It is known as The law of Demand.
Demand law states that the quantity purchased varies inversely with price. In other words, when the price rises, the amount demanded drops. This occurs as a result of falling marginal utility.
Customers will desire fewer units of an item at a greater price, in accordance with the law of demand, which is a cornerstone of economics.
Demand is determined by the concept of decreasing marginal utility, which holds that consumers use economic goods to initially satisfy their most urgent needs.
These limitless needs are the focus of the law of demand. In their economic behavior, individuals naturally prioritize more urgent demands and requirements over less urgent ones, and this pattern extends to how they pick among the limited resources at their disposal.
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What is globalization?
In a market economy, equilibrium stays constant and never moves.
True or false
Answer:
false
Explanation:
there is always change in equilibrium any time demand or supply changes.
An energy production company has the following information regarding the acquisition of new gas-turbine equipment.Purchase price = $780,000Transoceanic shipping and delivery cost = $4,300Installation cost (1 technician at $2,000 per day for 4 days) = $6,400Tax recovery period = 16 yearsBook depreciation recovery period = 8 yearsSalvage value = 12% of purchase priceOperating cost (with technician) = $185,000 per yearThe manager of the department asked your friend in accounting to enter the appropriate data into the tax-accounting program. What are the values of B, n, and S in depreciating the asset for tax purposes that he should enter?The value of B is determined to be $ .The value of S is determined to be $ .The value of n is determined to be years.
The manager of the department has asked to enter the appropriate data into the tax-accounting program. The value of B, for tax depreciation purposes, is $ 119,615.70. The value of S, for tax depreciation purposes, is $93,600. The value of B, for tax depreciation purposes, is 16 years.
To determine the values of B, n, and S for tax depreciation purposes, we need to use the Modified Accelerated Cost Recovery System (MACRS) which is a method of depreciation required by the Internal Revenue Service (IRS) in the United States.
First, we need to determine the asset's class life which is based on its recovery period. The recovery period for gas-turbine equipment is 10 years, so it falls under the 7-year MACRS property class.
Next, we need to determine the applicable percentage from the MACRS depreciation tables for the 7-year property class. For the first year, the applicable percentage is 14.29%. For the second year, it is 24.49%. For the third year, it is 17.49%. For the fourth year, it is 12.49%. For the fifth year, it is 8.93%. For the sixth year, it is 8.92%. And for the seventh year, it is 8.93%.
Using this information, we can calculate the values of B, n, and S as follows:
B = (Purchase Price + Shipping and Delivery Cost + Installation Cost) x Applicable Percentage for Year 1
B = ($780,000 + $4,300 + $6,400) x 14.29%
B = $119,615.70
n = Recovery Period in Years
n = 16 years
S = Purchase Price x Salvage Value Percentage
S = $780,000 x 12%
S = $93,600
Therefore, the values of B, n, and S for tax depreciation purposes are as follows:
The value of B is determined to be $119,615.70.
The value of S is determined to be $93,600.
The value of n is determined to be 16 years.
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True or false: Employers pay the same amount of social security and Medicare taxes as the employee pays.
O True
O False
by the year 2000, the global cost of disasters had exceeded $600 billion.
By the year 2000, the global cost of disasters had exceeded $600 billion. This highlights the significance of disaster management and preparedness.
Disasters can have far-reaching impacts on not only individuals and communities but also on entire economies. Therefore, it is critical to invest in disaster preparedness and mitigation strategies. While the financial costs of disasters are substantial, they are not the only consequence. Disasters can also lead to loss of life, displacement, food insecurity, and environmental degradation. To address these challenges, it is crucial to take a comprehensive approach that considers the social, economic, and environmental dimensions of disasters. This can involve strategies such as early warning systems, risk reduction measures, and disaster response plans.
Ultimately, disaster management should prioritize the protection of human life and promote sustainable development.
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Poitioning" i a marketing management aid that refer to: _________ A. How cutomer think about propoed and/or preent brand in a market
Positioning is a marketing management tool that describes how consumers perceive existing and/or potential brands in a certain market. So, the suitable option will be option (a).
Give a brief account on marketing management.Marketing management applies economics and competitive strategy techniques to analyze the business environment in which the organization works. Marketers use SWOT analysis to focus on the relative competitive strengths and weaknesses of each competitor in the market as they create extensive profiles of each competitor. Marketing managers will look at each rival's cost structure, profit sources, assets, and capabilities as well as its competitive positioning, product differentiation, level of vertical integration, past responses to market changes, and other elements.
