The form of alternative dispute resolution (ADR) that is most likely being used in this scenario is mediation.
What is the dispute resolution about?Mediation is a form of ADR in which a neutral third party, the mediator, helps the parties to reach a mutually acceptable solution to their dispute. The mediator does not make a decision for the parties but rather facilitates communication and negotiation between them.
Therefore, In this scenario, both parties have selected a neutral third party to help facilitate communication and are meeting to discuss the issue. This suggests that they are engaging in a form of ADR that involves negotiation and communication rather than a decision imposed by an outside authority, such as arbitration. Therefore, it is most likely that they are using mediation to settle their dispute.
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I don’t understand this and need help
Which of the following describes interest compound on the principle, excluding previously earned interest?
a- future value
b- present value
c- simple interest
d- compunding
Answer:
c- simple interest
Explanation:
Simple interest is the interest attained on the principal amount only. It is expressed as a percentage of the principal amount. Because the principal amount does not change, and the interest rate remains constant, the simple interest amount is a constant figure throughout the investment life.
Simple interest contrast compound interest that earns interest on previously earned interest.
val-com inc. provides customer service support for a variety of industries. their brand name is well known, and as a service firm, it does not have to protect any proprietary technology. what mode of entry is most suitable for service companies like val-com inc. where its main asset is its brand name?
Service businesses like Val-Com Inc. are the best candidates for franchising.
What is franchising?A marketing concept that can be used by an organization as a method of business expansion is franchising. Where applicable, a franchisor grants a franchisee a license to use all or part of its operational methods, intellectual property, business model, brand, and rights to market and sell its branded goods and services. In exchange, the franchisee agrees to pay certain fees and adhere to specific requirements, usually outlined in a franchise agreement.
Particularly in the normal setup where the franchisee is an individual, unincorporated partnership, or small privately-held business, franchising is rarely an equal partnership because this will assure the franchisor has significant legal and/or financial advantages over the franchisee.
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what integers represent the total of 7 electrons
The integer that represents the total of 7 electrons is -7.
What is an electron?The electron is a subatomic particle with an elementary electric charge of -1. Electrons are the first generation of the lepton particle family and are considered elementary particles because they lack any known components or substructure.
An electron is a negatively charged subatomic particle that can be bound to or free from an atom (not bound). A bound electron is one of the three primary types of particles within an atom, the other two being protons and neutrons. The nucleus of an atom is made up of electrons, protons, and neutrons.
Therefore, since it's negative, it'll be -7.
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On July 1, 2021, the CFAS Corporation was registered with the SEC. Its authorized share capital consists of 100,000 ordinary shares with par value P20.00 per share.
On July 15, 2021, it issued 10,000 shares at P23 per share. On October 15, 2021, the CFAS Corp. paid to the majority shareholder the sum of P80,000 for a certain parcel of land; and issued 5,000 ordinary shares for the building on the land. The land was appraised at P130,000. The building has a cost of P150,000 and its depreciated value is P90,000. It was appraised at P120,000.
On April 15, 2022, the corporation purchased 5,000 of its own ordinary shares for P100,000. On June 15, 2022, 2,000 of the treasury shares were sold at P24 per share.
How much is the total share premium of CFAS Corp. on June 30, 2020?
The total share premium on June 30, 2022, is:P4 per share × 2,400 shares = P9,600.
The CFAS Corporation registered with the SEC on July 1, 2021. Its authorized share capital comprises 100,000 ordinary shares with a par value of P20.00 per share. The answer is that there is no share premium for the CFAS Corp on June 30, 2020. It did not exist during that period. In July 15, 2021, the company issued 10,000 shares at P23 per share. This means the total value of the shares issued on July 15, 2021 was 10,000 × P23 = P230,000. There was no par value difference, therefore no share premium on this issue. On October 15, 2021, the CFAS Corp paid the majority shareholder P80,000 for a piece of land. It also issued 5,000 ordinary shares for the land's building. The land was valued at P130,000. The building has a cost of P150,000 and its depreciated value is P90,000. It was valued at P120,000.The value of the land was P130,000 while the building's valuation was P120,000. As a result, the fair value of the building and land was P250,000. The amount of the ordinary shares that were paid to the majority shareholder was P80,000. As a result, the share premium is P250,000 less P80,000 = P170,000.On April 15, 2022, CFAS Corp bought 5,000 of its own ordinary shares for P100,000.
