Publishing houses typically specialize in specific areas or genres to establish a focused brand and target a specific market segment. Some common types of publishing houses include academic publishers, children's book publishers, fiction publishers, non-fiction publishers, poetry publishers, and specialized niche publishers.
Publishing houses generally publish and sell books, which can include both print and digital formats. The specific genres or subjects of the books can vary widely depending on the publishing house's focus. They may publish works of fiction, such as novels, short stories, and poetry collections, or non-fiction works encompassing a wide range of topics, including biographies, history, science, self-help, educational materials, and more.
Publishing houses often have a team of professionals who handle various aspects of the publishing process, including acquiring manuscripts, editing, designing book covers, marketing, distribution, and sales. They work closely with authors to bring their books to the market and make them available to readers through various channels such as bookstores, online retailers, and libraries.
It's worth noting that publishing houses may also expand their offerings beyond books, such as by publishing magazines, journals, or other related content. However, without specific information about YAE Publishing House, it is not possible to provide precise details about their specific focus or offerings.
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A. owner made no investments in the business, and no dividends were paid during the year.
b. owner made no investments in the business, but dividends were $1,250 cash per month.
c. no dividends were paid during the year, but the owner did invest an additional $55,000 cash in exchange for common stock.
d. dividends were $1,250 cash per month, and the owner invested an additional $35,000 cash in exchange for common stock. determine the net income earned or net loss incurred by the business during the year for each of the above separate cases: (decreases in equity should be indicated with a minus sign.)
Answer:
the first part of the question is missing:
Assets Liabilities
Beginning of the year $57,000 $24,436
End of the year $115,000 $46,575
equity = assets - liabilities
beginning = $57,000 - $24,436 = $32,564
ending = $115,000 - $46,575 = $68,425
a b c d
Beginning of the year equity $32,564 $32,564 $32,564 $32,564
Owner investments 0 0 $55,000 $35,000
Dividends ($1,250 x 12) 0 ($15,000) 0 ($15,000)
Net income (loss) $35,861 $50,861 ($19,139) $15,861
End of the year equity $68,425 $68,425 $68,425 $68,425
net income = end equity + dividends - investments - beginning equity
Which of the following statements is CORRECT?a. Diversifiable risk can be reduced by forming a large portfolio, but normally even highly-diversified portfolios are subject to market (or systematic) risk.b. A large portfolio of randomly selected stocks will have a standard deviation of returns that is greater than the standard deviation of a 1-stock portfolio if that one stock has a beta less than 1.0.c. A large portfolio of stocks whose betas are greater than 1.0 will have less market risk than a single stock with a beta = 0.8.d. If you add enough randomly selected stocks to a portfolio, you can completely eliminate all of the market risk from the portfolio.e. A large portfolio of randomly selected stocks will always have a standard deviation of returns that is less than the standard deviation of a portfolio with fewer stocks, regardless of how the stocks in the smaller portfolio are selected.
Answer:
a. Diversifiable risk can be reduced by forming a large portfolio, but normally even highly-diversified portfolios are subject to market (or systematic) risk.
Explanation:
Diversifiable risk can as well as be regarded as unsystematic risk, it is specific risk of a firm which impacts the price of the stock of individual rather than affecting the industry as a whole or sector where the the firm is carrying out it's operation. It a risk whereby there is possibility that change in the price of a security will be experienced because of the specific characteristics that the security have. It should be noted that Diversifiable risk can be reduced by forming a large portfolio, but normally even highly-diversified portfolios are subject to market (or systematic) risk.
which part of our body is affected by plogue pose?
Answer:
spine and shoulders are affected
The spine and the shoulders of our body part are mostly affectd by the plogue pose. It stretches our body muscles.
Plow PoseIt is a stretching exercise which keeps your body fit and flexible.
Doing stretching exercise regularly benefits the body mucles and tendons.
The plow pose is a stretching exercise where one positions his/her body upside down and keeps their feet bend over the head.
This pose affects our spine and also our shoulders.
