The three major federal government expenditures were Medicare and Medicaid, Social Security, and Defense.
What are the expenditures of federal government?The federal government's largest expenditure is on Social Security, which is an example of mandatory spending. Mandatory spending is the allocation of funds to specific programs mandated by law.The federal government's spending includes all government spending on public goods. A public good is one that is not exclusive or competitive.Federal government spending is one of the positive components of a country's gross domestic product. Federal government spending is also used to control the economy's money supply. The government would increase its spending if it wanted to increase the money supply. If the government wants to shrink the money supply, it must cut spending.To learn more about federal government expenditure refer to :
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The periods of time into which an mrp record is divided is called?
Security stock excess inventory held by a business to protect against demand, lead time, and supply uncertainty. Time frames. The segments of time that make up an MRP record.
What exactly is MRP?
By determining, based on demand and the bill of materials (BOM), which raw materials, components, and subassemblies are required and when to assemble the finished goods, a Material Requirements Planning (MRP) system speeds up the manufacturing production process.
Material Requirements Planning (MRP) is a software solution that assists manufacturers in more precisely determining the materials they require, at what times, and in what quantities.
Just-in-time, or JIT, is a way to manage inventory that only gets goods from suppliers when they are needed. This strategy's primary goal is to boost inventory turnover and reduce inventory holding costs.
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Can I earn by brainly?
Answer:
huh?
Explanation:
1. Suppose daily production of a CONWIP line is nearly normally distributed with a mean of 250 pieces and a standard deviation of 50 pieces. The WIP level of the CONWIP line is 1,250 pieces. Currently, there is a backlog of 1,400 pieces a new order for 100 pieces arrives. a) Quote a lead time with 95 percent confidence if the new order is placed at the end of the backlog and if it is placed in the emergency position.
b) Quote a lead time with 99 percent confidence if the new order is placed at the end of the backlog and if it is placed in the emergency position.
To quote the lead time with confidence intervals, we can use the formula:
Lead Time = WIP Level / Daily Production
a) With a 95 percent confidence level, we need to find the z-score corresponding to a confidence interval of 95 percent. The z-score is approximately 1.96.
The lead time for the new order placed at the end of the backlog is:
Lead Time = 1,400 pieces / 250 pieces per day ≈ 5.6 days
The confidence interval is calculated as:
Lead Time ± (Z * Standard Deviation)
Lead Time ± (1.96 * (Standard Deviation / Square Root of Sample Size))
Lead Time ± (1.96 * (50 / Square Root of 5))
Lead Time ± (1.96 * 22.36)
Lead Time ≈ 5.6 ± 43.77
Lead Time ≈ (-38.17, 49.37)
Therefore, with 95 percent confidence, the lead time for the new order placed at the end of the backlog is approximately 4.23 days.
If the new order is placed in the emergency position, the lead time remains the same because the daily production rate is unaffected.
b) With a 99 percent confidence level, the corresponding z-score is approximately 2.58.
Using the same formula and calculations as in part a, the lead time for the new order placed at the end of the backlog is approximately 4.77 days. Therefore, with 99 percent confidence, the lead time for the new order placed at the end of the backlog is approximately 4.77 days.
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Deep Earth Extraction, Inc., operates a facility near Estuary Bay. Discharging waste from the facility into the bay can result ina. penalties and damages.b. penalties only.c. damages only.d. none of the choices.
Deep Earth Extraction Inc. operates a facility near Estuary Bay. Discharge of waste from the facility into the Bay may result in penalties and damages. The correct answer is a.
In an effort to protect our waters and their biodiversity from chemical and biological contaminants, the U.S. Environmental Protection Agency (EPA) has committed to eliminating the discharge of toxic pollutants and wastes into the bays. Passed the Clean Water Act, which strictly prohibits it. Effluents from facilities must be treated first, and maximum permissible toxic landfills are strictly regulated to minimize damage from toxic materials. Violations of the Clean Water Act carry fines of up to $250,000 and imprisonment.
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according to sponsorship, based on a 2015 study, what percentage of the north american sponsorship market is sports?
According to sponsorship, based on a 2015 study, 70% of the North American sponsorship market is sports.
What is sponsorship?Sponsorship refers to the monetary or in-kind support given by businesses to organizations, events, or causes. Businesses benefit from increased brand recognition, improved consumer perception, and increased sales when they sponsor something.The practice of sponsoring anything in exchange for something in return is known as sponsorship.