This purchase resulted in a decrease in the number of shares outstanding. There is no effect on the total share premium since the number of outstanding shares has not changed.On June 15, 2022, the corporation sold 2,000 of the treasury shares at P24 per share. This resulted in an increase in the number of outstanding shares. The treasury shares' book value was P100,000, which was the price paid for them. The shares were sold for P24 per share, which means the total proceeds from the sale of 2,000 shares were 2,000 × P24 = P48,000. The amount of the increase in share capital was P48,000 divided by P20.00 per share = 2,400 shares. The shares were sold at a premium of P4 per share since the market price of CFAS Corp's shares was P24 per share while their par value was P20.00 per share. Therefore, the total share premium on June 30, 2022, is:P4 per share × 2,400 shares = P9,600.
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when purchase costs are (rising/declining) , lifo will report the lowest cost of goods sold yielding the highest gross profit and net income.
When purchase costs are declining, LIFO (last-in, first-out) will report the lowest cost of goods sold, yielding the highest gross profit and net income.
LIFO stands for last-in, first-out, and it is a method of accounting for inventory costing. The last goods obtained are the first to be sold under this approach. As a result, the value of inventory on the balance sheet is based on the oldest inventory items.
LIFO has a big effect on the cost of goods sold and, as a result, net income. When purchase costs are increasing, LIFO will report the highest cost of goods sold and the lowest gross profit, lowering net income. When purchase costs are decreasing, however, LIFO will report the lowest cost of goods sold and the highest gross profit, raising net income. Therefore, when purchase costs are declining, LIFO will report the lowest cost of goods sold, yielding the highest gross profit and net income.
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Which of these interview questions is not allowed under federal antidiscrimination laws?
How would your last manager describe you?
How many years did you work for your past employer?
How many children do you have?
How did you hear about this position?
Answer:A
Explanation:how would your last manager describe you?
The question "How many children do you have?" is not allowed under federal antidiscrimination laws as it pertains to a protected characteristic (family status) and can lead to potential bias. Thus, option C is correct.
Federal antidiscrimination laws stand as the societal guardians of equity, forged to dismantle the fortress of bias and foster inclusivity.
Crafted within the crucible of historical struggles, these laws are the firmament that shields individuals from the tempest of prejudice, ensuring that opportunities are forged not by factors beyond control, but by merit alone.
They crystallize the ideals of justice, championing a harmonious coalescence of diverse voices, backgrounds, and experiences. An armor against bias, these laws endeavor to sculpt a world where individual brilliance shines irrespective of race, gender, religion, disability, or other protected characteristics.
Thus, option C is correct.
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The monetary policy of jaune is controlled by the country's central bank known as the bank of jaune. the local unit of currency is the jaunian dollar. aggregate banking statistics show that collectively the banks of jaune hold $220 million of required reserves, $55 million of excess reserves, have issued $5,500 million of deposits, and hold $440 million of jaunian treasury bonds. jaunians prefer to use only demand deposits and so all money is on deposit at the bank.
The value of the money supply after banks adjust to the change in the reserve requirement is $6,875 million (option b)
Required Reserves = 220million
Excess Reserves = 55 million
Deposits = 5,500 million
In hold = 440 millions
Tazians prefer to use only demand deposits
and the bank has all of the money on deposit. Thus, the amount of money in circulation is 0.
Reserve Requirement = Required Reserves/deposit
=220/5500
=4%
Currency deposit ratio = 0%
Excess reserves to deposit ratio
= Excess Reserves / Deposits
= 55 /5,500
= 1%
Monetary base = Currency in circulation + Required reserves + Excess reserves
= 0 +220 + 55 = 275 million
If the Bank of Tazi changes the reserve
need ratio to 3% while maintaining the same level of excess reserves
Therefore total reserves Required = 3% + 1%
= 4%
Money Multiplier = 1 divide by 0.04 = 25
Therefore Money Supply = Monetary Base * Money Multiplier = $275 * 25
= $6,875 million
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The complete question is given below
The Monetary Policy of Jaune is controlled by the country's central bank known as the Bank of Jaune. The local unit of currency is the Jaunian dollar. Aggregate banking statistics show that collectively the banks of Jaune hold $220 million of required reserves, $55 million of excess reserves, have issued $5,500 million of deposits, and hold $440 million of Jaunian Treasury bonds. Jaunians prefer to use only demand deposits and so all money is on deposit at the bank.
