Yes,I agree that Distributor 2 will maintain higher inventories once they have reached $1,000,000 in sales.
Why is this so ?This is because they are carrying a wider variety of products,which means they need to have more stock on hand to meet customer demand.
The first distributor, on the other hand, is only carrying a single brand of motor,so they can get away with carrying less inventory.
Here are some additional reasons why Distributor 2 might have higher inventories.
They may be carrying a wider range of sizes andmodels of motors.They may be carrying more inventory in each size and model.Learn more about inventory:
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In a particular contribution pension plan, 50% of the participants make their contributions to fund A , 40% to fund B, 25% to fund C and 20% to funds A and B. Participants who make contibutions to funds A or B, do not make a contribution to fund C.
(a) Please draw a Venn diagram (using R) reflecting this situation.
(b) What percentage of the participants choose to make contributions to other funds in the pension plan (that is, other than A, B and C) ?
(c) What percentage of the participants make contributions to exactly one of the three funds (that is, A, B and C) ?
(d) Is a participant's choice of making a contribution to fund A independent of his her choice of contributing to f Î und B ? Please explain why or why not.
(e) If we pick a person who contributes to exactly one of the three funds (that is, A, B and C), what is the probability that he she contributes to fund B ?
(f) If we pick a person who does cont not ribute to fund C, what is the probability that he she contributes to at least one of the two funds A and B ?
(a) The Venn diagram representing the contribution pension plan situation is shown below.
(b) X% of the participants choose to make contributions to other funds in the pension plan.
(a) The Venn diagram for the contribution pension plan can be drawn as follows:
_____________
| A |
|_____________|
/ \
____________/ \_______________
| B B |
|___________ _____________|
\ /
\___________________/
C
The circles represent the funds A, B, and C. The overlapping areas indicate the participants who contribute to multiple funds. Fund A has 50% of the participants, Fund B has 40%, and Fund C has 25%. The overlapping region between Funds A and B represents the 20% of participants who contribute to both A and B.
(b) To calculate the percentage of participants who choose to make contributions to other funds (excluding A, B, and C), we need to find the complement of the union of A, B, and C. Since A and B have an overlapping region, we subtract the participants in that region only once. The percentage can be calculated as follows:
Percentage = 100% - (Percentage of A + Percentage of B + Percentage of C - Percentage of (A and B))
(c) To find the percentage of participants who make contributions to exactly one of the three funds (A, B, and C), we need to consider the individual percentages of A, B, and C and subtract the overlapping regions:
Percentage = Percentage of A - Percentage of (A and B) + Percentage of B - Percentage of (A and B) + Percentage of C
(d) The choice of making a contribution to fund A is independent of the choice of contributing to fund B if the percentage of participants who contribute to both funds A and B is equal to the product of the percentages contributing to each fund individually. In this case, the percentages are not provided, so we cannot determine the independence based on the given information.
(e) To calculate the probability that a person who contributes to exactly one of the three funds (A, B, and C) also contributes to fund B, we need to find the percentage of participants contributing to fund B among those who contribute to only one fund.
Probability = (Percentage of B - Percentage of (A and B)) / (Percentage of A - Percentage of (A and B) + Percentage of B - Percentage of (A and B) + Percentage of C)
(f) To calculate the probability that a person who does not contribute to fund C contributes to at least one of the two funds A and B, we need to find the percentage of participants contributing to either A or B among those who do not contribute to fund C.
Probability = (Percentage of A + Percentage of B - Percentage of (A and B)) / (100% - Percentage of C)
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i need help somebody!!!!!!
Answer:
oxygen
Explanation:
The pictogram for oxidizing products is an "o" with flames on top of it. The "o" is for oxygen and the flames show that oxidizers are significant fire hazard if they are not handled properly. There are three types of oxidizing product: oxidizing gases, oxidizing liquids and oxidizing solids.
True or false? A cartel is an agreement among rival firms to set prices independently.
False.
A cartel is an agreement among rival firms to coordinate their actions, typically to fix prices or output levels in order to increase profits. In a cartel, firms work together to reduce competition and increase their collective market power. This can result in higher prices for consumers and reduced innovation in the market. Cartels are often illegal and can result in significant fines and other penalties for the firms involved. It is important to note that while cartels involve agreements among firms, they do not involve independent price-setting. Rather, prices are typically set collectively by the firms involved in the cartel. Overall, cartels are a serious threat to competition and market efficiency, and are typically subject to strict regulation and enforcement.
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What health issue did Feiler face that led him to consider his family?
What's the present value of $13,500 discounted back 5 years if the appropriate interest rate is 9%, compounded semiannually?
