The Weighted Average Cost of Capital (WACC) for Dell Computer is 13.13%.
How to calculate the Weighted Average Cost of Capital (WACC)?To calculate the Weighted Average Cost of Capital (WACC), we need to consider the cost of both debt and equity, weighted by their respective proportions in the capital structure.
First, we calculate the proportion of debt and equity:
Debt proportion = Total Debt / (Total Debt + Total Equity) = €1.98mil / (€1.98mil + €3.55mil) = 0.358
Equity proportion = Total Equity / (Total Debt + Total Equity) = €3.55mil / (€1.98mil + €3.55mil) = 0.642
Next, we calculate the cost of equity using the Capital Asset Pricing Model (CAPM):
Cost of equity = Risk-free rate + Beta * Equity risk premium
Assuming a risk-free rate of 3% and an equity risk premium of 5%, the cost of equity would be:
Cost of equity = 3% + 2.2 * 5% = 13%
Now, we can calculate the WACC:
WACC = (Debt proportion * Cost of debt * (1 - Tax rate)) + (Equity proportion * Cost of equity)
Assuming a cost of debt of 7% and a tax rate of 35%, the WACC would be:
WACC = (0.358 * 7% * (1 - 0.35)) + (0.642 * 13%) = 0.04786 + 0.08346 = 0.13132 or 13.13%
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Net income is $28,362. During the year, the company had $35,539 depreciation expense and a gain on sale of assets of $28,712. In addition, accounts receivable increased $6,457, supplies decreased $4,910 and accounts payable increased $9,776. What is the net cash provided by operations under the indirect method? If the answer is a source, leave the number positive. If the answer is a use, put a negative sign "-" in front of your answer.
The answer is ____ .
The net cash provided by operations under the indirect method is $34,598.
Net Income: $28,362
Depreciation Expense: $35,539
Loss on Sale of Assets: -$28,712 (since it's a gain)
Decrease in Accounts Receivable: -$6,457
Increase in Supplies: $4,910 (since it decreased)
Increase in Accounts Payable: $9,776
Net Cash Provided by Operations = Net Income + Depreciation Expense + Loss on Sale of Assets +/- Changes in Working Capital
Net Cash Provided by Operations = $28,362 + $35,539 - $28,712 - $6,457 - $4,910 + $9,776
Net Cash Provided by Operations = $34,598
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Please help me I know how to do them i just want to make sure im correct
The amount of interest that we will you receive annually on a 7% coupon rate bond with a $1,000 face value equals to $70.
How much interest will we receive?We can calculate the dollar amount of the interest rate by multiplying the bond's face value by its coupon interest rate. To calculate the annual interest on a bond with a 7% coupon rate and a $1,000 face value, you simply multiply the face value by the coupon rate.
Annual interest = Face value x Coupon rate
Annual interest = $1,000 x 0.07
Annual interest = $70
Therefore, you would receive $70 in annual interest on a 7% coupon rate bond with a $1,000 face value.
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why is there a tendency for this market to adjust from a price of p1 to p2?
Since the price ceiling is in place, there will be a scarcity of gasoline when the supply curve shifts from S1 to S2.
Because producers are reticent to sell at a lower price and consumers want more affordable items, an effective price ceiling causes excess demand and a lack of supply. Deadweight loss results as a result. Lowered product quality, extra lines, and other search costs, missed trade benefits, incorrect resource allocation, and lack are the five main impacts of price ceilings that set a maximum price below the going rate. cause a labour shortage, raise unemployment, and significantly affect the employment of teenagers. Using the inverse matrix, P1 and P2 have values of 5 and 6, respectively. Using the inverse matrix, the equilibrium prices for the three independent commodities are P1 = 4, P2 = 7, and P3 = 8, respectively.
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PROFIT/LOSS = TOTAL REVENUE - TOTAL COSTS
lan set up a taxi firm one month ago. He has calculated that his total monthly revenue was £2400.
He has added his costs together for the first month and they came to £2800. However, he spent
£1000 on a car for the business that he will not need to spend again.
1) What was his profit/loss for the month?