When one firm supports another, they typically do so to increase recognition, reputation, or influence. Companies can also sponsor events, which can help them attract new customers and boost their brand image.
What percentage of the North American sponsorship market is sports?According to a 2015 report, sports events are the most popular sponsorship item, accounting for around 70% of the North American sponsorship market. Sports events are followed by entertainment and non-profit organizations, respectively, in terms of popularity.
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A company in Maine sends lobsters to France What is Maine doing? Select three options
Answer:
Following are the answer to this question:
Explanation:
Some information is missing in the question. So, the correct choices can be described as follows:
i) practicing international trade
ii) exporting products
iii) participating in globalization
Maine has been globally traded because its, company transfers it's own goods at international frontiers when a client gives lobster with France in Maine. It exports products as its goods are manufactured in one nation, in this scenario the USA, is one other country, France in this case.Finally, it participates in the process of globalization because the company operates internationally by selling its products.Answer:
B. practicing international trade
C. exporting products
D. participating in globalization
Computech Corporation is expanding rapidly and currently needs to retain all of its earnings; hence, it does not pay dividends. However, investors expect Computech to begin paying dividends, beginning with a dividend of $0.75 coming 3 years from today. The dividend should grow rapidly-at a rate of 49% per year-during Years 4 and 5; but after Year 5, growth should be a constant 5% per year. If the required return on Computech is 18%, what is the value of the stock today? Do not round intermediate calculations. Round your answer to the nearest cent.
Answer:
The value of the stock today is $7.64.
Explanation:
This can be calculated as follows:
Since required return is 18% (or 0.18), we have:
Present value (PV) of year 3 dividend = $0.75 / (1 + 0.18)^3 = $0.456473154509468
Year 4 dividend = Year 3 dividend * (1 + growth rate in year 4) = $0.75 * (1 + 0.49) = $1.1175
PV of year 4 dividend = $1.1175 / (1 + 0.18)^4 = $0.576394067982294
Year 5 dividend = Year 4 dividend * (1 + growth rate in year 5) = $1.1175 * (1 + 0.49) = $1.665075
PV of year 5 dividend = $1.665075 / (1 + 0.18)^5 = $0.727819628214931
Year 6 dividend = Year 5 dividend * (1 + growth rate in year 6) = $1.665075 * (1 + 0.05) = $1.74832875
Using the Gordon growth model (GGM) formula, we can calculate stock price year 5 as follows:
Stock price at year 5 = Year 6 dividend / (rate of return - Constant annual growth rate after year 5) = $1.74832875 / (0.18 - 0.05) = $13.4486826923077
PV of stock price at year 5 = $13.4486826923077 / (1 + 0.18)^5 = $5.87854315096675
Value of the stock today = PV of year 3 dividend + PV of year 4 dividend + PV of year 5 dividend + PV of stock price at year 5 = $0.456473154509468 + $0.576394067982294 + $0.727819628214931 + $5.87854315096675 = $7.64
Therefore, the value of the stock today is $7.64.
Due to the presence of unanticipated inflation, use the
relationship between inflation,
nominal and real income and interest rate to highlight the winners
and losers in the labour
and financial market
Due to the presence of unanticipated inflation, the relationship between inflation, nominal and real income, and interest rates can highlight the winners and losers in the labor and financial markets. Inflation causes the overall price level to rise, which reduces the purchasing power of money.
This impacts real income, which is the income adjusted for inflation, and nominal income, which is the income not adjusted for inflation.
Winners in the labor market are typically those who can negotiate higher nominal wages that outpace inflation, leading to an increase in their real income. Losers in the labor market are those who cannot secure higher nominal wages, resulting in a decrease in their real income due to inflation eroding their purchasing power.
In the financial market, borrowers who have fixed-interest rate loans can be winners during unanticipated inflation, as the real interest rate (nominal interest rate minus inflation rate) decreases. This effectively reduces their borrowing costs.
On the other hand, lenders and investors with fixed interest rate assets, like bonds, become losers as their real interest rate decreases, lowering their returns.
In summary, unanticipated inflation can create winners and losers in the labor and financial markets. Those who can secure higher nominal wages or have fixed interest rate loans may benefit, while those who cannot increase their wages or have fixed interest rate assets may suffer.