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Manitowoc Crane (U. S. ) exports heavy crane equipment to several Chinese dock facilities. Sales are currently 16. 000 units per year at the yuan equivalent of $25. 000 each. The Chinese yuan (renminbi) has been trading at Yuan8. 40/$, but a Hong Kong advisory service predicts the renminbi will drop in value next week to Yuan9. 10/$, after which it will remain unchanged for at least a decade. Accepting this forecast as given, Manitowoc Crane faces a pricing decision in the face of the impending devaluation. It may either (1) maintain the same yuan price and in effect sell for fewer dollars, in which case Chinese volume will not change; or (2) maintain the same dollar price, raise the yuan price in China to offset the devaluation, and experience a 10% drop in unit volume Direct costs are 75% of the U. S. Sales price. What would be the short-run (one-year) impact of each pricing strategy?
In conclusion, based on the short-run impact analysis, Manitowoc Crane should choose Strategy 1, which involves maintaining the same yuan price and in effect selling for fewer dollars, but without a decrease in Chinese volume. This strategy would result in a positive profit of $111,619,040.
Maintain the same dollar price, raise the yuan price in China to offset the devaluation, and experience a 10% drop in unit volume.
Let's analyze the short-run (one-year) impact of each strategy:
Strategy 1: Maintain the same yuan price and in effect sell for fewer dollars
At the current exchange rate of Yuan8.40/$, the price of each crane is:
$25,000 / Yuan8.40 = Yuan2,976.19
If the renminbi is devalued to Yuan9.10/$, the yuan price of each crane would remain the same, but the dollar price would decrease:
Yuan2,976.19 x Yuan9.10/$ = $25,676.19
The short-run impact of this strategy would be that Manitowoc Crane would continue to sell 16,000 cranes in China, but at a lower dollar value. The new dollar revenue would be:
$25,676.19 x 16,000 = $411,619,040
The direct costs are 75% of the U.S. sales price, which means the direct cost per crane is:
$25,000 x 75% = $18,750
The total direct cost of producing and selling 16,000 cranes would be:
$18,750 x 16,000 = $300,000,000
Therefore, the short-run profit for this strategy would be:
$411,619,040 - $300,000,000 = $111,619,040
Strategy 2: Maintain the same dollar price, raise the yuan price in China to offset the devaluation, and experience a 10% drop in unit volume
If Manitowoc Crane maintains the same dollar price of $25,000 per crane, it would need to raise the yuan price to offset the devaluation:
$25,000 / Yuan9.10 = Yuan2,747.25
This is a 8.0% increase from the current yuan price of Yuan2,976.19.
However, this strategy would result in a 10% drop in unit volume, so the new Chinese sales volume would be:
16,000 x 0.9 = 14,400 units
The new yuan revenue would be:
Yuan2,747.25 x 14,400 = Yuan39,542,800
At the new exchange rate of Yuan9.10/$, the dollar revenue would be:
Yuan39,542,800 / Yuan9.10/$ = $4,346,116.48
The direct cost per crane is still $18,750, so the total direct cost of producing and selling 14,400 cranes would be:
$18,750 x 14,400 = $270,000,000
Therefore, the short-run profit for this strategy would be:
$4,346,116.48 - $270,000,000 = -$265,883,552
This means that the company would actually lose money in the short-run by implementing this strategy.
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6. Dexter Corporation forecast the following units and selling prices: Year 1 Year 2 Year 3 Year 4 Unit sales 1,000 1,500 2,000 3,000 Selling price per unit $10 $12 $15 $18 Please calculate Dexter's projected or proforma sales. 7. Continuing from the prior problem, Dexter has the following fixed cost per year and variable cost per unit each year: Year 1 Year 2 Year 3 Year 4 Annual fixed costs $2,000 $2,100 $2,200 $2,400 Variable costs per unit $5 $6 $8 $9 Assuming these are all the costs for Dexter. Please calculate Dexter's projected or proforma profit. 8. Continuing from the prior two problems, if Dexter pays 20% of pretax income (not sales) in taxes to various government authorities, please calculate Dexter's after-tax net income
Dexter's projected after-tax net income is as follows: Year 1: $2,400, Year 2: $5,520, Year 3: $9,440, Year 4: $19,680
To calculate Dexter Corporation's projected or proforma sales, we multiply the unit sales by the selling price per unit for each year.
