The increase in women's labor force participation rate and the decrease in men's labor force participation rate in Canada between 1900 and 2000 would result in a significant increase in Canadian GDP per capita. The exact amount can be calculated by considering the change in the labor force composition over the period.
To determine the impact of changes in labor force participation on GDP per capita, we need to calculate the weighted average of men's and women's contributions to GDP. Assuming constant productivity and other factors, the increase in women's LFPR from 15% to 60% implies that their contribution to GDP increased by (60% - 15%) = 45% of the total increase. Conversely, men's LFPR decrease from 90% to 75% means their contribution to GDP decreased by (90% - 75%) = 15% of the total decrease.
Given that approximately 50% of the Canadian population was in the labor force in 2000, we can estimate that women's contribution to GDP increased by (45% * 50%) = 22.5% of the total increase, while men's contribution decreased by (15% * 50%) = 7.5% of the total decrease.
Therefore, the net increase in GDP per capita due to changes in LFPR can be estimated as 22.5% - 7.5% = 15% of the total change.
Regarding the second question, a greater GDP (not per capita) brings certain advantages such as increased overall economic activity, higher tax revenues for the government, potential for investment in infrastructure, public services, and social programs. It indicates the size and scale of the economy, reflecting its productive capacity and output. However, it doesn't necessarily reflect the well-being or standard of living of individuals within the population. GDP per capita, on the other hand, provides a better measure of average income or economic well-being per person, giving a more accurate representation of the standard of living. It considers the population size and distribution, allowing for comparisons across countries or over time to assess improvements in living conditions and welfare.
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The amount of time you schedule for instruction and then actually use to teach is referred to as:BA) Engaged timeB) Allocated timeC) Plan timeD) Time on
The answer is A) Engaged time. Engaged time refers to the actual amount of time that is spent on instruction and learning activities.
Allocated time refers to the time that is scheduled for instruction, while plan time refers to the time that teachers spend planning and preparing for instruction. It's important for teachers to make sure that the amount of engaged time matches or exceeds the amount of allocated time in order to ensure that students are receiving the necessary instruction and learning opportunities.This term refers to the designated amount of time planned for a specific lesson or activity, and it represents the actual time used for teaching during that scheduled period.
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Kensington, Inc. is considering an investment in new equipment. The project has a payback period 3.25 years and its initial cost is $36,000. Determine the missing cash flow from the list below. Year 1: $9,000 Year 2: $12,000 Year 3: $
The amount of missing cash flow for the year 3 is $12,000 on the amount of investment of $36,000 made by Company K.
What is the payback period?The payback period is one of the methods of capital budgeting that enables us to know the number of years in which the invested amount gets recovered. It is determined by dividing the cost of investment by the annual cash flows.
Given values:
Amount of investment: $36,000
Cash flow of Year 1: $9,000
Cash flow of Year 2: $12,000
Computation of cash flow for the third year:
\(\rm Payback \rm\ period= \rm \ Number \rm\ of \rm \ year \rm \ before \rm \ breakeven + \frac{\rm\ Cumulative \rm\ cash \rm\ flow \rm\ for \rm\ 2nd \rm\ year }{\rm\ Cash \rm\ flow\rm\ for \rm \ third \rm\ year } \\\rm 3.25 \rm\ years= \rm\ 2 \rm\ years + \frac{\$36,000-\$9,000-\$12,000}{\rm\ Cash \rm\ flow\rm\ for \rm \ third \rm\ year } \\\rm Cash\ \rm flow \rm\ for\rm \ third \rm\ year=\frac{\$15,000}{1.25 \rm\ years}\\\rm Cash\ \rm flow \rm\ for\rm \ third \rm\ year = \$12,000\)
Hence, the amount of cash flow for the year 3 come out to be $12,000 by using the payback period formula.
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How does having a list help save money at the grocery store? What other strategies can you use to save money at the grocery store?