Refer to Scenario 29-1. Suppose that the Bank of Jaune changes the reserve requirement to 3 percent. Assuming that the banks still want to hold the same percentage of excess reserves what is the value of the money supply after banks adjust to the change in the reserve requirement?
a.
$7,175 million
b.
$6,875 million
c.
$7,875 million
d.
$1,375 million
A company's ________ tells you how much money the company has left over after subtracting all expenses. A. Net profit B. Gross profit C. Revenue D. Cost of goods sold Please select the best answer from the choices provided A B C D
Answer:
A. net profit is the correct anwer..
Answer:
A.
Net profit
Explanation:
What are some exceptions to the federal minimum wage?
Answer:
Explanation:
It keeps the states from setting the minimum wage at less than that amount. States can choose to set their state minimum at a higher amount, but not a lower amount.
Often states with a higher minimum wage, set it higher because the cost of living is higher in some states than others. If the cost of living is the same or lower than the federal, the states often do not pay more than the federal amount.
Answer:
There are many exceptions to the federal minimum wage, each pertaining to a different area including, but not limited to, State Laws (which typically have their own legislations), Workers with Disabilities, Youth workers, Tipped workers (servers, hosts, etc.), among many others.
Explanation:
Check out the article found at the link below to find a more thorough explanation of each of the exceptions I mentioned, and more. I am not sure of the age of the article, but all of the information I was able to see was still relevant.
https://work.chron.com/exceptions-minimum-wage-laws-19497.html
Good luck in your studies!
Bought goods
for
cash $100
to double
entry system.
Answer:Purchase account Dr.$100
cash account Cr.$100
Explanation:
between the price of $10 and $14 supply is inelastic. what does this statement mean
This statement means that within the price range of $10 to $14, the supply of the product or service is relatively unresponsive to changes in price. In other words, a change in price within this range would not significantly affect the quantity of the product or service that suppliers are willing to produce and offer for sale.
Inelastic supply typically occurs when it is difficult or costly for suppliers to adjust their production levels in response to changes in price. For example, if the production of a product requires specialized equipment or resources that are limited in supply, then suppliers may not be able to quickly increase their output even if the price of the product rises. In such cases, a higher price may only result in a small increase in the quantity supplied, if any.
On the other hand, if the supply is elastic, then a small change in price would result in a relatively larger change in the quantity supplied, indicating that suppliers are more responsive to changes in price.
lollllaoqlqlwlwkwjebsnan
The Earth has a moment of inertia, I = 8.04×10^37 kg*m^2. The Earth rotates at a moderate angular velocity of 7.2921159 ×10^−5 radians/second.
Using Conservation of Angular Momentum we can find the new rotation of the earth.
L=I*omega= 8.04×10^37 kg*m^2 * 7.2921159 × 10^−5 = 5.86286*10^33.
5.86286*10^33 = (8.04×10^37 + 1.5424*10^22) *omega
-> solve for omega = 7.292115899502489e-05
This is 4.97511e-15 rad/s slower than earth's original rotation. This translates to 6.752*10^-10 seconds = 0.6752 nanoseconds longer per day.
Write a dynamic succseess plan for your capital growth
My dynamic success plan for capital growth is focused on four key areas: education, investment strategy, risk management, and discipline.
First and foremost, I will prioritize ongoing education to stay up-to-date on market trends and changes. I will dedicate time and resources towards researching and studying successful investment strategies and making informed decisions that align with my goals and values.
My investment strategy will be a diversified approach with long-term value in mind. I will focus on allocating resources to areas that have historically shown steady growth, while also being discerning with individual stock picks.
Risk management will also play a critical role in my success plan. I recognize that investing comes with inherent risks, and I will actively monitor and adjust my portfolio to balance risk and reward.
Finally, discipline is key to success in any endeavor. I will stick to my investment plan, stay patient through market fluctuations, and avoid reactionary decisions. Over time, I am confident that my focus on education, strategy, risk management, and discipline will help me achieve my capital growth goals.
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fill in the blank question fill in the blank question.a marketing mix strategy that works well in one market may be successful for other markets in the same segment, allowing the firm to the marketing mix across segments.