Select the correct answer.
a. $8,703.52 b. $8,696.52 c. $8,693.02 d. $8,707.02 e. $8,700.02
Present Value is c. $8,693.02.
The first step in solving this problem is to determine the number of compounding periods. Since the interest rate is compounded semiannually, there are 5 years * 2 = 10 semiannual periods. Next, we need to calculate the semiannual interest rate. To do this, we divide the annual interest rate by 2: 9% / 2 = 4.5%. We can now use the present value formula: PV = FV / (1 + r)^n Where PV is the present value, FV is the future value (in this case, $13,500), r is the interest rate per period (4.5%), and n is the number of periods (10). Plugging in the numbers: PV = $13,500 / (1 + 0.045)^10 = $8,693.02
Therefore, the correct answer is a. $8,703.52.
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Bailey Airline Company is considering expanding its territory. The company has the opportunity to purchase one of two different used airplanes. The first airplane is expected to cost $24,570,000; it will enable the company to increase its annual cash inflow by $6,300,000 per year. The plane is expected to have a useful life of five years and no salvage value. The second plane costs $36,520,000; it will enable the company to increase annual cash flow by $8,300,000 per year. This plane has an eight-year useful life and a zero salvage value.
Required:
a-1. Determine the payback period for each investment alternative. (Round your answers to 1 decimal place.)
PAYBACK PERIOD
ALTERNATIVE 1 ??? years
ALTERNATIVE 2 ??? years
a-2. Identify the alternative Bailey should accept if the decision is based on the payback approach.
Payback period = Initial investment/Annual cash flow, ALTERNATIVE 1 = 3.9 years, ALTERNATIVE 2= 4.4 years,
ALTERNATIVE 1 = 24570000/6300000 = 3.9 years, ALTERNATIVE 2 = 36520000/8300000 = 4.4 years Determine the alternative that Bailey should choose if the payback strategy is used to make the decision. When using the payback period technique Because Alternative 1 has a shorter payback period than Alternative 2, it should be accepted. The phrase "payback time" describes the number of periods needed to reimburse the original monetary expenditure. It is, in other words, the length of time that an equipment, facility, or other asset has generated enough net income to pay its investment costs. The initial amount of cash needed to open an account or start a buy-in relationship is known as an initial investment.
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When interviewing, you should always try to lean towards the more formal side. In general, you would want to dress one step higher than those who currently work there
Answer: False, it'll be right to appear moderate and coperate
Explanation:
When attending interviews it's advised you put on your best behavior and look good. It won't be encouraging to out-dress the existing workers, it won't speak fantastic to dress better bit it's required to look good and moderate
last year harrington inc. had sales of $325,000 and a net income of $19,000, and its year-end assets were $295,000. the firm's total-debt-to-total-capital ratio was 52.5%. the firm finances using only debt and common equity, and its total assets equal total invested capital. based on the dupont equation, what was the roe? do not round your intermediate calculations.
Equity multiplier = Assets / Equity =1.21 , Profit margin = NI / Sales = 5.85 %,TATO = Sales / Assets = 1.30 , ROE =9.21% .
What is ROE, or return on equity?A financial performance metric known as return on equity (ROE) is calculated by dividing net income by shareholders' equity. ROE is regarded as the return on net assets because shareholders' equity is equal to a company's assets minus its debt.
A company's profitability and profitability efficiency are considered to be measured by ROE. A company's management is more effective at generating income and growth from its equity financing when the ROE is higher. A company's net income is the sum of its net income, net expenses, and taxes for a given period. Equity is added at the beginning of each period to determine average shareholders' equity. The period's beginning and end ought to coincide with the period in which net income is generated.
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. Describe an example of a company that manufactures a product. (2-4 sentences. 1.0 points)
Answer:
The Coca-cola Company is a company that manufactures products. It is a multi-national company that manufactures soft drinks.
Explanation:
The Coca-Cola Company is an American company, and producer, retailer, and marketer of nonalcoholic drink stores and sugars. As the consumers demand for more the producers supply more. Further more you can easily find the substitutes of Coca-Cola for example if it’s expensive you can move to Pepsi brand which is the same.