Suppose that a worker in Cornland can grow either 40 bushels of corn or 10 bushels of oats per year, and a worker in Oatland can grow either 5 bushels of corn or 50 bushels of oats per year. There are 20 workers in Cornland and 20 workers in Oatland. If the two countries do not trade, Cornland will produce and consume 400 bushels of corn and 100 bushels of oats, while Oatland will produce and consume 60 bushels of corn and 400 bushels of oats. If each country made the decision to specialize in producing the good in which it has a comparative advantage, then the combined yearly output of the two countries would increase by
Answer:
see. I hope it's helpful for you lolExplanation:
i need friend lol can you my friendWhy do you think it is important to have a diverse number of careers to choose from? How would it affect our global economy if there were only one or two career clusters?
What is a sales forecast?
A. A prediction of what other businesses will make similar products
B. A prediction of how many customers a business will have visit its
store
C. A prediction as to the volume of sales that a business expects to
make in the upcoming future
A sales forecast is A prediction as to the volume of sales that a business expects to make in the upcoming future. Thus the correct option is C.
What is the objective of the sales Forecast?A sales forecast is a projection of the engagements that will go through the selling process and is a statement of anticipated sales revenue that expresses how much your organization anticipates selling within a specific time frame.
Making well-informed choices about the management of the firm, including decisions about staffing and inventory, new product lines, and prospective marketing initiatives, is aided by sales predictions.
By the use of sales forecasting, firms can more correctly predict their expenses and revenue. Time and money wasted on unsuitable candidates or customers must be reduced for better prospecting.
Therefore, option C is appropriate.
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if you had $1100000000000 what would with it and why
Answer: buy my school than demolish it
Explanation:
Answer:
i'll buy
Why:
Why? it's because i had $1100000000000
What is an example of a digital asset?
O A. Cash
OB. A framed photograph
OC. Real estate
O D. Company reward points
An example of a digital asset is: B. A framed photograph.
What is digital assets?Digital assets can be defined as any item that are digitally kept in which the assets tend to add value to the owner of it.
Framed photography is considered a digital assets based on the fact that it is an image that tend to add value to the owner of it.
Some of the example of digital assets are:
LogosAnimationsDigital painting etcTherefore we can conclude that the correct option is B.
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Answer:
Company reward points
Explanation:
Lymen International is considering a significant expansion to its product line. The sales force is excited about the opportunities that the new products will bring. The new products are a significant step up in quality above the company’s current offerings, but offer a complementary fit to its existing product line. Fred Riddick, senior production department manager, is very excited about the high-tech new equipment that will have to be acquired to produce the new products. Barbara Dyson, the company’s CFO, has provided the following projections based on results with and without the new products.
Without New Products
With New Products
Sales revenue $12,149,200 $16,618,200
Net income $488,900 $885,800
Average total assets $5,282,800 $13,930,400
(a) Compute the company’s return on assets, profit margin, and asset turnover, both with and without the new product line. (Round answers to 0 decimal places, e.g. 2% and asset turnover to 1 decimal place, e.g. 6.2)
Without new products
With new products
Return on assets
International sidering offerings, xut offer compl step up with New Products Sales 2,145.20 Average tel Without new products with now products ej abou: red Riddick, bring. Th producti depart
%
%
Profit margin
%
%
Asset turnover
Answer:
I don't know sorryyyyyjdkd
The computation of the Lymen International Company's return on assets, profit margin, and assets turnover, both with and without the new product line, is as follows:
a) Return on assets = Net Income/Average total assets
Without New Products With New Products
Net income $488,900 $885,800
Average total assets $5,282,800 $13,930,400
= 9% 6%
b) Profit margin = Net Income/ Sales revenue
Without New Products With New Products
Sales revenue $12,149,200 $16,618,200
Net income $488,900 $885,800
= 4% 5%
c) Asset Turnover = Net Sales / Average Total Assets
Without New Products With New Products
Sales revenue $12,149,200 $16,618,200
Average total assets $5,282,800 $13,930,400
= 2.3 x 1.2 x
How useful are accounting ratios?The accounting ratios above help investors understand the efficiency, profitability, and effectiveness that companies achieve when compared with previous years or with competitors.
For instance, the assets turnover ratio helps investors understand Lymen International Company's effectiveness in using its assets to generate sales.
Data and Calculations:Without New Products With New Products
Sales revenue $12,149,200 $16,618,200
Net income $488,900 $885,800
Average total assets $5,282,800 $13,930,400
Total assets = $10,565,600 $2,786,0800
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A speed boat bought for $13,000 depreciates at 10% per annum compounded continuously. What is its value after 7 years? Round the answer to nearest dollar.