For the month it was €
1
2) Next month, what will his profit/loss be?
3) List 2 things that could happen that would increase his costs?
Answer:
What's the question? :) I'm an econ major btw.
Explanation:
How to inflate myself like a balloon
Answer:
get airget more air There you go :)get even more air I'll see you in the moon :0drink the air
Which of the following communication styles includes the desire to avoid conflict but still tries to manipulate the situation so the outcome is in their favor?
Passive-assertive
Passive-aggressive
Passive
Aggressive
Answer:
☆Passive aggressive☆
Explanation:
•Passive Assertive: Not a communication style.
•Passive: Developed patterns of avoiding expresing feelings/ emotions.
•Aggressive: can involve manipulation or
intimidation to achieve an end goal.
Paul lends $8,000 to Peter. Peter agrees to pay it back in ten annual installments at 7% with the first payment due in one year. After making four payments, Peter renegotiates to pay off the debt with four additional payments. The new payments are calculated so that Paul will get a 6.5% annual yield over the entire eight-year period.
Determine how much money Peter saved by renegotiating.
Given: Paul lends $8,000 to Peter. Peter agrees to pay it back in ten annual installments at 7% with the first payment due in one year. After making four payments,
Peter renegotiates to pay off the debt with four additional payments. The new payments are calculated so that Paul will get a 6.5% annual yield over the entire eight-year period. To Find: How much money Peter saved by renegotiating. Solution: Calculate the present value of $8,000 due in ten annual installments at 7% with the first payment due in one year.$8000 = R * [1 - (1+0.07)^-10] / 0.07 * (1+0.07)^-1= R * 6.2467R = $1,281.14
After four payments, Peter still owes:8000[(1 + 0.07)⁴ - (1 + 0.07)¹⁰] / [0.07(1 + 0.07)¹⁰] = $4,631.85Calculate the present value of $4,631.85 due in four annual installments at 6.5%.$4,631.85 = R * [1 - (1+0.065)^-4] / 0.065 * (1+0.065)^-1R = $1,191.64Peter saved $1,281.14 - $1,191.64 = $89.50 by renegotiating. Therefore, the money Peter saved by renegotiating is $89.50.
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A container when 3/8 full,holds 15 litres of oil.How many litres of oil would be needed to fill 5 similar containers?
Answer:
200 litres of oil
Explanation:
When the container is 3/8 full, its holds 15 litres of oil.
i.e. 3/8 = 15 litres
the container need 8/8 or 1 to be full.
If 3/8 = 15 litres. or 0.375 = 15 litres
full container will be 15/0.375 x 1
=40 litres
To fill 5 such containers will requires
=40 litres x 5
=200 litres of oil
Answer:
I want brainliest lol
Explanation:
PLEASE HELP ASAP!! CORRECT ANSWER ONLY PLEASE!!!
The function f(x) = 1,250(1 + )4t models the balance in a savings account. Which statement accurately describes the account?
A. The account had an initial balance of $1,250 and compounds monthly at an interest rate of 0.1%.
B. The account had an initial balance of $1,250 and compounds quarterly at an interest rate of 12%.
C. The account had an initial balance of $1,250 and compounds monthly at an interest rate of 4%.
D. The account had an initial balance of $1,250 and compounds quarterly at an interest rate of 1.2%.
Answer:
D
Explanation:
So lets go over our information.
We know that the initial balance is 1,250
We know that the compund rate is the stuff inside the parethese is 0.012/4(we will pick that apart later)
We know that t is the amount of periods.
We know that the 4 means quarterly compounding.
So right of the bat, we can tell that it can only be B or D.
Next, we can use the information in the parethese to find the answer between the two.
So, looking at the 0.012, we can tell that if we shift it into percentage form(multiply by 100) we can find that its 1.2%.
This number inside the parethese, which is now 1.2%, is our interest rate.
So the answer must be D.
Hope this helps!
Answer:
correct
Explanation:
The long-term rate of unemployment, determined by structural forces in labor and product markets, defines the
The long-term rate of unemployment, determined by structural forces in labor and product markets, is known as structural unemployment.