"A marketing mix strategy that works well in one market may be successful in other markets in the same segment, allowing the firm to replicate the marketing mix across segments.
"A marketing mix strategy is a set of actions used to promote a product or service to its target market. Marketing mix elements include product, price, promotion, and place. The marketing mix strategy can be used in various markets, including the same segment in different markets. This is because the marketing mix strategy is designed to satisfy the needs of customers in a specific segment. A marketing mix that is successful in one market may be effective in another market in the same segment. This approach makes it possible to replicate the marketing mix across segments.
The marketing mix will have to be tailored to meet the unique requirements of each market segment to optimize the results of a particular strategy.
Question: fill in the blank question.a marketing mix strategy that works well in one market may be successful for other markets in the same segment, allowing the firm to the marketing mix across segments.
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Select all that apply.
Common skills assessments administered during the employment interview process include:
none of the above
science
keyboarding
math
Answer:
Keyboarding and Math :)
Explanation:
Machine has three speed settings, low medium fast the low setting produces 110 units with a 90% quality rating the medium setting produces 120 units with an 80% quality rating in the fast setting produces 140 units with a 70% quality rating if each unit sells for $20 what shutting makes the company the most money in sales win percentage not meeting quality standards cannot be sold
The low setting makes the company the most money in sales, with a total revenue of $1980
To determine which setting makes the company the most money, we need to calculate the total revenue generated by each setting while taking into account the quality rating. For the low setting, the company produces 110 units with a 90% quality rating, which means that 10% of the units are not sellable. So, the total number of sellable units is 110 x 0.9 = 99 units. The revenue generated from selling these units is 99 x $20 = $1980. For the medium setting, the company produces 120 units with an 80% quality rating, which means that 20% of the units are not sellable. So, the total number of sellable units is 120 x 0.8 = 96 units. The revenue generated from selling these units is 96 x $20 = $1920.
For the fast setting, the company produces 140 units with a 70% quality rating, which means that 30% of the units are not sellable. So, the total number of sellable units is 140 x 0.7 = 98 units. The revenue generated from selling these units is 98 x $20 = $1960.
Therefore, the low setting makes the company the most money in sales, with a total revenue of $1980
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When the price of chocolate chip cookies increased to $3 per package, Samantha began to buy oatmeal cookies
instead. This situation is an example of the
The supply curve slopes upward because at a higher price, producers have
to produce more.
The price of shirts declines dramatically. Javier now feels richer and buys more shirts than he normally would. This
situation is an example of the
substitution effect The supply curve slopes upward because at a higher price, producers have an incentive to produce more.
Answer: Here go the right answer and I got it right
Explanation:
When the price of chocolate chip cookies increased to $3 per package, Samantha began to buy oatmeal cookies instead. This situation is an example of the substitution effect.
The supply curve slopes upward because at a higher price, producers have an incentive to produce more.
The price of shirts declines dramatically. Javier now feels richer and buys more shirts than he normally would. This situation is an example of the
income effect.
What are essential elements of international sale contract?.
Why are wages and salaries generally determined by the market for labor?
According to maximum economics textbooks, our wages and salaries are decided similar to another price: with the aid of using deliver and call for. People deliver their labor, and organizations call for it, growing a marketplace for labor.
Many dealers and shoppers of exertions services. Consequently, salary and salaries are decided by the intersection of the call for exertions and the deliver for exertions. A curve displaying the one-of-a-kind portions of exertions employers are inclined to lease at one-of-a-kind salary quotes in a given time period, ceteris paribus.
Wages are determined via way of means of deliver and demand, however they may be encouraged via way of means of an extensive kind of factors, along with the price of dwelling in a selected area, the presence of a union and the present-day minimal wage.
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A student will decide to attend class when
A. The Marginal Cost in low
B. The Marginal Benefit of attending exceeds the marginal cost of attending
C. There is an attendance policy
D. The Marginal Benefit is positive
A student will decide to attend class when there is an attendance policy. Thus, option (c) is correct.
What is policy?The term policy refers to are the rules are the described in the details are the mention. The policy are the making follow to the country and the employees of the company. The policy are the making the company of the solving the issues.
A student was the decided to regularly attend lectures or classes was the main motive to fulfill the attendance policy. The attendance was the necessary to appear in the exam. An attendance was the help to gain good marks in the exams. An attendance policy was the best policy.