Market and marketing research are frequently conducted by marketing management in order to undertake marketing analysis. Although there are many techniques used by market researchers, the following are some of the most common ones :
Focus groups and different kinds of interviews are examples of qualitative marketing research.statistics surveys are examples of quantitative marketing research.experimental methods, including test marketsTechniques of observation like ethnographic (on-site) observationTo know more about, marketing management, visit :
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The complete question is mentioned below :
"Positioning" is a marketing management aid that refers to: ______
A) how customers think about proposed and/or present brands in a market.
B) a product's ability to provide both immediate satisfaction and social responsibility.
C) how a firm approaches customer relationship management.
D) a firm's ability to distribute products through intermediaries who are in the right position to reach target customers.
E) all of these alternatives are true.
Select the best answer for the question.
Which of the following is not a step in the problem-solving procedure?
A. Use trial and error to find an answer.
B. Read the problem carefully.
C. Check your work.
D. Decide which operations to use.
Answer:
Your answer is A. Have a good day! :)
Explanation:
4. What is the law of demand?
Answer:
The law of demand states that quantity purchased varies inversely with price. In other words, the higher the price, the lower the quantity demanded. This occurs because of diminishing marginal utility.
what factors motivate a central bank to require the two selected
Dls to hold minimum amounts of liquid assest?
Central banks typically require banks to hold minimum amounts of liquid assets in order to ensure that they have the ability to meet short-term obligations and to maintain financial stability.
One factor that motivates central banks to do this is the need to prevent bank runs and systemic risks that could destabilize the economy. Another factor is the need to ensure that banks have sufficient reserves to weather unforeseen events, such as economic downturns or sudden market disruptions. Additionally, central banks may require minimum liquid asset holdings as a means of controlling inflation or managing the money supply.
By holding liquid assets, banks are able to quickly access cash and meet their obligations, which in turn helps to maintain overall economic stability.
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why is market development necessary ?
An effective social media policy includes an element that
o prevents all use of social media during daytime hours.
o vaguely threatens employees who violate the policy.
o applies consistent standards across all social media networks.
o encourages anonymity when posting on social networks.
An effective social media policy includes an element that applies consistent standards across all social media networks. Therefore option C is correct.
What is Social Media?The phrase "social media" refers to a computer-based technology that makes it possible to share concepts, ideas, and knowledge through online groups and networks. Social media is internet-based and allows users to share anything quickly, including movies, images, documents, and personal information.
Users interact with social media using web-based software or applications on a computer, tablet, or smartphone. Despite being widely used in America and Europe, Asia, particularly Indonesia, leads the world in social media usage. By October 2021, there will be more than 4.5 billion users of social media.
Therefore option C is correct.
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a higher beta for an asset reflects a. lower risk. b. lower covariance between the asset's returns and market returns. c. higher covariance between the asset's returns and the market returns. d. none of these choices are correct
The correct answer is c. Higher beta for an asset reflects higher covariance between the asset's returns and the market returns. Beta is a measure of the sensitivity of an asset's returns to changes in the market returns.
A beta of 1 indicates that the asset's returns move in line with the market returns, while a beta greater than 1 indicates that the asset's returns are more sensitive to market movements.
Higher beta assets have higher risk than lower beta assets because they are more volatile and subject to larger fluctuations in value.
Therefore, investors demand a higher return to compensate for the additional risk. Lower covariance between the asset's returns and market returns would result in a lower beta, while lower risk is not associated with higher beta. Therefore, the correct answer is c, higher covariance between the asset's returns and the market returns.
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deman is ____ when the price change results in a proportional change in quantity
demanded. This type of demand is __________________ to find.
Answer:
Unit elastic, difficult
Cms may eliminate any increase in payment due to the occurrence of selected post-admission complications, known as:.
Answer:Hospital Acquired Conditions
Explanation:
CMS may eliminate any increase in payment due to the occurrence of selected post-admission complications known as Hospital Acquired Complications.
What are hospital-acquired conditions?Illnesses that arise when a patient is in the hospital for another reason result in suffering from these conditions known as Hospital Acquired conditions.
To reduce the causes of these spreads, Hospitals have developed reduction programs that aim to promote hospitals to enhance patient safety by reducing the number of conditions associated with hospitalization of the patient.
These reduction programs help them to design better safety and security to restrict this kind of infection.
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Read the case and answer all the questions that follow.
Roberto wrote the following email to Jessica Li, a customer who had requested a refund.