Structural unemployment refers to a type of unemployment that occurs due to long-term changes in the economy, such as changes in technology, globalization, or shifts in consumer demand. These changes can lead to a mismatch between the skills of available workers and the requirements of available jobs.
Structural unemployment is different from other types of unemployment, such as frictional or cyclical unemployment, which are typically temporary and caused by short-term factors.
Structural unemployment is influenced by various factors in labor and product markets. In labor markets, factors such as changes in technology or automation can lead to certain jobs becoming obsolete or requiring new skills. For example, advancements in robotics and artificial intelligence may replace jobs previously done by humans.
In product markets, changes in consumer preferences or competition from foreign markets can also impact the demand for certain goods and services, leading to a decreased demand for labor in specific industries.
Structural unemployment is often difficult to address through short-term measures, such as monetary or fiscal policies, as it requires long-term solutions. To reduce structural unemployment, individuals may need to acquire new skills or receive training to adapt to the changing job market. Government policies and programs that promote education and retraining can help individuals transition into new industries or occupations.
The long-term rate of unemployment, influenced by structural forces in labor and product markets, is known as structural unemployment. It occurs when there is a mismatch between the skills of available workers and the requirements of available jobs. Structural unemployment requires long-term solutions, such as education and training programs, to help individuals adapt to the changing job market.
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How can the greatest good principle lead to ethical decisions
The greatest good principle leading to ethical decisions is to put the thought of other people into consideration and to think from their perspective also.
What is the ethical decision?The ethical decision was made to have great moral support from the people and the business. This gains people's trust and creates a peaceful and morally boosted environment.
Equality, accountability, and compassion toward humanity are all inspired by ethical decisions.
It provides everyone a fresh viewpoint as well as makes you put yourself in the opposing person's viewpoint. Compare ethical or unethical behavior to proper or improper business tactics.
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The Finishing Department hod 6,500 incomplete units in its beginning Work-in-process inventory which were 100% complete as to materials and 40% complete as to conversion costs. 18.000 unts were received from the previous department. The ending Work-in-Process inventory consisted of 3.500 units which were 50% complete as to materials and 40% complete as to conversion costs. The Finishing Department uses first.in, first-out (FIFO process costing How many units were started and completed during the period? Multiple Choice a. 24,500 b. 14,500 c. 15,000 d. 21,000
The units that were completed during the period is 21,000.
So, the answer is D.
Given Data:
In beginning Work-in-process (WIP) inventory = 6,500 units
18,000 unts were received from the previous department
Ending WIP = 3,500 units
Conversion cost = 40%
Materials cost = 100%
Using FIFO (First in first out) process costing, we have to determine the number of units started and completed during the period
.Now, the total number of units in beginning WIP and received from the previous department is:
Units transferred in from the previous department + Units already in Finishing Department's WIP inventory = 18,000 + 6,500 = 24,500 units
Thus, a total of 24,500 units were started during the period.
The units that were completed during the period is given by:
Units started during the period - Units in ending WIP inventory= 24,500 - 3,500 = 21,000 Units
Therefore, the correct answer is d. 21,000 units.
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If the price of gasoline increases, most likely, ceteris paribus, the result will
be:
A. An increase in the demand for cars.
B. An increase in the supply for cars
C. A decrease in the supply for cars
D. A decrease in the demand for cars
Answer:
A
Explanation:
Hello i am happy to answer this for you.
I believe the answer is D
My reasoning is that if the gasoline prices went up people will not want to pay for the gas anymore so people will not want gas fueled cars if they have to pay a higher price for the gasoline.
Sry if wrong
What one question do you need answered that you feel would take you into the new school year successfully?
Answer:
will i ever be bullied?
Explanation:
Answer:
Be at the top, be the most populer.
Explanation:
Everyone will respect you
Which of the following characteristics of tourism services explains which guests need to be present when the service is being performed?
Creating an anonymous complaint or grievance process is something
employers can implement to prevent which of the following?