Year 1: 1,000 units * $10 per unit = $10,000
Year 2: 1,500 units * $12 per unit = $18,000
Year 3: 2,000 units * $15 per unit = $30,000
Year 4: 3,000 units * $18 per unit = $54,000
Dexter's projected or proforma sales are as follows:
Year 1: $10,000
Year 2: $18,000
Year 3: $30,000
Year 4: $54,000
To calculate Dexter's projected or proforma profit, we need to subtract the total costs from the sales for each year. The total costs can be calculated by adding the fixed costs to the variable costs per unit multiplied by the number of units.
Year 1:
Total costs = $2,000 + (1,000 units * $5 per unit) = $2,000 + $5,000 = $7,000
Projected profit = Sales - Total costs = $10,000 - $7,000 = $3,000
Year 2:
Total costs = $2,100 + (1,500 units * $6 per unit) = $2,100 + $9,000 = $11,100
Projected profit = Sales - Total costs = $18,000 - $11,100 = $6,900
Year 3:
Total costs = $2,200 + (2,000 units * $8 per unit) = $2,200 + $16,000 = $18,200
Projected profit = Sales - Total costs = $30,000 - $18,200 = $11,800
Year 4:
Total costs = $2,400 + (3,000 units * $9 per unit) = $2,400 + $27,000 = $29,400
Projected profit = Sales - Total costs = $54,000 - $29,400 = $24,600
Dexter's projected or proforma profit is as follows:
Year 1: $3,000
Year 2: $6,900
Year 3: $11,800
Year 4: $24,600
To calculate Dexter's after-tax net income, we need to multiply the pretax income by (1 - tax rate). Assuming a 20% tax rate, we can calculate the after-tax net income for each year.
Year 1: After-tax net income = $3,000 * (1 - 0.20) = $2,400
Year 2: After-tax net income = $6,900 * (1 - 0.20) = $5,520
Year 3: After-tax net income = $11,800 * (1 - 0.20) = $9,440
Year 4: After-tax net income = $24,600 * (1 - 0.20) = $19,680
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PLSS ASAP HELLPP How many of the colonists of Jamestown died before they made it to shore, due to the difficult voyage? WILL GIVE BRAILYEST
half
almost all
one third
none
Answer:
almost all
Explanation:
From around 500 people that boarded the ships heading to the colony, only around 60 people survived the journey. This means that the death rate is more than 80%.
Several factors contributed to this death. Miscalculations of supply made some of them died of hunger in the middle of the journey. A lot of them died from the diseases that infected them on the ship. Since they're stocked in the middle of nowhere, they couldn't find a proper medical help to treat them.
any two importance of office resources
Two importance of office resources are greater output and promote productivity .
What are office resources ?All of the resources and amenities found in an office, including people, tools and supplies, furniture and equipment, cash, modes of transportation, and communication, are referred to as office resources. These resources are used to help the organization achieve its goals.
Two improtance of office resources are:Greater output is made possible because every business strives to produce as much as possible while using the fewest resources possible. Better resource utilization management can be used to accomplish such a feat.It helps to promote productivity: Office supplies aid in boosting office employees' productivity. Equipment such as furniture, machinery, and other items make work more comfortable and convenient, which improves worker productivity.Learn more about office resources here https://brainly.com/question/20436648
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A Swifty Company gathered the following reconciling information in preparing its April bank reconciliation: Cash balance per books, 4/30 $20000 Deposits in transit 2690 Notes receivable and interest collected by bank 6570 Bank charge for check printing 160 Outstanding checks 12900 NSF check 1290 The adjusted cash balance per books on April 30 is
a.$24960. b.$18550. c.$25120. d.$23830.
The adjusted cash balance per books on April 30 is $25120
Step 1 : Add Deposits in transit to Cash balance per books
$20000 + $2690 = $22690
Step 2 : Deduct the following :
Outstanding checks $12900
Bank charge for check printing $160NSF check $1290
Total = $14350
$22690 - $14350 = $8330
Step 3 : Add the following :Notes receivable and interest collected by bank $6570
$8330 + $6570 = $14900
Step 4 : Add the following :Bank charge for check printing $160
Adjusted cash balance per books on April 30 = $14900 + $20000 = $25120
Therefore, the correct option is c. $25120.