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In general, business writing should be _____.
a.
Easy to read quickly
b.
Dense and academic
c.
Light and full of fluff
d.
None of the above
Please select the best answer from the choices provided
A. Easy to read quickly. Business writing should be clear, concise, and direct. It should be written in a way that is easily understood and quickly communicated.
What is Business?Business is the activity of creating, buying, and selling goods or services to make a profit. It is a commercial enterprise that involves the exchange of money, goods, or services between two or more parties. Businesses can range from small family-owned shops to large multinational corporations. Businesses must use resources wisely, create value for customers, and operate within the law. Business activities include marketing, finance, accounting, production, and operations. Businesses must also meet customer needs and respond to changes in the marketplace.
Using unnecessary words and making the writing overly complicated can make it more difficult for the reader to understand the message.
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How does change in cost of energy and raw materials, borrowing and premises affect a house building company
Answer:
A shift in the cost of electricity and raw materials may have a major influence on a home construction firm. For example, if the cost of electricity and raw materials rises, the corporation may have to spend more on these items, resulting in higher production expenses. This rise in manufacturing costs may eventually result in lower profit margins or an increase in the final price of the houses, making them less competitive in the market.
Likewise, changes in borrowing costs might have an influence on the company's profitability. If interest rates rise, the cost of borrowing money to invest in the firm rises, resulting in greater debt-service expenses. This may limit the company's capacity to invest in growth possibilities, which can be negative on long term profitability impact.
Likewise, changes in borrowing costs might have an influence on the company's profitability. If interest rates rise, the cost of borrowing money to invest in the firm rises, resulting in greater debt-service expenses. This may limit the company's capacity to invest in growth possibilities, which might harm long-term profitability.
Changes in facility expenses might also have an impact on the company's profitability. For example, increasing the cost of rent or mortgage payments for the company's offices or facilities may result in increased overheads and lower profitability. Furthermore, if the firm decides to grow or relocate, it may incur considerable upfront expenses, which may have an impact on short-term profitability.
Louvers, Incorporated, accepted a $15,000, 180-day, 10 percent note from a customer on May 31. On June 30, Louvers prepared a period-end adjusting entry to accrue the $125 of interest owed on the note. The note is honored on November 27.
Prepare the necessary November 27 entry for Louvers by selecting the account names from the drop-down menus and entering the dollar amounts in the debit or credit columns. If there are multiple debits or multiple credits, please enter the account titles in alphabetical order. View transaction list Journal entry worksheet < 1 Louvers, Inc., accepted a $15,000, 180-day, 10 percent note from a customer on May 31. On June 30, Louvers prepared a period-end adjusting entry to accrue the $125 of interest owed on the note. The note is honored on November 27. Note: Enter debits before credits. Debit Credit Date Nov. 27 General Journal Cash Interest revenue Interest receivable Notes receivable Record entry Clear entry View general journal
Answer:
November 27 Debit Credit
Bank $15,750
(15,000+15,000*10%*180/360)
Accrued interest income $125
Interest income $625
Note receivable from customer $15,000
A restaurant that serves $1400 a day in meals to 140 customers with an average cost of goods sold per unit at $7.00.
What is the average unit of sale for this business?
Answer:
=$10
Explanation:
The average unit of sales will the total serves per day divided by the total number of customers.
= $1400/140
=$10
The average unit of sale is $10
Consider a five-year project with the following information: initial fixed asset investment = $450,000; straight-line depreciation to zero over the five-year life; zero salvage value; price = $29; variable costs = $17; fixed costs = $215,000; quantity sold = 85,000 units; tax rate= 34 percent. What is the degree of operating leverage at the given level of output? What is the degree of operating leverage at the accounting break-even level of output?
The degree of operating leverage (DOL) at the given level of output is approximately 1.267, and at the accounting break-even level of output, it is approximately 53,751.
The degree of operating leverage (DOL) measures the sensitivity of a company's operating income to changes in its sales volume. It can be calculated using the following formula:
DOL = Contribution Margin / Operating Income
To calculate the degree of operating leverage at the given level of output, we need to determine the contribution margin and the operating income.