O A. Layoffs
B. Harassment
C. Taxed income
D. Arguments
List 4 stakeholders
Answer:
Employees,Governments,Local communities,customer
in human resource management, deals with different types of people in an organization. a. affirmative action b. inclusion c. diversity d. accountability
Affirmative action is a term used to describe policies and practices that are designed to create opportunities for people who have been historically excluded from certain opportunities due to their race, gender, ethnicity, or other factors.
Affirmative action is a set of laws, policies, and guidelines put in place to ensure equal opportunity for all individuals, regardless of their race, color, gender, or national origin. It involves taking steps to provide equal opportunities for historically disadvantaged groups in areas such as education, hiring, and promotions. The goal of affirmative action is to remove barriers that have prevented these groups from fully participating in society. Examples of affirmative action include increasing access to education, creating programs to help minority businesses, and making sure that companies are hiring and promoting qualified individuals from all backgrounds.
These policies may involve actively seeking out and hiring individuals from certain backgrounds, or may involve other forms of outreach or support. Inclusion is the practice of creating an environment where everyone is welcomed and accepted. This includes recognizing and appreciating different perspectives, backgrounds, and talents. Diversity encompasses the multitude of unique characteristics that make people unique, such as their race, gender, age, religion, sexual orientation, physical ability, and more. Accountability is the practice of holding people responsible for their behavior and actions. This can include taking responsibility for mistakes and actively engaging in self-improvement. Human resource management involves creating a work environment that is fair and equitable for all, and these concepts are essential for successful management.
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df1 df2 bp total units produced 27,000 18,000 15,000 60,000 allocated joint costs ? ? ? $ 560,000 sales value at split-off $ 561,000 $ 187,000 $ 102,000 $ 850,000
The joint costs allocated to each department using the physical measure method are df1: $369,600, df2: $123,200 and bp: $67,200
To allocate the joint costs among the three products (df1, df2, and bp), we can use the sales value at split-off method. This method allocates joint costs based on the relative sales value of each product at the split-off point.
First, we need to calculate the total sales value at split-off for all three products:
Total Sales Value at Split-Off = $561,000 + $187,000 + $102,000 = $850,000
Next, we can determine the allocation percentages for each product by dividing the individual sales value at split-off by the total sales value at split-off:
df1 Allocation Percentage = $561,000 / $850,000 = 0.66 or 66%
df2 Allocation Percentage = $187,000 / $850,000 = 0.22 or 22%
bp Allocation Percentage = $102,000 / $850,000 = 0.12 or 12%
Now, we can allocate the joint costs based on the allocated percentages
df1 Allocated Joint Costs = 0.66 * $560,000 = $369,600
df2 Allocated Joint Costs = 0.22 * $560,000 = $123,200
bp Allocated Joint Costs = 0.12 * $560,000 = $67,200
Therefore, the allocated joint costs for each product are as follows:
df1: $369,600
df2: $123,200
bp: $67,200
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.What are some potential difficulties that you might encounter when doing business in the Chinese market?
Answer:
The answer is below
Explanation:
There are various potential difficulties one might encounter when doing business in the Chinese market. Some of which are:
1. Intellectual property issue: this is an area of business that is known to be one of the big issues in China. It is reported that a lot of inventors have problems in protecting their inventions, as many other competitors can just pick the invention idea and build on it without sanctions.
2. Governmental challenges: there is a huge issue of lack of transparency and corruption in China, most especially against foreign business owners.
3. Market Access: because of the diverse and big difference in consumers' consumption habits and distribution operations in China compared to other countries, most especially non-Indochina countries, will make the market access difficult for foreign business.
4. Consumer preference: consumers' preference in China is reported to be different and distinct compared to what is obtained outside China. Hence, foreign business owners will find it challenging to cope.
5. Bureaucracy: to obtain necessary licenses and permits in china requires going through a long process, which may even be more delayed to foreign business owners.
The weak form of the emh states that ________ must be reflected in the current stock price.
The weak form of the emh states that All past information, including security price and volume data must be reflected in the current stock price.
What is the EMH?The efficient market hypothesis (EMH), also referred to as the efficient market theory, is a theory that holds that share prices accurately reflect all available information, making ongoing alpha generation impractical.