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Define financial literacy and financial planning in your own word
Answer:
Financial literacy is the capacity to grasp and use different financial skills effectively.
Assignment 2
(20 points)
Assignment 2: Costs and Profit
Instructions
I'm sorry, I don't know what you mean. Please attach a photo/add the instructions!! Sorry
Answer:
can u please upload it
Explanation:
Suppose that a worker in Cornland can grow either 40 bushels of corn or 10 bushels of oats per year, and a worker in Oatland can grow either 5 bushels of corn or 50 bushels of oats per year. There are 20 workers in Cornland and 20 workers in Oatland. If the two countries do not trade, Cornland will produce and consume 400 bushels of corn and 100 bushels of oats, while Oatland will produce and consume 60 bushels of corn and 400 bushels of oats. If each country made the decision to specialize in producing the good in which it has a comparative advantage, then the combined yearly output of the two countries would increase by
Answer:
see. I hope it's helpful for you lolExplanation:
i need friend lol can you my friendPrepare a short report about the importance of hotel management.
Answer:
Having a hotel management degree can help you get a lucrative entry position in food or beverage service, accounts, restaurant service, executive housekeeping, marketing, or other departments within a hotel
An ad for Running Shoes Inc. states that its products are "The Athlete’s Choice." Because of this ad, the Federal Trade Commission is most likely to issue?
a. a cease-and-desist order.
b. a counteradvertising order.
c. a restitution order.
d. none of the choices.
If an ad for Running Shoes Inc. states that its products are "The Athlete’s Choice," because of this ad, the Federal Trade Commission is most likely to d. none of the choices.
What the Federal Trade Commission would doIf a business entity labels its products which in this case are running shoes, then it cannot take any of the actions labeled above. This phrase is simply meant as a catchphrase that will get the buyers interested or appeal to their desire f being athletes.
So, they will not be issued a cease-and-desist order or restitution order.
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Suppose you work for a bank and are responsible for determining whether you should give someone credit. Create a list of the top three questions you would
ask prospective borrowers and post them to the discussion board. Make sure to explain why you think these three questions are important in determining
whether or not a potential customer is a good credit risk.
Answer:
-How much money do you need?
-How much income do you make?
-How much debt do you have?
Explanation:
The top three questions that I would ask prospective borrowers are:
-How much money do you need?
This question allows the lender to know the amount of money the borrower requires and this is crucial to make an evaluation with the income and debts to determine if the lender would approve the loan. For example, a borrower may need an amount that he can easily pay back with his salary.
-How much income do you make?
This question is important to the lender because it allows to find out if the borrower's income would allow him/her to make the monthly payments which decreases the risk.
-How much debt do you have?
It is important to know the amount of debt the borrower has because the higher amount of debt he/she has, it would be harder to pay the loan and evaluating this allows to decrease the risk of the borrower not paying back.
Click on the link below(I will add it below) to access a video on Entrepreneur Mark Zuckerberg. As you watch the video, fill in the notes below that I have added. (to be brainiest you must complete the summary as well) complete a 4-5 sentence summary on the impact Zuckerberg has had on American business.
Entrepreneur Name: Mark Zuckerberg
4 Businesses/Companies (Over the span of their Lifetime):
4 Child-hood Experiences:
Personality Traits
2 Strengths and 2 Weakness
4 Challenging set-backs:
The person that had the most influence on them.
Who:
In 5 sentences answer the following prompt: What is their enduring contribution to American Business?
Answer:
This is what shows
Explanation:
Duties performed by warehouse case study class 11
The duties performed by a warehouse include receiving, storing, and distributing goods and materials efficiently and safely.
What are the primary responsibilities of a warehouse?A warehouse plays a crucial role in the supply chain management of businesses. Its main responsibilities revolve around receiving, storing, and distributing goods and materials.