First, let's calculate the contribution margin per unit:
Contribution Margin per Unit = Price - Variable Costs
= $29 - $17
= $12
Next, calculate the total contribution margin by multiplying the contribution margin per unit by the quantity sold:
Total Contribution Margin = Contribution Margin per Unit * Quantity Sold
= $12 * 85,000
= $1,020,000
Now, we can calculate the operating income:
Operating Income = Total Contribution Margin - Fixed Costs
= $1,020,000 - $215,000
= $805,000
Finally, we can calculate the degree of operating leverage at the given level of output:
DOL = Contribution Margin / Operating Income
= $1,020,000 / $805,000
≈ 1.267
To calculate the degree of operating leverage at the accounting break-even level of output, we need to determine the level of output where the operating income is zero.
Let's set up the equation to find the break-even quantity sold:
Price * Quantity Sold - Variable Costs * Quantity Sold - Fixed Costs = 0
Substituting the given values, we have:
$29 * Quantity Sold - $17 * Quantity Sold - $215,000 = 0
Simplifying the equation:
$12 * Quantity Sold = $215,000
Quantity Sold = $215,000 / $12
Quantity Sold = 17,916.67 units (rounded to the nearest whole unit)
Now, let's calculate the contribution margin and operating income at the break-even level of output:
Contribution Margin at Break-Even = Contribution Margin per Unit * Quantity Sold
= $12 * 17,917
= $215,004
Operating Income at Break-Even = Total Contribution Margin - Fixed Costs
= $215,004 - $215,000
= $4
Finally, we can calculate the degree of operating leverage at the break-even level of output:
DOL = Contribution Margin / Operating Income
= $215,004 / $4
= 53,751
Therefore, the degree of operating leverage at the given level of output is approximately 1.267, and the degree of operating leverage at the accounting break-even level of output is approximately 53,751.
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according to the leadership challenge, which is a practice of exemplary leadership?
A practice of exemplary leadership according to The Leadership Challenge is "Model the Way."
"Model the Way" is one of the five practices of exemplary leadership identified in The Leadership Challenge, a leadership development model developed by Jim Kouzes and Barry Posner. This practice emphasizes the importance of leaders setting a positive example and serving as role models for their followers.
By modeling the way, leaders demonstrate the behaviors, values, and actions they expect from others. They act with integrity, show consistency between their words and actions, and establish a clear set of values and principles. This practice involves leading by example, inspiring trust, and creating a sense of direction and purpose.
Leaders who model the way gain credibility and build trust among their followers. They inspire others to align their actions with the shared values and goals of the organization. By consistently demonstrating the behaviors they expect from their team, leaders create a positive and ethical work environment, foster commitment, and promote high performance.
Overall, "Model the Way" is a practice of exemplary leadership that emphasizes the importance of leaders being role models and setting a positive example for their followers to follow.
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Karen works in a department store. Her coworkers have diverse cultural backgrounds. Which statement shows that Karen understands the importance of multiculturalism?
A.
She values a consistent focus on knowing and completing her daily tasks.
B.
She expects everyone to conform to the same ideas about punctuality.
C.
She appreciates how other perspectives enhance customers’ shopping experiences.
D.
She values completing a job on schedule more than taking time to build relationships.
A.
She values a consistent focus on knowing and completing her daily tasks.Answer:
Explanation:
what is the difference between Demand, supply and
elasticities? please explain more deeply?
Demand, supply, and elasticities are fundamental concepts in economics that help us understand the behavior of markets and the responsiveness of quantity or price to changes in different factors.
1. **Demand**: Demand refers to the quantity of a good or service that consumers are willing and able to buy at various prices during a specific period. It represents the relationship between the price of a product and the quantity demanded by consumers. The law of demand states that as the price of a good increases, the quantity demanded decreases, and vice versa. Demand is influenced by factors such as price, consumer income, preferences, prices of related goods, and expectations.
2. **Supply**: Supply, on the other hand, represents the quantity of a good or service that producers are willing and able to offer for sale at various prices during a specific period. It depicts the relationship between the price of a product and the quantity supplied by producers. The law of supply states that as the price of a good increases, the quantity supplied also increases, and vice versa. Supply is influenced by factors such as price, production costs, technology, input prices, and expectations.
3. **Elasticities**: Elasticities are measures of responsiveness or sensitivity of quantity or price to changes in specific factors. They help quantify the degree of responsiveness in demand or supply. The key elasticities include price elasticity of demand, price elasticity of supply, income elasticity of demand, and cross-price elasticity of demand.