Faldo Corp sells on terms that allow customers 45 days to pay for merchandise. Its sales last year were $325,000, and its year-end receivables were $60,000. If its DSO is less than the 45-day credit period, then customers are paying on time. Otherwise, they are paying late. By how much are customers paying early or late? Base your answer on this equation: DSO - Credit Period = Days early or late, and use a 365-day year when calculating the DSO. A positive answer indicates late payments, while a negative answer indicates early payments.a. 21.27b. 22.38c. 23.50d. 24.68e. 25.91
Answer:
b. 22.38
Explanation:
The credit period to pay for merchandise is 45 days, sales for last year = $325,000, therefore sales/day (daily sales) = $325,000/365 = $890.41
Year-end receivables = $60,000
Company DSO = Year-end receivables/ daily sales = $60000/$890.41 = 67.38
The difference between the Company DSO and credit period determines if the payment is early or late. A positive answer indicates late payments, while a negative answer indicates early payments.
Therefore, Company DSO - credit period = 67.38 - 45 = 22.38
Since the difference is positive, it is a late payment
Discuss the unique selling proposition and value proposition.
The Unique Selling Proposition (USP) and Value Proposition are two essential marketing concepts. Both concepts aim to attract and convince customers, but they approach it from different angles.
The Unique Selling Proposition (USP) is a marketing concept that emphasizes the unique qualities or features of a product or service that set it apart from competitors in the market. It answers the question, "Why should customers choose this product over others?" The USP focuses on identifying and communicating the distinct advantages and benefits that make a particular offering stand out. This could be achieved through factors such as superior quality, innovative features, competitive pricing, exceptional customer service, or a specialized niche focus.
On the other hand, the Value Proposition is a broader concept that encompasses the overall value and benefits that a product or service provides to customers. It goes beyond the unique aspects and delves into the core value that customers derive from using a particular offering. The Value Proposition communicates how the product or service addresses customer needs, solves their problems, or fulfills their desires. It emphasizes the benefits, outcomes, or experiences that customers can expect, such as time savings, cost reduction, convenience, improved performance, increased productivity, or enhanced satisfaction.
While the USP focuses on highlighting the unique features and advantages that differentiate a product or service, the Value Proposition aims to convey the overall value and benefits that customers can expect. Both concepts play a crucial role in marketing strategies, as they help businesses attract and persuade customers to choose their offerings.
The USP captures attention by showcasing distinct qualities, while the Value Proposition appeals to customers by demonstrating the tangible and intangible value they will gain. Together, they form a powerful combination to communicate the competitive advantages and benefits of a product or service, ultimately influencing customer buying decisions.
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The decision to innovate
A. depends on the marketing department's needs.
B. is based on the marginal cost and the marginal revenue of innovation.
C. is unnecessary in a monopolistically competitive market.
D. depends on whether the firm wants to benefit its customers.
E. None of the above answers is correct.
Answer:
D hope that helps you out
Profession in medical are not practice for money but for public welfare? Do you support this statement? Explain.
please help me
Answer:
Explanation:
if a Doctor decrease his price than poor people can get a better health care for them it
What two accounts are affected when a business buys supplies on account?
Suppose Nationwide increases the insurance premium they charge for their auto policies by 12 percent. In response, the demand for State Farm auto policies in a small town increases from 3 comma 000 to 3 comma 300. What is the cross-price elasticity of demand for State Farm auto policies in this town? Using the midpoint formula, the cross-price elasticity of demand for State Farm auto policies is nothing. (Enter your response rounded to three decimal places.)
Answer:
0.794
Explanation:
Cross price elasticity of demand measures the responsiveness of quantity demanded of good A to changes in price of good B.
Cross price elasticity of demand = percentage change in quantity demanded of good A / percentage change in price of good B
Midpoint change in quantity demanded = change in quantity demanded / average of both demands
change in quantity demanded = 3300 - 3000 = 300
average of both demands = (3300 + 3000 ) / 2 = 3150
300/3150 = 0.095238 = 9.5238%
Cross price elasticity = 9.5238% / 12% = 0.794
If cross price elasticity of demand is positive, it means that the goods are substitute goods.
If the cross-price elasticity is negative, it means that the goods are complementary goods.
Which of the following best describes the law of supply and demand?
A. When a desirable product or service is plentiful, its value increases.
B. Businesses can charge extra for products that people use every day.
C. When there is a high demand for a product, it is hard to supply.
D. When a desirable product or service is scarce, its value increases,
Answer:
d is you answer
Explanation:
Answer:
D. When a desirable product or service is scarce, its value increases.
Explanation:
Because more people want a product that there is less of, meaning they will raise the price.
1. Define Trade, Import and Export
2. List items the U.S. imports and exports.
Answer:
food and clothing
Explanation:
import is to bring things from a different country for sale. export is to give things to a different country or place for sale. trade is to transfer or exchange something from a different country.
biases, blind spots, and other human frailties that lead to poor managerial decisions fall under the concept of
Biases, blind spots, and other human frailties that lead to poor managerial decisions fall under the concept of managerial conceit.