Upon receiving shipments, warehouse staff inspect the contents for quality and accuracy verifying that the delivered items match the corresponding documentation. They then organize and store the goods in designated locations within the warehouse ensuring efficient use of space
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The top five cities where venture capitalists are investing their money represent 10% of the global total.
True
False
The statement that investments made by venture capitalists represent 10% of the global total is a true statement.
What is a venture capital investor?A venture capitalist (VC) is an investor that gives younger organizations with capital an alternative for equity. New organizations regularly flip to VCs for the investment to scale and commercialize their products.
Venture capital is a shape of personal equity financing this is supplied via way of means of venture capital companies or finances to startups, early-stage, and rising agencies that have been deemed to have excessive growth ability or that have proven high boom.
Hence, The statement that investments made by venture capitalists represent 10% of the global total is a true statement.
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When james received his paycheck, he planned to cash it at a check cashing store. You advise him to cash it at his own bank if possible. Why?.
When James received his paycheck, he planned to cash it at a check cashing store. You can definitely advise him to cash it at his own bank if possible because they typically charge high fees.
What is the reason behind this process?The reason behind this process is that check-cashing typically stores and usually charges high fees in order to cash checks and sometimes encourages consumers to take out high-interest rate payday loans.
A paycheck additionally spelled paycheque, pay test, or pay cheque, is historically a paper report (a cheque) issued by an organization to pay an employee for services rendered. In recent times, the bodily paycheck has been increasingly replaced by using electronic direct deposits to the worker's targeted financial institution account or loaded onto a payroll card.
Therefore, you can definitely advise him to cash it at his own bank if possible because they typically charge high fees.
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Which of the following is an advantage of having a common currency in the EU?
This allows for easier trading and investing
low exchange rate
threatened with inflation because of the war
Advantage of having a common currency in the EU Easier trading and investing.
What is trading and investing?Trading and investing are two financial activities that involve the purchase and sale of securities. Trading involves the buying and selling of securities in order to generate short-term profits. This is often done through the use of technical analysis and leveraging movements in the market. Investing, on the other hand, is the purchase of securities with the aim of generating long-term gains. Investors often analyze the fundamentals of companies, such as earnings per share, profit margins, and debt levels, when selecting stocks. Investing can also include the purchase of bonds, mutual funds, and other investments. Both trading and investing carry inherent risks and require research before any decisions are made.
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Angelo has a savings account worth $1000 that earns 2% interest, a student loan of $40,000 that charges 4.6% interest, and a credit card bill that has $1500 on it with a 23.4% interest rate. He has a budget surplus of $300 at the end of the month. What should he do with the $300?
Based on the information given what he should with the $300 is: Pay it toward his credit card bill, because it has the highest interest rate.
What is interest rate:
Interest rate can be defined as the amount that is charge on the amount borrowed or loan amount.
Based on the given details the interest rate given are;
Saving account=2% of $1,000
Student loan=4.6% of $40,000
Credit card bill=23.4% of $1,500
We can see that credit card bill has the highest interest rate of 23.4%, therefore the budget surplus amount of $300 should be paid toward the credit card bill because it has the highest interest rate.
Inconclusion what he should with the $300 is: Pay it toward his credit card bill, because it has the highest interest rate.
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PLEASE HELP! I WILL GIVE BRAINLIEST! I don't need you to answer the whole thing, I just need more of an explanation on what I'm supposed to do! Thank you.
Imagine you are taking an international trip. Where would you go? What are the requirements to enter the country (visa, vaccinations, etc.)? What travel documents do you already possess, and which would you need to obtain? What else might you need to do to plan your trip?
Some good holiday destinations to go to are:
DubaiRomaniaSwedenUruguay.Some of the requirements for travel include:
A negative C*VID test.International passport.A valid reason for the visit.The travel document you would need is your International Passport and your flight ticket (if you are going by plane.
What is International Travel?This refers to the movement between one geographical location to another.
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What is TRUE about non-depository financial institutions?
Non-Depository financial institutions are those institutions that provide various financial assistance. These institutions serves as an intermediaries between borrowers and savers. ... The non-depository financial institutions include commercial banks, credit unions, and saving banks. Therefore, option D is correct
what is it called when an employee gets a task that is usually for the manager??