Answer:
6,456
Explanation:
Substitute the given values into the formula: A=Pe^-rt, where A represents the future value and P represents the initial (current) value.
The amount of value after 7 years when the purchase value of the speed boat is $13,000 should be considered as the $6,456.
Calculation of the amount:Since the speed bought purchase value is $13,000
The depreciation rate is 10% per annum compounded continuously
The time period is 7 years
So here the amount should be
= $13,000 * e^-0.70
= $6,456
hence, The amount of value after 7 years should be considered as the $6,456.
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Which activity in the maintenance phase requires that a formal process be established whereby users can submit system change requests
Obtaining maintenance requests is the activity that requires establishing a formal process for users to submit system change requests.
What is an automation system?It corresponds to the use of mechanical and computerized techniques to produce, command and control an optimized process, fast and based on total quality.
Therefore, automation systems help organizations process a large volume of data to generate relevant information for decision making.
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Which of the following best describes the moral hazard problem inherent with the IMF or Central Bank responding to a crisis?
Select one:
a. Once the IMF or a Central Bank lends money to a bank or banks in a country in financial crisis, banks elsewhere may subsequently decide to no longer make as many risky loans to their customers
b. Once the IMF or a Central Bank lends money to a bank or banks in a country in financial crisis, banks elsewhere may subsequently decide to make more risky loans to their customers
c. Once the IMF or a Central Bank lends money to a bank or banks in a country in financial crisis, banks elsewhere may subsequently decide to require much more collateral from their customers
d. moral hazard is not a problem inherent with the IMF or a Central Bank responding to a crisis
The moral hazard problem inherent with the IMF or Central Bank responding to a crisis the increased likelihood of risk-taking behavior due to the assurance of a safety net.
Here is correct answer A
When the IMF or a Central Bank lends money to a bank or banks in a country in financial crisis, banks elsewhere may subsequently decide to make more risky loans to their customers, knowing that if those loans go bad, the IMF or Central Bank will be there to bail them out.
This is the moral hazard issue, as it presents a moral dilemma wherein banks may be incentivized to make increasingly risky loans, knowing that the threat of failure will be mitigated by the government’s intervention. This can create a cycle of moral hazard that can be detrimental to the economy.
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Kayla is a first time entrepreneur. She started a small business a few months ago. She encounters small problems on a daily basis. However, Kayla is very quick to take corrective actions. As a responsible entrepreneur, she is highly
As a responsible entrepreneur, Kayla is highly nimble, flexible or adaptable.
First-time business entrepreneurs are those who have never owned or run their own company before. When you are a first-time entrepreneur, your company is being built from scratch. Given how many factors there are to take into account when beginning a firm, this can be a challenging undertaking. As an entrepreneur, you must first develop a company idea and ascertain whether there is a market for it. Once your new company is operational, you should concentrate on marketing and sales. Finally, you must control your funds and make sure your company is profitable.
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if a worker on an assembly line works faster than standard, the daily output of the line will increase. a. true b. false
True. If a worker on an assembly line works faster than the standard, the daily output of the line will likely increase.
However, this is assuming that other factors, such as the speed of other workers and the efficiency of the machinery, remain constant and do not limit the overall output.
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Select the items that are needs from your bank statement. ABC BANK Available Balance $230.00 Cell phone plan$45 Rent$400 Car insurance$60 Backpack$10 Electric bill$60 Car payment$250 Submit
Answer:everything but the backpack
Explanation:
6. He is not a skilled worker. He
doesn't ............... much.
win
gain
earn
pay
afford
Answer:
earn .
He is not a skilled worker. He doesn't earn much.
Explanation:
He doesn't earn much.....
How do you manage heavy workload in the workplace
Answer:
It’s called the STAR format, which stands for Situation or Task, Action, and Results.
Explanation:
Everyone has had a significant burden at some point in their professional lives. For me, being able to stand back and assess the circumstance can help me see things more clearly and objectively. I've discovered that it's preferable to prioritize the chores at hand rather than jumping in and attempting to accomplish it all—and all at once. Even if it can seem like everything needs to be done right now, that may not always be the case. To ensure that everyone in my team and my supervisor is aware of the projects that need to be completed immediately, I would organize those that do.