As a result, the student will decide to attend class when there is an attendance policy. Therefore, option (c) is correct.
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Taking more than four years to graduate will increase costs and mayimpact a return on investment. What could you check to see how long most students take to finish at an institute of higher education?
Sticker price
Graduation rate
Net cost
Student body ratio
Answer:graduation rate
Explanation: due to the fact that it shows how many students graduate and how long it took
In order to find out how many years people take to finish at the higher institutions, the graduation rate is checked.
What is the graduation rate?This the rate that is used to check if the students that began a course of 4 or 5 years in the university would graduate.
The rate is used to measure the number that finish their study in a timely manner upon the period that they enrolled.
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A credit card company advertises an APR of 14.7%, compounded daily. What
is the effective interest rate? Round your answer to two decimal places.
Answer:
16%
Explanation:
Effective interest rate = (1 + i/m)^m - 1
= (1 + 0.147/365)^365 - 1
= 0.1583
= 0.16 = 16%
How oligopoly compete with aviation industry
In an oligopoly, a few large firms dominate the market. When it comes to competing with the aviation industry, oligopolistic firms typically employ various strategies to attract customers and maintain their market share.
Here are some ways in which oligopolies can compete with the aviation industry:
Price competition: Oligopolistic firms can engage in price competition to attract customers. They may offer discounted fares, promotional deals, or competitive pricing strategies to undercut their rivals and attract passengers. Price matching and price wars can occur among oligopolistic airlines, leading to lower prices for consumers.
Product differentiation: Oligopolies often focus on product differentiation to distinguish themselves from their competitors. Airlines can differentiate their services through various means, such as offering unique amenities, onboard entertainment, comfortable seating, better customer service, loyalty programs, or additional services like complimentary meals, Wi-Fi, or extra baggage allowances. By providing a superior customer experience, oligopolistic airlines aim to attract and retain customers.
Network coverage: Establishing extensive route networks and connectivity is crucial for competing in the aviation industry. Oligopolistic airlines invest in expanding their flight routes, partnering with other airlines through code-sharing agreements or alliances, and providing convenient connections. By offering a wide range of destinations and seamless travel experiences, they can appeal to passengers seeking comprehensive travel options.
Branding and marketing: Effective branding and marketing strategies play a vital role in competing with the aviation industry. Oligopolistic airlines invest heavily in advertising, sponsorships, endorsements, and digital marketing to raise brand awareness and promote their services. They aim to create a strong brand image, emphasizing factors like reliability, safety, comfort, and superior service to differentiate themselves from competitors.
Innovation and technology: Oligopolistic firms in the aviation industry continually invest in research, development, and technological advancements. They seek to improve fuel efficiency, reduce emissions, enhance aircraft performance, and introduce new technologies that enhance the passenger experience. Innovations like improved in-flight entertainment systems, mobile apps for booking and managing flights, or self-service kiosks can give an edge to oligopolistic airlines.
Strategic alliances and mergers: Oligopolistic firms may form strategic alliances or engage in mergers and acquisitions to strengthen their competitive position in the aviation industry. By pooling resources, sharing networks, and coordinating operations, they can achieve economies of scale, expand their market reach, and increase their competitiveness against other airlines.
It's important to note that competition in the aviation industry is complex and influenced by numerous factors, including regulatory frameworks, geopolitical considerations, market demand, and cost structures. Oligopolistic firms must adapt to changing market conditions, anticipate customer needs, and respond to competitive pressures to effectively compete with the aviation industry.
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what is the independent and dependent variable?
please help
Answer:
The result should be the dependent variable. Its the result or what you can control.
Explanation:
Which economic tool would most likely be used as part of an expansionary
monetary policy?
O A. Selling treasury securities
B. Raising the reserve requirement
C. Reducing the discount rate
D. Increasing interest on reserves
Answer:
C. Reducing the discount rate
Explanation:
Expansionary monetary policies are macroeconomic undertakings by the Federal Reserve that aim at stimulating economic growth in the economy. Expansionary policies result in an increased flow of money in the country, which increases the aggregate demand.