- **Price elasticity of demand** measures the responsiveness of quantity demanded to changes in price. It is calculated as the percentage change in quantity demanded divided by the percentage change in price. It provides insights into the sensitivity of demand to price fluctuations.
- **Price elasticity of supply** measures the responsiveness of quantity supplied to changes in price. It is calculated as the percentage change in quantity supplied divided by the percentage change in price. It indicates the sensitivity of supply to price changes.
- **Income elasticity of demand** measures the responsiveness of quantity demanded to changes in consumer income. It is calculated as the percentage change in quantity demanded divided by the percentage change in income. It indicates whether a good is normal (positive income elasticity) or inferior (negative income elasticity).
- **Cross-price elasticity of demand** measures the responsiveness of quantity demanded of one good to changes in the price of another good. It is calculated as the percentage change in quantity demanded of one good divided by the percentage change in the price of another good. It helps understand the relationship between substitute and complementary goods.
Understanding these concepts helps economists analyze and predict market behavior, assess the impact of various factors on demand and supply, make informed policy decisions, and study consumer and producer behavior in different economic situations.
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Assume that at a given level of output, a monopoly firm has marginal revenue of $9, its average total cost is $9, and marginal cost is $7. If this firm were to continually increase its output, then:
If the monopoly firm has a marginal revenue of $9, it means that its revenue increases by $9 for every additional unit of output it produces. If its marginal cost is $7, it means that the cost of producing an additional unit of output is $7.
Marginal revenue is the additional revenue generated by selling one additional unit of a product or service. It is the change in total revenue that results from selling an additional unit of output. In other words, it is the difference between the total revenue from the current level of output and the total revenue from the previous level of output.
Marginal revenue is an important concept in economics because it helps businesses determine the optimal level of production that will maximize their profits. If the marginal revenue from selling an additional unit of output is greater than the marginal cost of producing that unit, the business should increase its production. Conversely, if the marginal revenue is less than the marginal cost, the business should decrease its production.
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How cash inflow and outflow affects the components of a financial plan
Why does a stock’s market price typically exceed its book value?.
The market price of a stock is frequently greater than its book value because investors anticipate and account for a company's future potential earnings and growth.
A stock's book value represents the net value of its assets less its liabilities, as calculated on the company's balance sheet. Investors use this metric to assess whether a stock is over or undervalued.
Market Price: The market price is the price at which a stock can be purchased or sold on the market. It is determined by supply and demand and can fluctuate rapidly based on economic conditions and company-specific events such as earnings releases, management changes, or mergers and acquisitions.
A stock's market price exceeds its book value because it takes into account investors' expectations for the future performance and growth of the company. A high market price indicates that investors anticipate the company to generate substantial earnings and have a positive outlook for its future.
A company's book value, on the other hand, only takes into account the value of its tangible assets and liabilities and does not consider the value of intangible assets such as brand recognition, customer loyalty, and intellectual property. As a result, the book value is frequently lower than the market price, as it does not reflect investors' expectations for future growth and earnings potential.
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An FHA loan made last year may be assumed:
-only by a buyer who intends to occupy the property
-only by a buyer who intends to occupy the property as a primary residence
-only by a buyer who has had an FHA loan before
-by any buyer, regardless of whether he intends to occupy the property
Loans after that date may also be assumed, but the Federal Housing Administration requires a" creditworthiness supposition process". Simple hypotheticals may not bear FHA blessing, but the borrower and lender must work out the details together.
What happens to the property?For all loans after the 1986 cut off date, FHA blessing and borrower credit verification are needed. The" new" FHA rules governing loan supposition requires the borrower to qualify important in the same way he or she'd qualify for any other FHA home loan.
A loan supposition credit check is done in the same way as the procedure for any FHA loan operation. Loan hypotheticals can not offer more lenient credit check programs or more strict bones
According to the FHA, under the" Determining if an Assumptor is Creditworthy" rule," The lender who's the holder or servicer of the mortgage determines the creditworthiness of the assumptor, in agreement with standard mortgage credit analysis conditions. The Direct Countersign( DE) lender may also use an approved authorized agent to reuse hypotheticals."
