequate visit:
ttps://brainly.com/question/33219802
#SPJ11
The person who would be most directly affected by changes in the business cycle is ______.
a.
an emergency-room doctor
b.
a construction worker
c.
an orthodontist
d.
a college professor
Answer: B. a construction worker
Explanation:
If buildings are needed to be built constantly than construction workers will make more profit. If people in the business aren’t doing well and stock markets come down less business will be made. Meaning lesser buildings, which allows construction workers to make less.
Hope this helps you, love!
Answer:
pretty sure its b correct me if im wrong
Explanation:
The commute times for the workers in a city are normally distributed with an unknown population mean and standard deviation. If a random sample of 27 workers is taken and results in a sample mean of 22 minutes and sample deviation of 3 minutes, find a 95% confidence interval estimate for the population mean using the student's t-distribution.
If the commute items for the workers in a city are normally distributed with an unknown population mean and standard deviation. Using the student's t distribution 95% confidence interval for the sample mean is 20.8129 and 23.1870
To calculate a 95% confidence interval.
Given Data
size n = 27 , sample mean = 22 , standard deviation = 3.
Here the 95% CI is given as,
× ± t*s/\(\sqrt{n}\)
t{(n-1),\\(\alpha\)}=t_{(27-1),0.05} = 2.056
(22± 2.056*3/\sqrt{27})
(22- 2.056*3/√27, 22+ 2.056*3/\sqrt{27})
( 22 - 1.1870 , 22 + 1.1870)
( 20.8129 , 23.187)
Thus , 95% confidence interval for sample mean is ( 20.8129 , 23.1870).
To learn more about confidence interval
https://brainly.com/question/24131141
#SPJ4
While being a Manager in a hospital/healthcare
setting involves communication with many
different departments, one doesn't need to
have which of the following in any of them?
A. contact
B. experience
C. organizational skill
Brody’s firm produces trumpets in a perfectly competitive market. The table below shows Brody’s total variable cost. He has a fixed cost of $240, and the price per trumpet is $60.
a. Calculate the average total cost of producing 6 trumpets. Show your work.
b.Calculate the marginal cost of producing the 11th trumpet.
c. What is Brody’s profit-maximizing quantity? Use marginal analysis to explain your answer.
d. At the profit-maximizing quantity you determined in part (c), calculate Brody’s profit or loss. Show your work.
e. Brody also produces saxophones at a loss in a perfectly competitive market. Draw a correctly labeled graph for Brody’s firm showing the following at a market price of $200.
- Brody’s profit-maximizing quantity of saxophones
- Brody’s loss, completely shaded
The given situation is related with allied components of total cost of a trumpet. The answers are:
a) The average total cost of 6 trumpets is $360.
b) The marginal cost of manufacturing the 11th trumpet is $100.
c) Brody’s profit-maximizing quantity is 9 units.
d) At the profit-maximizing quantity in part (c), the Brody’s profit or loss is $ 80.
e) See image.
What is total cost?The total cost represents all the costs incurred by a business to produce a particular level of output. The calculation of this total of fixed and variable costs aids product managers in assessing their overall profit margin.
The said answers are based on the cost concept of micro economics studies made by researchers.
a) The Average total cost (ATC) for 6 trumpets = average variable cost + average fixed cost
ATC ⇒ $120 + $240 = $360
b) Marginal cost of producing the 11th trumpet = Difference between variable cost at 10 units producing and variable cost at 11 units producing. Thus extra unit marginal cost is $100 (390-290)
c) Brody’s profit-maximizing quantity is where the Marginal cost is minimum and the marginal revenue is more than the or equal to marginal cost. At quantity 9 the MR is $60 and $MC is 55 and Profit is $80. (highlighted in image)
To know more about total cost refer:
https://brainly.com/question/15135554
#SPJ1
A borrower is faced with choosing between two loans. Loan A is available for $75,000 at 6 percent interest for 30 years, with 6 points to be included in closing costs. Loan B would be made for the same amount, but for 7 percent interest for 30 years, with 2 points to be included in the closing costs. Both loans will be fully amortizing.
a. If the loan is repaid after 20 years, which loan would be the better choice?
b. If the loan is repaid after 5 years, which loan would be the better choice?
Answer:
a) loan A is a better choice
b) loan B is a better choice
Explanation:
the monthly payment of loan A = $449.66
present value of loan A = ($75,000 x 6%) + $75,000 = $79,500
the monthly payment of loan B = $498.98
present value of loan B = ($75,000 x 2%) + $75,000 = $76,500
the difference between monthly payments = $498.98 - $449.66 = $49.32
if we calculate the present value of 20 years paying $49.32 more it is:
PV = $49.32 x 139.58077 (PV annuity factor, 0.5%, 240 periods) = $6,884 which is higher than the difference
if we calculate the present value of 5 years paying $49.32 more it is:
PV = $49.32 x 51.72556 (PV annuity factor, 0.5%, 60 periods) = $2,551 which is lower than the difference
Select all that apply.
Learning styles include all of the following:
bodily/kinesthetic
verbal/linguistic
naturalistic
personal
Answer:
bodily/kinesthetic
verbal/linguistic
Explanation:
Learning styles can be regarded as range of competing as well as contested theories which analyse
differences that exist learning of in individuals. It should be noted that the Learning styles includes
✓bodily/kinesthetic
✓verbal/linguistic
Answer:
verbal/linguistic
bodily/kinesthetic
naturalistic
Explanation:
checked answer on Odyssey
8. Mineral Products Corporation, which owns no land, has a right to mine the copper from Natural Resource Company's land. Mineral's right is
Answer:
Mineral's right is a profit.
Explanation:
Profit would be the proportion of net income which always significantly increases the expenditure for the time frame. In other phrases, this same amount of income decided to leave over even after all the appropriate and sometimes even matched perfectly expenses incurred have been rounded down again for the duration.Monica spent a lot of time preparing for her interview, but the hiring manager is not asking any of the questions she practiced.
What interview advice would you give to Monica?
A) Be flexible and adjust to different situations
B) Make notecards of every possible interview question
C) Specify in the cover letter what questions she would like to answer
D) Take the initiative to redirect the conversation