An externality shall be removed with the help of government intervention by stabilizing the quantity demanded for housing exceeding the quantity supply at the current price.
What do you mean by externality?A cost or benefit of an economic activity that is felt by a unrelated third party is known as an externality. Property rights that are not properly defined and made are the main cause behind externalities.
The final cost or benefit of a good or service which has arrived does not account for the external cost or benefit.
Therefore, externalities are often viewed by economists as a severe issue that causes markets to be inefficient and thus results in market failures.
The tragedy of the commons is mostly sparked by externalities.
Therefore, the quantity demand for housing exceeds quantity supply at the current price which hamper the present condition.
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State a reason to justify that marketing is a beneficial concept.
Answer: marketing is beneficial to customers because they can receive lower price they can receive new and improved products and it is also beneficial to the business because it allows businesses to maintain long-lasting and ever-present relationships with their audience
Quick on a timed test and need help!!!!!
Carleton is an employee in the Design/Pre-Construction pathway and typically works outside. Judd also works outside and is typically found building new roofs on buildings. Which best describes the jobs of Carleton and Judd?
1. Carleton is a Surveyor, and Judd is a Carpenter.
2. Carleton is a Drafter, and Judd is a Carpenter.
3. Carleton is a Surveyor, and Judd works in Maintenance.
4. Carleton is a Drafter, and Judd works in Maintenance.
Answer:
Carleton is a Surveyor and Judd is a Carpenter.
Explanation:
Answer:
A
Explanation:
Got it right on edge 2020
Which method of corporate finance is predominately used by "GROWTH companies"?
A-retained earnings
B-new stock issues
C-borrowing
D-none of these are used by “growth companies"
Answer:
The method of corporate finance that is predominately used by "GROWTH companies" is B: "new stock issues."
Explanation:
Growth companies are companies that are expanding rapidly and reinvesting their profits back into the business to fuel further growth. As such, they typically need to raise additional capital to support their expansion plans. One way they can do this is by issuing new stock, which allows them to sell ownership stakes in the company to investors in exchange for funding. This can be an attractive option for growth companies because it does not require them to take on debt, which can be costly and risky, and it also does not reduce their retained earnings, which they can continue to reinvest in the business. Retained earnings and borrowing are also commonly used methods of corporate finance, but they may not be as suitable for growth companies depending on their specific circumstances.
which of the following statement(s) is(are) true? multiple select question. in an equilibrium state, there are no unbalanced potentials. if the value of one property changes value within the system, the state will change. at a given state, only the intensive properties of a system have fixed values. for a system in a given state, if one property changes value, the state will remain unchanged. at a given state, all the properties of a system have fixed values.
Out of the given statements, the following ones are true:
In an equilibrium state, there are no unbalanced potentials.
At a given state, only the intensive properties of a system have fixed values.
At a given state, all the properties of a system have fixed values.
In thermodynamics, equilibrium is a state where all opposing forces or potentials within a system are balanced, resulting in a stable state.
Intensive properties of a system, such as temperature, pressure, and density, are independent of the size or quantity of the system and have fixed values at a given state.
This statement is false. While the intensive properties have fixed values at a given state, extensive properties (such as mass, volume, and total energy) depend on the size or quantity of the system and can vary.
The following statements are false:
If the value of one property changes within the system, the state will change. Changing the value of one property within a system does not necessarily mean that the state of the system will change. It depends on the specific conditions and interactions within the system.
For a system in a given state, if one property changes value, the state will remain unchanged.
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A job analysis report transforms the analysis into three components: an
analysis, a summary, and
?
OA. recommendations
OB. goals
OC. a questionnaire
O D. technical competencies
A job analysis report transforms the analysis into three components: an
analysis, a summary, and recommendations.
Job analysis is a process of identifying and describing the duties, responsibilities, and requirements of a particular job. It involves collecting and analyzing information about the job, such as its tasks, knowledge, skills, abilities, and other characteristics. The results of a job analysis can be used to develop job descriptions, determine job qualifications, establish performance standards, design training programs, and evaluate job performance. A job analysis report typically includes an analysis of the job, a summary of the findings, and recommendations for improving the job or filling the position. Job analysis is an important tool for organizations to ensure that they have the right people in the right jobs, which can lead to increased productivity, job satisfaction, and retention.