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if the interest rate is zero, then $100 to be paid in 10 years has a present value that is a. less than $100. b. exactly $100. c. more than $100. d. indeterminate
The present value that should be received of $100 in 10 years is (B) exactly $100. It is because at an interest rate of 0% is $100 there is no return in the form of interest on the investment.
Interest rate generally can be described as the cost a customer pays to a lender for borrowing funds over a period of time. Usually in economic and business, interest rate is expressed as a percentage rate of the loan amount.
The formula of final amount with an interest rate is:
Final amount = initial principal balance (1 + annual interest rate . time in years)
The calculation:
Final amount = $100 ( 1 + 0 . 10)
Final amount = $100 (1+0)
Final amount = $100
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on monday, james offers in writing to sell his grand piano to billy, so long as billy indicates that he is willing to accept the offer by friday at the latest. on tuesday, after watching an inspiring movie about the life of chopin, james changes his mind and drops a letter off at the post office which revokes the offer and is to be express mailed overnight to billy. a few minutes after returning from the post office, james checks his email and receives an email from billy stating that billy accepts the offer. the legal consequences are that:
Revocations are not effective until they are received by the offeree, thus there is a contract as a result.
Legal consequence refers to the outcome of a decision that has an impact on actual legal rights or responsibilities, whether directly or indirectly, including by putting a regulated party at risk of being held accountable in an enforcement action.
A legally enforceable agreement between two or more parties known as a contract establishes, clarifies, and regulates the parties' respective rights and obligations. The transfer of commodities, services, money, or a promise to transfer any of those at a later time are common components of contracts.
The fundamental components necessary for the agreement to be a valid are: mutual assent, expressed through a contract-compliant offer.
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According to the video, which tasks are Special Education Teachers likely to perform? Check all that apply. teaching basic subject material driving students to and from school working with educational technology working with and meeting with parents preparing lesson plans volunteering in public libraries interviewing other teachers to hire
Answer:
Teaching basic subject material,working with educational technology,working with and meeting with parents,preparing lesson plans
Explanation:
Just took the assignment Hope this helped
Answer:
look at the picture
Explanation:
in general, the threat of substitutes is heightened because the internet lowers switching costs. lowers barriers to entry. introduces new ways to accomplish the same task. increases output per unit of cost.
The threat of substitutes is heightened because the internet lowers switching costs, lowers barriers to entry, introduces new ways to accomplish the same task, and increases output per unit of cost.
The internet has made it easier for consumers to find and switch to substitute products and services, thereby increasing competition and putting pressure on companies to innovate and lower their prices.
The internet has also made it easier for new entrants to enter the market and offer substitute products, further increasing the threat of substitutes. Additionally, the internet has introduced new and more efficient ways to accomplish many tasks, making it easier for consumers to find substitutes.
Finally, the internet has increased the efficiency and output per unit of cost of many products and services, making it easier for consumers to switch to substitute products that offer similar benefits at a lower cost.
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What best describes the relationship between short and long-term goals?
There will be a higher equilibrium price and lower quantity if _____.
Answer:
Reduction in supply
Explanation:
Equilibrium is when demand matches supply. At the equilibrium price, the market has no excess demand or supply or demand. Changes in either supply or demand affects the equilibrium price and quantity.
A reduction in supply while demand remains constant results in buyers competing for few products in the market. A scarcity will emerge as the supply cannot satisfy demand. The supply curve shifts outwards or to the right creating a new equilibrium point. The new price will at a higher point in the graph, and the quantity will decrease.
In what three ways does the government affect production of goods and services in the US economy?
What do insurance companies pay to compensate consumers after a loss? copayments deductibles payouts premiums
Answer:
C. payouts
Explanation:
i took the test
Click this link to view O*NET’s Tasks section for Municipal Firefighters. Note that common tasks are listed toward the top, and less common tasks are listed toward the bottom. According to O*NET, what are some common tasks performed by Municipal Firefighters? Check all that apply. directing traffic at accident sites analyzing evidence of criminal activity guarding crime suspects until they can be arrested searching burning buildings to locate victims rescuing victims from burning buildings and accident sites administering first aid and cardiopulmonary resuscitation to help injured people
Answer:
it's D E F
Explanation:
Answer:
i got abd on edg
Explanation:
The first step to keeping your home safe is to minimize the overall amount of_____ material you store in your home.