(1) SUBJECT: Ticket for claim #82492 is resolved; Damaged product is not the responsibility of the vendor
(2) Dear valued customer,
(3) Upon receiving your complaint and description of a damaged product, an investigation was conducted to identify the source of the problem. All products from that particular batch underwent stringent quality controls. Any damage that had occurred must have occurred during transportation by a third-party vendor or by the customer after opening the package. We regrettably cannot accept any responsibility for any damages.
(4) Please now that we value you as a customer. As a token of appreciation for your loyalty, we have included a 10 percent off coupon on your next purchase of more than $100.
(5) Feel free to reach out with any questions.
Roberto Jimenez
Customer Service Representative
Analyze the email above and identify the primary problem with paragraphs (1), (2), (3), (4) and (5) of the email. Revise and rewrite the email to make it more effective.
The primary problem in the email from Roberto Jimenez, a customer service representative, to Jessica Li, a customer who had requested a refund is its tone.
The tone of the email comes across as defensive and unempathetic to the issue the customer raised. This could affect customer loyalty and discourage her from purchasing from the company in the future. Besides, the email is not well-organized and doesn't follow a logical sequence.
To make the email more effective, it needs a proper format and tone. The email can be revised as follows: Subject: We are sorry for the inconvenience and are committed to providing excellent service. Dear Valued Customer, We are sorry to hear about the issue you had with the product you received from us.
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A firm offloads some of its production costs to 3 rd parties. This would contribute to market failure because: Consumers would love the lower prices. Private benefits would not be the same as the benefits to society as a whole. Private costs would be the same as the costs to society as a whole. The firm would lose money.
A firm offloading some of its production costs to third parties would contribute to market failure because the private benefits of lower prices for consumers would not be the same as the benefits to society as a whole. In this scenario, private costs would remain the same as the costs to society as a whole, leading to market inefficiency. The correct option is b.
When a firm offloads some of its production costs to third parties, it may result in market failure because the private benefits, which are the benefits enjoyed by the firm and its customers, may not align with the benefits to society as a whole. While consumers may appreciate the lower prices resulting from offloading costs, the broader societal impacts, and costs are not adequately accounted for.
Offloading production costs to third parties can have negative consequences for society. For example, if a firm externalizes its environmental costs by polluting the air or water, the private benefits of cost savings may be enjoyed by the firm and its customers, but the negative impacts on public health and the environment affect society as a whole.
The correct option is b.
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Ayayai Corp. has assets of $3578000, common stock of $939000, and retained earnings of $576000. What are the creditors' claims on their assets?O 2063000O 2036000O 2053000O 2043000
The creditors' claims on the assets of Ayayai Corp. can be calculated by subtracting the shareholders' equity (common stock and retained earnings) from the total assets. In this case, the creditors' claims are $2063000. The correct answer is A).
The creditors' claims on the assets of Ayayai Corp. can be calculated as follows
Total claims = Total assets - Shareholders' equity
Total claims = $3578000 - ($939000 + $576000)
Total claims = $3578000 - $1515000
Total claims = $2063000
Therefore, the creditors' claims on Ayayai Corp.'s assets are $2063000. The correct option is (a) 2063000.
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In order to make up for a budget deficit, the government can do what?
Answer:
print more money
Explanation:
it makes sense if u think bout it
Answer:
Budget deficit is when the government exceeds its budget, meaning they have spent a lot more money than they were initially supposed to, and thus need to get more money for other issues. So what the government will usually do is take out loans and sell government bonds.
Explanation:
Hope this helps :)
In what position would you find pennies in a cash drawer?
a. Top right section
C. Bottom right section
b. Top left section
d. Bottom left section
WWW
what is the supply of labor?
Answer:
The total supply of labour in an economy is its working population or labour force.
Explanation:
haley is helping to choose members for a customer satisfaction team which of the following employees demonstrate skill in focusing on the team's purpose?
Answer: Jesse constantly looks for better ways to solve problems for customers
Explanation:
Customer satisfaction refers to the measurement which deals with the happiness and satisfaction of customers with the product and service of a company.
Since Haley is helping to choose members for a customer satisfaction team, then the employee who can help the team focus on the its purpose is Jesse who constantly looks for better ways to solve problems for customers.
Which of the following businesses is NOT possible to be rivaled?
A. an electric company
B. a mall
C. an airline company
D. a telecommunication provider
Answer:
A. an electric company
Explanation:
Among all the options given above, it is an electric company that cannot be rivaled due to the fact that, all household definitely need electricity in-order to power their home. Due to the nature of the company and how capital intensive it is, it would always be in demand by the people.