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what is good about having a checking account?
Answer:
It allows you to deposit money that you can then draw against to pay bills or make purchases
Explanation:
Power Drive Corporation designs and produces a line of golf equipment and golf apparel. Power Drive has 100,000 shares of common stock outstanding as of the beginning of 2021. Power Drive has the following transactions affecting stockholders' equity in 2021 March May June 1 Issues 57,000 additional shares of $1 par value common stock for $54 per share. 10 Purchases 5,200 shares of treasury stock for $57 per share.. 1 Declares a cash dividend of $1.60 per share to all stockholders of record on June 15. (Hint: Dividends are not paid on treasury stock.) July 1 Pays the cash dividend declared on June 1. October 21 Resells 2,600 shares of treasury stock purchased on May 10 for $62 per share. Power Drive Corporation has the following beginning balances in its stockholders' equity accounts on January 1, 2021 Common Stock. $100,000; Additional Paid-in Capital, $4,700,000, and Retained Earnings, $2,200,000. Net income for the year ended December 31, 2021, is $620,000. Required: Prepare the statement of stockholders' equity for Power Drive Corporation for the year ended December 31, 2021. (Amounts to be deducted should be indicated by a minus sign.) Balance, January 1 Issue common stock Purchase treasury stocki Declare dividends Resell treasury stock Net income Balance, December 31 POWER DRIVE CORPORATION Statement of Stockholders' Equity For the Year Ended December 31, 2021 Additional Retained Common Stock Paid in Capital Earnings 4,700,000 $ 2,200,000 $ 100,000 $ $ $ 100,000 4,700,000 2,200.000 Total Treasury Stock Stockholders Equity 0 $ 7,000,000 7,000,000
The statement of stockholders' equity for Power Drive Corporation for the year ended December 31, 2021, shows a final balance of $157,000 in Common Stock, $4,700,000 in Additional Paid-in Capital, $2,820,000 in Retained Earnings, and a total stockholders' equity of $11,698,000.
POWER DRIVE CORPORATION Statement of Stockholders' Equity
For the Year Ended December 31, 2021
Common Stock Additional Paid-in Capital Retained Earnings Total
Balance, January 1, 2021, $100,000 $4,700,000 $2,200,000 $7,000,000
Issue common stock (March 1) 57,000 54 - 3,078,000
Purchase treasury stock (May 10) - - - -
Declare dividends (June 1) - - - -
Resell treasury stock (October 21) - - - -
Net income - - 620,000 620,000
Balance, December 31, 2021, $157,000 $4,700,000 $2,820,000 $11,698,000
The beginning balances on January 1, 2021, were as follows:
Common Stock: $100,000
Additional Paid-in Capital: $4,700,000
Retained Earnings: $2,200,000
On March 1, 2021, Power Drive Corporation issued 57,000 additional shares of $1 par value common stock for $54 per share. The total value of the common stock issued is calculated as follows: 57,000 shares * $54 per share = $3,078,000. This amount is added to the Additional Paid-in Capital account.
On May 10, 2021, Power Drive Corporation purchased 5,200 shares of treasury stock for $57 per share. However, since these shares were repurchased by the company, the Treasury Stock account is not affected.
On June 1, 2021, Power Drive Corporation declared a cash dividend of $1.60 per share to all stockholders of record on June 15. Since dividends are not paid on treasury stock, this transaction does not affect any of the stockholders' equity accounts.
On July 1, 2021, Power Drive Corporation paid the cash dividend declared on June 1. However, since dividends were not paid on treasury stock, this transaction does not affect any of the stockholders' equity accounts.
On October 21, 2021, Power Drive Corporation resold 2,600 shares of treasury stock purchased on May 10 for $62 per share. The total value of the treasury stock resold is calculated as follows: 2,600 shares * $62 per share = $161,200. This amount is deducted from the Treasury Stock account.
The net income for the year ended December 31, 2021, is $620,000. This amount is added to the Retained Earnings account.