The discount rate is the rate at which the Federal Reserve (the Fed ) charges commercial banks for advancing them credit. Reducing the discount rate makes loans from the Fed more affordable. Commercial banks will opt to borrow from the Fed at lower rates and lend out to households and firms at a higher interest rate, thereby making profits. Reducing the discount rate increases the money available for banks to lend out. Households and businesses will borrow this money for development and investments, which ignites economic growth.
Answer:
reducing the discount rate
Explanation:
ap3x
M Ltd is a 30 percent shareholder of Investment Co. Pty Ltd. The other shareholders have smaller shareholdings (around 8 to 12 percent) and are always too busy to attend annual general meetings. M Ltd has two non-executive seats on the board and the remaining three are held by other shareholders—one chief executive officer who is a shareholder and two non-executives—who do attempt to attend board meetings.
For the above independent situations, determine whether or not control exists and, if so, by which party (under IFRS 10). Discuss the reasons for your answers.
As per IFRS 10, an entity must consolidate an investee when it is exposed to variable returns from its involvement with the investee and has the power to affect those returns through its involvement with the investee.
Therefore, a company is regarded as having control over an investee if it has power, exposure or rights to variable returns from its involvement in the investee.M Ltd has a 30% shareholding in Investment Co. Pty Ltd. Control exists with M Ltd as it has the power to influence the investee's financial and operating policies. This is because M Ltd has a non-executive seat on the board, which provides them the right to participate in all the decision-making procedures of the board.
M Ltd may control the board's decision-making if they manage to persuade the CEO and the other non-executive directors to side with them.Because of M Ltd's substantial shareholding, they would receive a higher proportion of the benefits of the Investee's returns. As a result, control exists with M Ltd.Therefore, control exists in M Ltd, which has a 30 percent stake in Investment Co. Pty Ltd.
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It's your lucky day at napili ka sa special promo na ito! Meron kaming handog na FREE 150MB pang-internet, valid for 2 days kapag nag-load ka ng total of P10 bago mag 09/01/2021. Share-A-Load not included. REF#: DTR73
Industry Y is dominated by five large firms that hold market shares of 41, 21, 17, 9, and 12 percent. The four-firm concentration ratio for this industry is
The four-firm concentration ratio for this industry is 91% if a Industry Y is dominated by five large firms that hold market shares of 41, 21, 17, 9, and 12 percent.
To calculate the four-firm concentration ratio for Industry Y, we need to add up the market shares of the four largest firms.
The four largest firms in Industry Y hold market shares of 41, 21, 17, and 12 percent.
When we add these percentages together, we get:
41% + 21% + 17% + 12% = 91%
The four-firm concentration ratio for this industry is 91% if a Industry Y is dominated by five large firms that hold market shares of 41, 21, 17, 9, and 12 percent.
Therefore, the four-firm concentration ratio for Industry Y is 91%. This means that the four largest firms in the industry control 91% of the total market share.
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You run a game-day shuttle service for parking services for the local ball club. Your total costs for different customer loads are 0: $27, 1: $30, 2: $32, 3: $35, 4: $38, 5: $42, 6: $48, 7: $57, and 8: $68. a. For each customer load level beginning with 1, what is your average total cost? b. For each customer load level beginning with 1, what is your marginal cost? c. If you are compensated $9 per ride, what customer load would you want?
Answer and Explanation:
a and b. The average total cost and the marginal cost is shown below:
As we know that
Average cost is
= Total cost ÷ total number of customer loads
And, the Marginal cost is
= Additional total cost incurred for extra units generated
So based on this, the marginal cost and the average total cost are as follows
Customer load level Total cost Average cost Marginal cost
0 $27
1 $30 $30 ÷ 1 = 30 30 - 27 = 3
2 $32 $32 ÷ 2 = 16 32 - 30 = 2
3 $35 $35 ÷ 3 = 11.67 35 - 32 = 3
4 $38 $38 ÷ 4 = 9.5 38 - 35 = 3
5 $42 $42 ÷ 5 = 8.4 42 - 38 = 4
6 $48 $48 ÷ 6 = 8 48 - 42 = 6
7 $57 $57 ÷ 7 = 8.14 57 - 48 = 9
8 $68 $68 ÷ 8 = 8.5 68 - 57 = 11
c. Now the customer loan you want is
As we know that
Profit = Marginal revenue - marginal cost
And, as we can see that at marginal cost 9 we can load 7 customers so the 7 customers would be wanted