The human resource manager is undecided about whether to use internal or external
recruitment for filling the supervisor vacancy. Which method would you recommend? Justify
your answer, with advantages and disadvantages.
Cameron Enterprises, Inc. is considering launching a new corporate project. The company will have to make Capital Investments, Working Capital investments, and generate Cash Flows from Operating the new project. The Equipment required for the project will cost $3,000,000 today, will last for three years (the length of the project), and is estimated at the time of purchase to sell for $300,000 at the end of its life. Revenue is projected at $5.0M in the first year, $5.3M in the second year, $5.6M in the third year, $5.9 in the fourth year, $6.0M in the fifth year, and $5.0M in the final year. The investment in Net Working Capital is $300,000 initially, with the year-end values at 10% of that year's sales. The company uses Straight-Line depreciation and has a Tax Rate of 27%. The appropriate discount rate for the risks involved is 10%. Per your DCF analysis of the project, what is the cash flow from the change in net working capital in year five?
a. An outflow of $100,000.b. An inflow of $100,000.c. An inflow of $500,000.d. An outflow of $500,000.
e. None of the above.
Since the change in net working capital is a positive value of $300,000, the correct answer is:
c. An inflow of $500,000.
The cash flow from the change in net working capital in year five can be calculated by considering the initial investment in net working capital and the year-end values at 10% of that year's sales.
Given that the initial investment in net working capital is $300,000, we need to calculate the year-end value in year five.
First, we calculate the year-end value in year five by multiplying the sales in year five ($6.0M) by 10%.
Year-end value in year five = $6.0M * 10% = $600,000
Next, we calculate the change in net working capital by subtracting the initial investment from the year-end value in year five.
Change in net working capital in year five = $600,000 - $300,000 = $300,000
The change in net working capital in year five is an inflow of $500,000 because the year-end value in year five ($600,000) is higher than the initial investment ($300,000), resulting in a positive change of $300,000.
The cash flow from the change in net working capital in year five is an inflow of $500,000.
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What is the purpose of the Bill of Rights essay?
It outlines the relationship between Americans citizens' constitutional rights and their government. People are granted civil liberties and rights, such as the freedom of expression, the press, and religion.
All of the powers not granted to the Federal Government are reserved for the people or the States, and it establishes guidelines for due process of law. People who live in the United States of America are referred to as Americans. Although the majority of Americans were direct citizens and nationals, numerous dual citizens, expatriates, and lengthy residents can also legitimately claim American nationality. People of many diverse ethnic and racial backgrounds call the United States home; as a result, American culture and law do not identify nationality with race or ethnicity but instead with citizenship and an oath of everlasting allegiance.
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PLEASE HELP ASAP!! CORRECT ANSWER ONLY PLEASE!!!
Mr. Slater invested $100,000 in a portfolio that is contains 60% stocks and 40% bonds. Over the course of a year, the value of the stocks increased to 67%, and the value of the bonds decreased to 33%. The current value of his investment is $118,400. How much should Mr. Slater move from stocks to bonds to rebalance his portfolio to 60% stocks and 40% bonds?
A. $8,900
B. $8,500
C. $8,288
D. $8,100
Answer:
8,288
Explanation:
Mr. Slater should move 8,288 from stocks to bonds to rebalance his portfolio to 60% stocks and 40% bonds
Answer:
C
Explanation:
Place the steps to creating a budget in order:
Figure out your net income.
Make a list of fixed expenses
Make a list of variable expenses.
Adjust expenses as needed
Determine if you have enough income to cover all your expenses.
Answer:
1. Figure out your net income
2. Determine if you have enough income to cover all your expenses
3. make list of variable expense
4. make list of fixed expenses
5. adjust expense
done !
The stock in Up-Towne Movers is selling for $44.40 per share. Investors have a required return of 11 percent and expect the dividends to grow at 3.5 percent indefinitely. What was the dividend the company just paid
The dividend that the company just paid was $1.554 per share.
The dividend that the company just paid, we can use the following formula:
D1 = D0 × (1 + g)
here:
D1 = dividend at time 1
D0 = dividend at time 0
g = growth rate of the dividend
We are given that the stock is currently selling for $44.40 per share and that the investors have a required return of 11 percent. This means that the current stock price reflects the present value of all future dividends, discounted at 11 percent. We are also given that the dividends are expected to grow at a rate of 3.5 percent indefinitely.
Using the constant growth model, we can calculate the expected dividend yield as follows:
D1 / P0 = 0.035
here:
P0 = current stock price
Put in the given values, we get:
D1 / $44.40 = 0.035
D1 = $44.40 × 0.035
D1 = $1.554
Therefore, the dividend that the company just paid was $1.554 per share.