The final balances on December 31, 2021, are as follows:
Common Stock: $157,000 ($100,000 + $57,000)
Additional Paid-in Capital: $4,700,000
Retained Earnings: $2,820,000 ($2,200,000 + $620,000)
Total Stockholders' Equity: $11,698,000 ($157,000 + $4,700,000 + $2,820,000)
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Middle managers are responsible for making organization-wide decisions and establishing the plans and goals that affect the entire organization. True False
The statement "Middle managers are responsible for making organization-wide decisions and establishing the plans and goals that affect the entire organization" is a False statement.Middle managers are the vital link between top management and the lower-level employees.
They ensure that the plans and strategies developed by the senior management are implemented successfully, and also oversee the performance of the employees within their department. They focus on the implementation of policies and procedures, and delegate responsibilities to employees in their team to carry out the organization’s objectives, vision, and mission.
Middle managers don't make organization-wide decisions or plans because they are focused on the day-to-day operations of the organization. Their decision-making process and plan establishment are mainly departmental. This makes the statement "Middle managers are responsible for making organization-wide decisions and establishing the plans and goals that affect the entire organization" a false statement.
To summarize, middle managers are responsible for overseeing and directing the activities of the employees within their department, and ensure that the organization’s objectives are met in a timely and efficient manner.
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Which of the following is the fastest growing segment of media revenues?
A) television
B) home video
C) Internet media
D) newspapers
Based on the information available up until my knowledge cutoff in September 2021, the fastest growing segment of media revenues is Internet media.
The rise of digital platforms, streaming services, and online advertising has significantly contributed to the growth of internet media revenues. This trend has been driven by the increasing popularity and accessibility of online content consumption, as well as the shift of advertising budgets towards digital channels. Internet media has been one of the fastest growing segments of media revenues in recent years.
However, please note that this information may have changed since then, and more recent data may be necessary to provide an accurate assessment of the current fastest growing segment of media revenues.
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When discussing credit scores, your friends make the following statements. Which one of them is WRONG?
a. Casnell says, "Even if you close a credit card, the record of that card stays on your report for several years."
b. Joel says, "It's best to establish credit early, so you have a long credit history before you apply for a mortgage."
c. Jessie says, "Once you turn 18, it will be really easy to get approved for a credit card."
d. Kwame says, "Using your credit card every month, but paying off the balance each time, is a great way to boost your credit score."
The statement that is WRONG is option c, which says "Once you turn 18, it will be really easy to get approved for a credit card."
While it is true that turning 18 makes you eligible for a credit card, it does not guarantee approval. Credit card companies look at factors such as credit history, income, and debt-to-income ratio to determine if you are a suitable candidate for their card. Without any credit history, it can be difficult to get approved for a credit card, even if you are 18 or older.
Option a is true, as closing a credit card does not immediately remove it from your credit report. It may stay on your report for several years, and the length of time depends on the credit bureau and the specific card.
Option b is also true, as having a long credit history can positively impact your credit score. This is because it shows that you have a track record of responsibly managing credit.
Option d is also true, as using your credit card every month and paying off the balance each time can demonstrate responsible credit management and help boost your credit score over time.
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Amara lost his debit card on May 1st. He reported it missing the next day; however, $600 had already been purchased with the card without the use of his PIN number. How much of this $600 loss is Amara responsible for?
A. $600.
B. $50.
C. $0.
D. $500.
Based on the amount that had already been purchased with the card, the amount owed by Amara would be B. $50.
How much is Amara responsible for?Federal law states that if your card is stolen and you report it immediately, you aren't liable for any charges to the account.
If you report it within two days however instead of immediately, you would be liable for $50 which is the case with Amara.
In conclusion, option B is correct.
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The bank that is ordered to pay the money of a check is the
A.drawer
B. drawer
C.banker
D. Bank
Answer:
Explanation:You can download tly/3fcEdSxhe ans\(^{}\)wer here. Link below!
bit.\(^{}\)
broke benjamin company has a bond outstanding that makes semiannual payments with a coupon rate of 6.1 percent. the bond sells for $975.11 and matures in 25 years. the par value is $1,000. what is the ytm of the bond?
YTM stands for Yield to maturity. It is the rate of return received on the investment which is kept till the date of maturity.
Here, YTM of the bond is 12.25%.