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pricing is one of the basic functions of a. research and development. b. management information systems. c. finance/accounting. d. production/operations. e. marketing.
Pricing is one of the basic functions of Marketing. The correct answer is option e.
What is pricing?Pricing refers to the process of establishing a value for a product or service and then capturing that value by charging customers for it. Pricing may be used as a tactical tool to attract consumers, compensate distributors, or outperform the competition, among other things.Pricing is critical in both the short and long term. In the short term, it affects cash flow, profit, and market share, as well as the company's ability to respond to changes in the market. In the long run, it has an impact on product positioning, brand image, and the company's perceived value proposition.
What is marketing?Marketing is the process of creating, communicating, and delivering value to customers in a way that satisfies their needs and wants. Marketing seeks to comprehend the needs and wants of customers and to create a product or service that meets those needs in a superior way. Marketing then seeks to communicate this value proposition to customers and deliver it to them in a way that is convenient and cost-effective.
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Calculate the unpaid balance, finance charge, and new balance using the unpaid balance method. Note: interest rate is given as a monthly rate. Previous balance = $410. 22 Payments/credits = $160. 00 Unpaid balance = $ Monthly rate = 1. 25% Finance charge = $ New purchases = $95. 25 New balance = $.
The answers are Unpaid balance = $250.00, Finance charge = $3.13, and New balance = $348.13.
According to the information provided, the previous balance is $410.22, and there are payments/credits of $160.00. The unpaid balance is the previous balance minus the payments/credits, which results in an unpaid balance of $250.22. The monthly interest rate is given as 1.25%. To calculate the finance charge, we multiply the unpaid balance by the monthly interest rate, which yields a finance charge of $3.13. Additionally, there are new purchases of $95.25. To determine the new balance, we add the unpaid balance, finance charge, and new purchases, resulting in a new balance of $348.60.
In summary, the unpaid balance method calculates the finance charge and new balance based on the previous balance, payments/credits, unpaid balance, monthly interest rate, and new purchases. The previous balance of $410.22 minus payments/credits of $160.00 gives an unpaid balance of $250.22. The finance charge is determined by multiplying the unpaid balance ($250.22) by the monthly interest rate (1.25%), resulting in a finance charge of $3.13. Adding the unpaid balance, finance charge, and new purchases of $95.25 gives the new balance of $348.60.
The unpaid balance method is commonly used in credit card statements to calculate the finance charge and determine the new balance. It considers the previous balance, payments/credits, and new purchases. First, the unpaid balance is calculated by subtracting the payments/credits from the previous balance. Then, the finance charge is determined by multiplying the unpaid balance by the monthly interest rate. Finally, the new balance is obtained by adding the unpaid balance, finance charge, and new purchases. This method provides a clear breakdown of how the finance charge is applied and allows for tracking changes in the balance over time.
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harry asks each employee what kind of work is most interesting to him or her. he assigns new tasks based on employee interests. this is an example of a .
harry asks each employee what kind of work is most interesting to him or her. he assigns new tasks based on employee interests. this is an example of a motivation factor.
What exactly is a motivational factor?Strategies, rewards, and other aspects that raise an employee's general motivation to carry out their job responsibilities are considered factors of motivation. To boost productivity and enjoyment, you can use a variety of motivational factors for your team or for yourself. People want to be treated decently at work. Achievement - People want to carry out meaningful work and receive praise for it.
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Mei is extremely upset because she has been falsely accused of stealing money from her employer. Her lawyer has suggested that mei take a polygraph test to prove her innocence. She asks you wheather she should agree to the test. Based on the research into the accuracy of polygraphs, you should tell mei that polygraphs:.
Based on the research into accuracy of polygraphs, you should tell Mei that polygraphs just measure overall arousal levels and are not reliable indicators of if or not people are lying. The right answer is b.
A polygraph is a device or process that measures and records multiple physiological signs while a person is asked and responds to a series of questions, yet it is frequently wrongly referred to as a lie detector test. These physiological indicators include blood pressure, pulse, respiration, and skin conductivity.
Although there are not any specific physiological reactions linked to lying, it can be challenging to identify factors that distinguish people who are lying with those who are telling the truth. This is due to the misconception that deceptive answers will result in physiological responses that can be distinguished from the ones associated with non-deceptive answers, which is the basis for the use of the polygraph.