Marketing managers sometimes display "managerial conceit" when they think they can utilize their managerial skills to reduce the possible negative effects of these external circumstances. Marketing managers display arrogance, acting as if they can "control the odds" relating to this external component, acting on cues that make them believe they can control some external aspect.
Such conceit-ridden assumptions propagate and influence managers judgments regarding the whole marketing endeavor. The management of a specific corporation results in mismanagement, which affects the organization's overall productivity and business operations. Economic catastrophes, economic fluctuations, economic instability, and a decline in the global economy are only a few of the significant variables that might influence a choice.
The correct answer is option A.
The complete question is, "Biases, blind spots, and other human frailties that lead to poor managerial decisions fall under the concept of
A. managerial conceit
B. Strategic envelope
C. Entrepreneurial culture
D. Competitive aggressiveness"
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Tariffs Group of answer choices may be imposed either to raise revenue (revenue tariffs) or to shield domestic producers from foreign competition (protective tariffs). are per-unit subsidies designed to promote exports. are excise taxes on goods exported abroad. are also called import quotas.
Answer:
imposed either to raise revenue (revenue tariffs) or to shield domestic producers from foreign competition (protective tariffs).
Explanation:
A tariff is a compulsory sum levied on the importation of goods. the purpose of tariffs is either to raise revenue (revenue tariffs) or to shield domestic producers from foreign competition (protective tariffs). by imposing tariffs, imported goods become more expensive. this discourages importation and encourages individuals to patronise locally produced goods.
what does white space mean in terms of advertising?
A. Space within the advertising region that is text only
B. Space within the advertising region that is filled
C. Space within the advertising region that is colorful
D. Space within the advertising region that is left unmarked and unfilled
Answer:
D. Space within the advertising region that is left unmarked and unfilled
Explanation:
Hope this helps!!
The meaning of the word white space in advertising refers to Space within the advertising region that is left unmarked and unfilled. Thus, option (D) is correct.
What is Advertising?Advertising is a marketing strategy that involves paying for advertising space to sell a product, service, or movement. Marketing messages, or ads for short, are the real commercial messaging.
Advertising's purpose is to contact those who are most likely to be ready to pay for a company's goods or services and convince them to purchase them.
White space in a design is empty space or negative space that occurs surrounding all text in a design layout used in advertising. The space may seem to be empty, yet it is most likely the most crucial aspect of how the design seems to the human eye.
Therefore, it can be concluded that option (D) is correct.
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On January 1, 2020 Truffle Corp entered into a five-year installment note for $100,000 at 7% interest. The note requires a monthly payment of $1,980. Question 1: The journal entry to record the payment on January 31, 2020 will include a: $98,603 Question 2: What is the new Carrying Value of the Note Payable after the journal entry?
Hi! I'd be happy to help with your questions regarding Truffle Corp's installment note.
Question 1: To record the payment on January 31, 2020, the journal entry will include:
1. Debit Interest Expense for the monthly interest ($100,000 * 7% / 12) = $583.33
2. Debit Note Payable for the principal amount ($1,980 - $583.33) = $1,396.67
3. Credit Cash for the total monthly payment = $1,980
Question 2: The new Carrying Value of the Note Payable after the journal entry will be the original amount minus the principal amount paid:
$100,000 (Original Note Payable) - $1,396.67 (Principal Amount Paid) = $98,603.33 (New Carrying Value)
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One benefit of a savings account is that you can earn interest on your deposits
O True
O False
Answer:
O True
Explanation:
A savings account offers a safe and secure platform for firms and households to save money. Savings accounts are offered by financial institutions such as banks and credit unions. When customers open savings accounts, they save by depositing money in their savings accounts.
Banks and credit unions require customer deposits to create loans for other customers. They encourage customers to save by offering interest on savings or deposits. It is true that banks pay interest on customer savings.
which wheel settings change when you mount the subframe incorrectly in the transverse direction? Check all that apply
TOE
CAMBER
STEERING AXIS INCLINATION (SAI)
CASTER
The wheel settings that change when you mount the subframe incorrectly in the transverse direction is "CASTER" (Option D)
What is Caster?Caster is the process of aligning a wheel with the direction of travel, which can be performed by caster displacement or caster angle. As with the front wheels of a shopping cart, caster displacement shifts the steering axis forward of the axis of wheel rotation. The steering axis is moved away from the vertical by the caster angle.
The caster angle, also known as the castor angle, is the angular displacement of the steering axis from the vertical axis of a steered wheel of a car, motorbike, bicycle, another vehicle, or watercraft as seen from the side.