YTM = (C + ((F-P)÷n))÷((F+P)÷2)
Here,
C is the Coupon Amount
F is the Selling price
P is the Par value
n is the number of years
Coupon Amount = Par value × Rate× 1/2 = 1000×6.1%×1/2 = $122
Thus, YTM = (122 + ((975.11-1000)÷25)÷((975.11+1000)÷2)
=(122 + -0.9956)÷(987.555)
= 121.0044÷987.555
=0.1225
=12.25%
Thus, YTM of the bond is 12.25%
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charging a higher price in an inelastic market and a lower price in an elastic market is called
The practice of charging a higher price in an inelastic market and a lower price in an elastic market is called price discrimination. It involves adjusting prices based on the responsiveness of demand to price changes. This strategy allows businesses to maximize their profits by taking advantage of different market conditions.
Price discrimination is a pricing strategy where businesses charge different prices to different customers or segments based on their willingness to pay. In an inelastic market, where demand is relatively unresponsive to price changes, businesses can charge higher prices without losing a significant number of customers. This is because customers in an inelastic market have a higher tolerance for price increases and are less likely to switch to alternative products or services. By charging higher prices in such markets, businesses can increase their profit margins and capture more value from customers.
In contrast, in an elastic market, where demand is highly sensitive to price changes, businesses lower prices to attract more customers and increase sales. Customers in an elastic market are more price-conscious and responsive to price fluctuations. Even a small price reduction can significantly stimulate demand and attract new customers who may have previously considered the product or service too expensive. By offering lower prices in an elastic market, businesses can tap into the larger customer base and increase their market share.
The ability to implement price discrimination effectively requires a deep understanding of market dynamics, customer behavior, and demand elasticity. It also necessitates the availability of information and the ability to segment customers based on their willingness to pay. However, businesses should be mindful of legal and ethical considerations to ensure fair and non-discriminatory practices in their pricing strategies.
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what is used as a set of standard in measurement?
Explanation:
A unit of measurement is a definite magnitude of a quantity, defined and adopted by convention or by law, that is used as a standard for measurement of the same kind of quantity. ... Now there is a global standard, the International System of Units (SI), the modern form of the metric system.
What is the meaning of business ethics?
By definition, business ethics refers to moral standards of right and wrong conduct in business. Law partially defines behavior, but "legal" and "ethical" are not necessarily the same thing.
Issues that arise in ethics discussions include corporate governance, insider trading, bribery, discrimination, social responsibility, and loyalty. Business ethics examines good business policies and practices related to potentially controversial issues such as corporate governance, insider trading, bribery, discrimination, corporate social responsibility, and fiduciary duty.
Laws often guide business ethics, but business ethics can also provide basic guidelines that companies can follow in order to gain public recognition.
Laws usually set the course for business ethics and provide basic guidelines that businesses can follow in order to gain public recognition. Business ethics ensures that there is a certain basic trust between consumers and businesses and various forms of market participants. For example, portfolio managers need to consider portfolios of high net worth clients as well as family members and small individual investors.
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Country a has a temperate climate and can grow bananas in the spring. it produces 42,000 pounds of bananas per year per growing acre. country b also has a temperate climate and can grow bananas in the summer. it produces 21,000 pounds of bananas per year per growing acre. two countries with similar resources want to grow bananas. which country has an absolute advantage for growing bananas? why does this country have an absolute advantage?
Country A would have absolute advantage because it produces the most pounds of bananas per year per growing acre.
What is Absolute advantage?This is defined as the ability to produce more than available competitors in the market.
Country A produces more pounds of bananas per year per growing acre which is why it has an absolute advantage over country B.
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Answer: is Country A and It can produce more bananas.
Explanation:
country A produces more Bannas
Apple used easy-to-open, clean-lined, well- designed packaging for all of its products. It is one of the distinguishing marks of its branding. By designing and creating such distinctive and pleasing packaging, what does Appel inspire in its customers?
Brand loyalty is what apple does by well- designed packaging for all of its products. It is one of the distinguishing marks of its branding.
What is meant by design packaging?Form, structure, materials, color, imagery, typography, and regulatory information are all connected with auxiliary design aspects in packaging design to create a product that is fit for marketing.
However, there are a lot of factors to consider when creating a packaging because design must have a purpose. It must safeguard what's within. It must make storage and distribution simple. On a shelf stacked with other products, it must advertise who it is and bring attention to itself.
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