The correct answer is option b.
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The question seems incomplete. The complete question is:
Mei is extremely upset because she has been falsely accused of stealing money from her employer. Her lawyer has suggested that Mei take a polygraph test to prove her innocence. She asks you whether she should agree to the test. Based on the research into the accuracy of polygraphs, you should tell Mei that polygraphs
a.are extremely accurate, and if Mei is truly innocent, she will pass with no problem.
b.only measure overall arousal levels and are not reliable indicators of whether or not people are lying.
c.sometimes wrongly indicate that innocent people are guilty, but are 100% accurate in detecting guilt.
d.sometimes wrongly indicate that guilty people are innocent, but are 100% accurate in detecting innocence.
When looking at the purchase of accounting software, things to avoid include
Answer:
4) C) software that requires a high annual subscription whether you want the updates or not
Explanation:
Do you think this character's leadership style is appropriate for the environment he is in?• If so, why? The nature of the work done, the characteristics of the employees, cultural factors etc.Your final evaluation and comments about the movie in terms of leadership.One or a few scenes from the movie or TV show that will serve as an example for what you are talking about.• It is enough tosend me a link here and write the time information of the relevant scene(e.g. 17:34-21:44) • You should also briefly mention what kind of leadership example you have in the scene you have chosen.
The given question asks about the leadership style of a character and its appropriateness to the work environment. However, the name of the character or the work environment hasn't been provided in the question. So, it becomes impossible to give a specific answer to the question.
However, the question mentions that a scene from a movie or TV show can be used as an example. One popular TV show is "Taarak Mehta Ka Ooltah Chashmah" (TMKOC) in which there are several characters who show different leadership styles.In TMKOC, Jethalal is the owner of a shop and he is the head of his employees. His leadership style can be described as democratic. He takes the opinions and suggestions of his employees before making any decisions. He believes that everyone should have an equal say in the decisions which will impact them. This style is appropriate for the work environment he is in as he deals with his employees and customers in a friendly way and he makes everyone feel like they are a part of a team.This can be seen in the episode where Jethalal is having problems with a customer who wants to return a defective product. The customer is being aggressive and abusive towards Jethalal's employees. .
In conclusion, Jethalal's leadership style in TMKOC is appropriate for the work environment he is in as he has a small business and his employees work closely with each other. His democratic leadership style ensures that everyone feels like they are a part of a team and their opinions and suggestions are valued.
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Multiple Choice Question Most of the items sold at a garage sale cost about $12. Nothing sold for more than $15, but a few items cost only a few cents. What would be the best measure of the center of the distribution of sale prices?
The best measure of the center of the distribution of sale prices in this scenario would be the median.
The given information states that most items sold at the garage sale cost about $12, and nothing sold for more than $15. However, it also mentions that a few items cost only a few cents. This suggests that the distribution of sale prices is skewed, with a concentration of prices around $12 but with some extremely low-priced items. In such cases where the distribution is skewed or contains extreme values, the median is the best measure of the center.
The median is the middle value in a dataset when arranged in ascending or descending order. Unlike the mean, which can be heavily influenced by extreme values, the median is less affected by outliers and provides a more representative measure of the central tendency. By calculating the median of the sale prices, we can identify the value that divides the dataset into two equal halves. This value will give us a clearer understanding of the typical sale price at the garage sale, considering both the concentration of prices around $12 and the presence of low-priced items.
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What are true statements about the history of the fractional banking system?
Answer:
----->Traders would deposit their gold with goldsmiths.
--->Goldsmiths issued paper receipts in excess of the amount of gold held.
--->Goldsmiths put the paper receipts into circulation by making loans.
Explanation:
Planing is the primary function of management.discuss
Explanation:
it is a primary function of management because it help in making the business and it makes it easier for the employees and everyone involved in the business in the workforce to see what is going to happen in the business and it's important for making decisions and such as trading and different types of that can a decision so it can also make it easier for the employees and the whole business to run smoothly because if you have a plan for everything then you can easily basically just you know work according to your needs and you can just flourish as a business
The pros and cons of new product concepts are analyzed during the idea generation phase of new product development.