Positive caster enhances the responsiveness of your vehicle while negotiating bends and the stability of your car when going at greater speeds. The sole disadvantage of a positive caster is that it increases the amount of effort required to steer your car.
Turning plates and a digital or bubble camber/caster gauge are the two most common methods for measuring caster angles. Measuring the upper and lower wishbone mounting points or the MacPherson strut angle.
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what's two examples of a direct competition?
Answer and Explanation:
Direct competition is a type of competition where two or more businesses offers the same kind of product and compete in the similar market.
The examples like dominos versus pizza hut in terms of food, HP versus Dell in terms of laptop
So in this examples they sell the same kind of products and compete each other
if the federal reserve decided to raise interest rates, it could a. buy bonds to lower the money supply. b. buy bonds to raise the money supply. c. sell bonds to lower the money supply. d. sell bonds to raise the money supply.
Option c is correct. If the federal reserve decided to raise interest rates, it could sell bonds to lower the money supply.
One of the most intricate organizations in the world is the Federal Reserve, which serves as the nation's central bank. The Fed is best recognized for directing the greatest economy in the world and deciding how much it costs consumers and businesses to borrow money. Low borrowing costs might make the difference between a company opting to make new investments or recruit additional employees. However, high prices might discourage both consumers and businesses from making large purchases and from employing.
Higher Fed interest rates result in higher borrowing costs for financing anything from a car or home to your credit card transactions. This is due to important borrowing rate benchmarks, such as the prime rate, which affect some of the most popular lending products.
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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
Consider the case of an investor, Nazim: Nazim wants to include putable bonds in his investment portfolio. Nazim is likely to put the bonds when: He expects to use the cash when the bond matures. He is in need of cash.
Nazim is likely to put the bonds when he is in need of cash.
What is a putable bond?
A putable bond is a debt instrument that gives the holder the right but not the obligation to sell a bond at a predetermined price when the price of the bond is below a certain price.
For example, if the current price of a bond is 100 and the bondholder buys a put option with a strike price of 90. If price of the bond falls to 90, he sells the bond.
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look at the comparison between nike and under armour and answer the following questions: which company has the greater increase in stock price over the period? which company shows a more favorable profitability over the period?
To compare the stock price increase and profitability between Nike and Under Armour, I would need access to the specific stock price data and financial statements of both companies over the given period.
To determine which company has a greater increase in stock price, you would need to compare the percentage change in stock prices of Nike and Under Armour over the specified period.
To assess which company shows more favorable profitability, you would need to analyze financial ratios and metrics such as net income, profit margin, return on assets (ROA), return on equity (ROE), and other relevant financial indicators from their financial statements.
I recommend accessing reliable financial sources or conducting a comparative analysis of Nike and Under Armour's financial statements, stock performance, and profitability metrics to obtain accurate and up-to-date information for a meaningful comparison.
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which of the following below is not one of porter's five forces?
Answer:
Buyer power
Supplier power
Rivalry among existing competitors
Prices of major inputs
Explanation:
High when buyers have few choices of whom to buy from and low when their choices are many
Optimization of Shareholder wealth is not one of porter's five forces.
What is porter's five forces?Porter's Five Forces Framework is a method for analyzing a company's competitive operating environment. It derives five forces from industrial organization economics that determine the competitive intensity and, thus, the attractiveness of an industry in terms of profitability.
Porter's Five Forces is a model that identifies and analyzes five competitive elements that impact every industry and aids in determining the strengths and weaknesses of that industry. The Five Forces analysis is commonly used to determine business strategy by identifying the structure of an industry.
A framework for today ’s dynamic business environment is Porter's Five Forces.
Porter's Five Forces is a widely used framework for assessing the competitive forces that influence a wide range of business sectors.
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a tax on buyers causes which of the following? (i) a leftward shift of the demand curve (ii) a decrease in quantity sold (iii) an increase in the price buyers pay (ii) and (iii) only (i) (i), (ii), and (iii) (i) and (iii)
A Tax on buyers causes all of the following listed in the option. So the correct option is a. (i), (ii), and (iii). A tax on buyers causes a leftward shift in the demand curve, a decrease in the quantity of goods sold, and an increase in the price buyers pay.
Taxation refers to a certain sum of money collected by the government from either the sellers or buyers on purchasing or producing goods and services. Taxation decreases the incentives of the entities. A tax on buyers signifies that a sum of money is collected from the consumers while purchasing certain goods through increased price.
In addition, a tax reduces the quantity traded, thereby reducing some of the gains from trade. A tax increases the price a buyer pays by less than the tax.
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