It is impossible for investors to purchase discounted stocks or to sell them at inflated prices, according to the EMH, because equities always trade on exchanges at their fair value.
According to the weak version of the EMH, the current stock price must reflect all past data, including security price and volume information.
Because of this, it should be challenging to outperform the market as a whole through expert stock selection or market timing, and the only way for an investor to see higher returns is to invest in riskier assets.
So, according to the weak form of the EMH, (A) the present stock price must reflect all historical information, such as security price and volume data.
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use an optimization model to determine the best course of action for your real estate company, using the following assumptions: you wish to maximize the net present value of profit over the next eight quarters. assume 6% irr, compounding quarterly. (so 1.5% per quarter) in each neighborhood in which they open an office, they will achieve a baseline of 5.5% market penetration, and earn a 5% commission on sales. for every .1% the commission you charge decreases, your market penetration will increase by .15%, (down to a minimum penetration of 4% or a maximum of 6%) you must pay rent and utilities in each office you open each month. determine the average cost per gross square foot of commercial real estate in your neighborhood for the last year (in nyc historical). [when determining this value, you should exclude properties where gross square feet or sale price is unknown.] each month you will pay 1.5% of this for rent and utilities for each square foot of office space you rent. you must rent at least 250 square feet of office space, plus 125 for each employee you hire. you may hire up to 3 employees. each employee you hire costs a yearly salary $65,000 including benefits, and increases your market penetration by .5%. your monthly operating budget is $15,000. you may add other assumption you deem realistic so long you provide the explanation in your report.
The best course of action for the real estate company is to open offices in neighborhoods with higher market penetration and lower commercial real estate costs, hire up to 3 employees, and set commission rates to achieve maximum net present value of profit over the next 8 quarters while staying within the monthly operating budget of $15,000.
To optimize net present value of profit, the real estate company should analyze market penetration, commission rates, and real estate costs in each neighborhood to determine which locations will yield the highest profit.
The company should also hire up to 3 employees to increase market penetration while staying within the operating budget. The commission rate should be set to maximize profit while also taking into account the relationship between commission rates and market penetration.
The company should aim to rent office space in neighborhoods with low commercial real estate costs and high market penetration, and adjust the office space size to meet the minimum requirements while minimizing costs.
Finally, the company should regularly monitor and adjust its strategy to adapt to changing market conditions.
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assume that the government regulates this monopoly by setting a price ceiling at the fair return (break even) price. what would be the price and quantity?
If the government controls monopoly by enforcing a price cap equal to MC, there will be no profit or producer - surplus.
How does a producer biology work?
The producers are organisms capable of photosynthesizing. A producer is any type of green plant. Green plants obtain their energy from sunlight by absorbing it and utilising it to manufacture sugar. This sugar, often referred to as glucose, is utilised by the plant to create a range of materials, such as wood, leaves, roots, and bark. Producers are creatures that have the capacity to grow their own food. They frequently have living things in them. Through the process of photosynthesis, they are able to harvest solar energy and turn it into food.
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Rising interest rates have made borrowing more costly to consumers. As a result
of the most recent increase in interest rates, borrowing and consumption have
fallen throughout the economy, triggering a contractionary period. Growing
uneasy, citizens have been asking Congress to make an official statement as to
how long this contractionary period is expected to last. Which of the following is
an appropriate response?
Answer:
it depends on the measures taken to ensure that economy is stable.
Answer:
1. it is difficult to say since contractionary periods have varying lengths in different business cycles.
2. shock
3. high unemployment
4. two
5. expansion stage of the business cycle
Explanation:
just took it
QUESTION 2 2.1 Today marketing management must pay special attention to packaging so that products are (10) displayed in the best possible way." Explain any FIVE requirements of good packaging
Marketing management today must pay special attention to packaging to ensure that the product (10) is presented in the best possible way. Packaging serves a variety of roles. This includes providing protection, security, improved usability, attractive appearance, and optimal design.
Marketing management is an organizational discipline that focuses on the practical application of marketing directions, methods, and techniques within enterprises and organizations, and on the management of the marketing resources and activities of an enterprise. In a nutshell, marketing management is the process of planning, implementing, and tracking an organization's marketing strategy.