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Dahlla is in the 32 percent tax rate bracket and has purchased the following shares of Microsoft common stock over tie years: If Dahlia sells 800 shares of Microsoft for $40,000 on December 20.2022, what is her capital gain or loss in each of the following assumptions? Note: Do not round intermedlate calculations. She uses the FIFO method.
Using the FIFO method, Dahlia's capital gain is $14,790. Using the specific identification method to minimize current-year capital gain, Dahlia's capital gain is $24,790.
To calculate Dahlia's capital gain or loss, we need to determine the cost basis of the shares sold and subtract it from the proceeds of the sale.
a. Using the FIFO method (First-in, First-out):
Based on the FIFO method, the shares purchased first are considered sold first.
Step 1: Calculate the cost basis for the shares sold using the FIFO method.
Dahlia sells 800 shares, so we need to determine the cost basis of the oldest 800 shares.
Shares purchased on 7/10/2011: 400 shares with a basis of $12,000
Shares purchased on 4/20/2012: 300 shares with a basis of $10,750
Shares purchased on 1/29/2013: 100 shares with a basis of $2,460 (remaining shares after selling 700 shares from the previous purchase)
Total basis for the 800 shares sold = $12,000 + $10,750 + $2,460 = $25,210
Step 2: Calculate the capital gain or loss using the cost basis and the proceeds from the sale.
Proceeds from the sale = $40,000
Capital gain or loss = Proceeds - Cost basis = $40,000 - $25,210 = $14,790
b. Using the specific identification method to minimize current-year capital gain:
With the specific identification method, we can choose the specific shares to sell to minimize the capital gain.
Step 1: Determine the shares with the highest cost basis that can cover the 800 shares sold.
We start with the shares purchased on 7/10/2011: 400 shares with a basis of $12,000.
We need to sell at least 400 shares from this purchase.
Proceeds from selling 400 shares = (400 / 800) * $40,000 = $20,000
The remaining shares to sell = 800 - 400 = 400 shares
Step 2: Determine the next highest cost basis shares to cover the remaining shares sold.
We consider the shares purchased on 4/20/2012: 300 shares with a basis of $10,750.
We need to sell 400 shares, but we only have 300 shares available from this purchase.
Proceeds from selling 300 shares = (300 / 400) * $20,000 = $15,000
The remaining shares to sell = 400 - 300 = 100 shares
Step 3: Determine the next highest cost basis shares to cover the remaining shares sold.
We consider the shares purchased on 1/29/2013: 100 shares with a basis of $2,460.
We sell all 100 shares from this purchase.
Proceeds from selling 100 shares = (100 / 100) * $15,000 = $15,000
Step 4: Calculate the capital gain or loss using the proceeds from the sale.
Total proceeds from the sale = $20,000 + $15,000 + $15,000 = $50,000
Capital gain or loss = Proceeds - Cost basis = $50,000 - $25,210 = $24,790
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------------The given question is incomplete, the complete question is:
"Dahlia is in the 32 percent tax rate bracket and has purchased the following shares of Microsoft common stock over the years: Date Purchased Shares Basis 7/10/2011 400 $ 12,000 4/20/2012 300 10,750 1/29/2013 500 12,230 11/02/2015 250 7,300 If Dahlia sells 800 shares of Microsoft for $40,000 on December 20, 2021, what is her capital gain or loss in each of the following assumptions? (Do not round intermediate calculations.)
a. She uses the FIFO method.
b. She uses the specific identification method and she wants to minimize her current-year capital gain."-------------
The difference in income between the richest and poorest citizens is called a command economy. unemployment. private property. the wealth gap.
Answer:
the wealth gap.
Explanation:
The difference in income between the richest and poorest citizens is called the wealth gap.
This ultimately implies that, the wealth gap is the difference between the richest and poorest citizens living in a geographical location based on the level of their assets and net worth i.e assets minus their debts.
Hence, the information generated by the government based on the wealth gap of its citizens is typically used for formulating economic policies, plan and financial budgets.
The difference in income between the richest and poorest citizens is called the wealth gap.
What is wealth gap?Wealth gap can be defined as the difference in the income earned by the richest and the poorest citizen.
When a rich person earn more than a poor person this indicate a disparity in wealth distribution between the rich and the poor.
This tend to lead to what is called wealth gap based on the fact that their is no equality as the rich earn more than the poor.
Inconclusion the difference in income between the richest and poorest citizens is called the wealth gap.
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