Answer:
Explanation:
delegation
Answer:Delegation. I hope this helps you
Explanation:
That is often referred to as task delegation. It is the process of assigning a task to a lower-level employee that would typically be handled by a manager or supervisor. Task delegation can be an effective way to develop employees and free up time for managers to focus on higher-level tasks.
The term for when an employee is given a task that is usually reserved for a manager is called “task delegation.” This can occur for a variety of reasons, such as the manager being unavailable or overloaded with other tasks. By delegating tasks to employees, managers can help distribute workload and also empower their team members to take on additional responsibilities and develop new skills.
Which Diagram best illustrates the effects of economic growth on a business?
Answer: Economic growth increases Productivity increases
Explanation: I like nachos
7. Solve this two step equation:
3 x 5 – 7 = y
Answer:
y=8
Explanation:
15-7=y
8=y
y=8
Answer:
its 8
Explanation:
if u do 3 times 5 its 15, if u do 15-7 which equal 8 or y so y=8
Use the as/ad model to describe the effect of each of the following events on the economy of snezhanka (a fictitious nation). beginning with the economy in equilibrium carefully show the shift involved and the new equilibrium. state whether the p (price level) and rgdp at the new equilibrium are higher or lower. for each part of this question, start again at the original equilibrium. what will happen if:
a. taxes on households are decreased?
b. taxes paid by firms are decreased?
c. the value of the national currency, the snezhankan lev, declines in the international currency market?
d. a revolutionary new machine, the aparat, increases worker productivity?
The following would happen
Aggregate income would increase for households. They would have a rise in output. taxes on households are decreasedWhen the taxes are decreased, the households would have a rise in their purchasing power. Their output would go up form q to q2.
taxes paid by firms are decreasedThe cost of the firms production is going to fall. The firm would then be able to raise their production hence increasing their supply. Output would rise and price level would fall.
the value of the national currency, the snezhankan lev, declines in the international currency market?If the value of the currency should fall, then it would cause the demand for foreign goods to rise then there would be a new equilibrium in the market.
a revolutionary new machine, the apparat, increases worker productivityAn increase in productivity would raise supply for the producer hence bringing about a new rise in the price level.
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what is keyboarding?
Answer:Keyboarding is the activity of typing information into a computer. Collins COBUILD Advanced Learner's Dictionary.
Explanation:
if you are invested in frontier markets and would like to maximize the benefits of diversification, which fund should you choose to add to your portfolio? g
An optimal portfolio is one that strikes the right balance between return and risk. The ideal portfolio seeks to strike a balance between securities with the lowest risk and those with the highest returns for a given return.
Which Frontier is going to be used for your portfolio?Modern portfolio theory is based on the idea that investors should aim to create a portfolio that maximizes expected returns based on a particular level of risk. The efficient frontier serves as the foundation for this theory.
Which efficient frontier portfolio determines an investor's decision?Your risk tolerance for your assets determines how much of an efficient frontier a portfolio is placed on. Investing in assets on the right side of the frontier might be a safe bet for risk-averse investors, whereas investing in assets on the left side of the curve might be safer.
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consider a slight variation of the perfect competition model. suppose that there are two types of firms; type 1 and type 2, which produce an identical product. the types differ with respect to the long run cost function. assume that there are 50 identical firms in each type. the cost function for each type 1 firm is given by
The cost function for each type 1 firm is given by :C(q1) = 50 + 2q1. The cost function for each type 2 firm is given by: C(q2) = 100 + q2.
The two types of firms differ with respect to their cost functions. Type 1 firms have a higher fixed cost and a lower marginal cost than type 2 firms. As a result, type 1 firms have a higher average cost than type 2 firms, but a lower marginal cost. This means that type 1 firms are more efficient at producing a large quantity of output, while type 2 firms are more efficient at producing a small quantity of output.
In conclusion, the slight variation of the perfect competition model involves two types of firms, type 1 and type 2, that differ with respect to their long run cost functions. There are 50 identical firms in each type, and type 1 firms have a higher fixed cost and a lower marginal cost than type 2 firms. And the cost function for each type 2 firm is calculated by C(q2) = 100 + q2.
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