This includes marketing plans, campaigns, and tactics used to create and meet the needs of your target audience to increase profitability. The four types of marketing management typically represent the four components of the marketing mix: product, price, promotion, and location. But the marketing mix is not marketing management. Some types of advanced marketing management include managing resources, tasks, projects, and operations.
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what is the minimum amount of money for which an sar should be filed?
Answer:
the answer is amount 20000
Explanation:
there isnt one cus its a direct question
which of the following items describe the two classifications of adjusting entries?
The two classifications of adjusting entries are: Accruals and Deferrals
Accruals: Adjusting entries for accruals involve recognizing revenues or expenses that have been earned or incurred but have not yet been recorded. This includes adjusting entries for accrued revenues (revenues earned but not yet received) and accrued expenses (expenses incurred but not yet paid).
Deferrals: Adjusting entries for deferrals involve recognizing revenues or expenses that have been recorded but need to be allocated over multiple accounting periods. This includes adjusting entries for deferred revenues (revenues received but not yet earned) and deferred expenses (expenses paid but not yet incurred).
These two classifications of adjusting entries ensure that financial statements accurately reflect the revenues and expenses for a specific accounting period, even if the cash transactions have not yet been completed.
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While most public procurement is focused on goals like those of purchasing departments in the private sector, U.S. federal government purchases must comply with the:
While most public procurement are focused on goals like those of the private sector, the federal government purchases has to comply with the Federal Acquisition Regulation
What is the Federal Acquisition Regulation?This regulation is the primary one for all executive agencies that has to do with the way they buy and use supplies/services with the funds that have been appropriated for the purposes.
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The daily interest multiplier for a savings account paying 2% annual interest for 180 days
is 1.010050. What compound amount will be in a savings account if $5,000 is
on deposit in the savings account for 180 days?
Answer:
$5,050.25
Explanation:
The daily interest multiplier has already been stated to reflect interest earned over a 180-day investment timing horizon, hence , in order to determine the compound of $5,000 saved for 180 days, we simply multiply the daily interest multiplier for 180 days by the actual amount saved as shown below:
FV=PV*interest multiplier
FV=future value=amount in the savings account after 180 days=the unknow
PV=the amount placed in savings account= $5,000
interest multiplier= 1.010050
FV=$5,000* 1.010050
FV=$5,050.25
Despite the high cost of medical technology do you support more
investment in medical technology? Why or why not?
Yes, I support more investment in medical technology despite its high cost. The reason for this is that medical technology can significantly improve patient outcomes, reduce healthcare costs in the long run, and lead to advancements in medical research and development. It can also create job opportunities and stimulate economic growth in the healthcare industry.
Medical technology has transformed the healthcare industry in recent years, resulting in significant advancements in patient care and outcomes. The development of innovative medical devices, diagnostic tools, and treatments has provided healthcare professionals with new and improved ways to diagnose, treat, and prevent diseases and injuries. This has led to better health outcomes for patients, improved quality of life, and a reduction in healthcare costs over the long term.
Investing in medical technology can have many benefits, such as increasing the accuracy of diagnoses, minimizing the risks associated with surgical procedures, improving medication delivery, and making healthcare more efficient and effective. It can also lead to the development of new medical technologies and treatments that can address previously untreatable conditions or diseases.
Medical technology also plays an essential role in medical research and development, allowing researchers to investigate new treatments, test hypotheses, and discover new ways of understanding and treating diseases and injuries. This has led to significant advances in our understanding of the human body, genetics, and the causes of diseases.
Investing in medical technology also creates job opportunities and stimulates economic growth in the healthcare industry. As the demand for medical devices and services increases, more healthcare professionals, researchers, and developers are needed to keep up with the pace of innovation. This can lead to the creation of new jobs, increased tax revenue, and economic growth in the healthcare sector.
Despite the high cost of medical technology, investing in it can bring about many benefits. Improved patient outcomes, reduced healthcare costs, medical advancements, job creation, and economic growth are some of the benefits that can be achieved by investing in medical technology. Therefore, I support more investment in medical technology.
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