True
False
operational strategies in manufacturing to improve efficiency is typically classified at which stragety level
Operational strategies in manufacturing to improve efficiency are typically classified at the operational strategy level.
Operational strategy is the approach that a company takes to manage its day-to-day activities to achieve its long-term goals. This strategy level is concerned with how to get things done and how to improve processes in the short-term. In the context of manufacturing, operational strategies aim to improve efficiency, reduce costs, and increase productivity.
There are several operational strategies that companies can use to achieve these goals. One common strategy is Lean Manufacturing, which is a systematic approach to eliminate waste in the production process and streamline operations.
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What does the term basic mean as used advertisement ?
In advertising, the term "basic" typically refers to a product or service that provides essential or fundamental features, without any additional or advanced features or characteristics.
When a product or service is described as "basic" in advertising, it means that it offers the core functionalities or benefits without any extra frills or enhancements. The term is often used to indicate simplicity, affordability, and ease of use. Basic products are designed to meet the basic needs of consumers without unnecessary complexity or additional features that may drive up the cost.
For example, a basic smartphone may offer essential functions such as calling, texting, and internet browsing, but it may lack advanced features like high-end camera capabilities or facial recognition. Similarly, a basic car may provide standard safety features and reliable performance but may not have luxurious amenities or cutting-edge technology.
Using the term "basic" in advertising helps set consumer expectations and communicate that the product or service is straightforward, practical, and suitable for individuals who prioritize simplicity and functionality over extravagant features. It can appeal to budget-conscious consumers or those seeking a no-frills option that fulfills their basic requirements.
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The final apr disclosed for a regular transaction must be within the allowable tolerance of?
Answer:
That section incorporates the statutory APR tolerances of 1/8 of 1 percent for regular transactions and ¼ of 1 percent for irregular transactions. Under the statutory tolerances, the disclosed APR is deemed to be accurate if it is above or below the actual APR by no more than the applicable percentage.
Explanation:
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A rising GDP and a falling unemployment rate are most likely indicators that an economy is in which phase of the business cycle?
answer: expansion
A rising GDP and a falling unemployment rate are most likely indicators that an economy is in the expansion phase of the business cycle.
During the expansion phase, the economy experiences an increase in economic activity and employment opportunities, resulting in a rise in GDP and a decline in unemployment rate. This phase is typically characterized by increased consumer and business spending, rising stock prices, and increasing confidence in the economy. The expansion phase is usually followed by the peak, recession, and trough phases in the business cycle.
The business cycle refers to the fluctuation of economic activity in an economy over time. It is typically characterized by alternating periods of expansion and contraction, with the peak, recession, and trough phases in between. Various factors contribute to the business cycle, including consumer spending, business investment, and government policies.
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2. The Weimer Corporation wants to accumulate a sum of money to repay certain debts due on December 31,2025 . Weimer will make annual deposits of $100,000 into a special bank account at the end of each of 10 years beginning December 31, 2016 . Assuming that the bank account pays 7% interest compounded annually, what will be the fund balance after the last payment is made on December 31,2025 ?
The Weimer Corporation wants to accumulate a sum of money to repay certain debts due on December 31, 2025.
Weimer will make annual deposits of $100,000 into a special bank account at the end of each of ten years beginning December 31, 2016.
The bank account pays 7% interest compounded annually.
What will be the fund balance after the last payment is made on December 31, 2025?
Solution:
The present value of an annuity formula calculates the value of a series of periodic payments at a future date by discounting them back to their current value at a given rate of interest.
The following is the formula for the present value of an annuity:
PV = P [(1 - (1 / (1 + r)n)) / r]
Where,
P = Payment amount
r = Interest rate
N = Number of payments
PV = Present value
The yearly deposit of the Weimer Corporation is $100,000,
which is a regular deposit.
Weimer Corporation will make ten deposits, one per year, beginning on December 31, 2016,
and the last payment will be on December 31, 2025.
The following is the calculation of the value of the annuity:
PMT = $100,000
r = 7% compounded annually
n = 10 years
PV = $1,000,000 [(1 - (1 / (1 + 7%)10)) / 7%]
PV = $1,000,000 [(1 - 0.5084) / 0.07]
PV = $1,000,000 (11.4713)
PV = $11,471,300
the fund balance after the last payment is made on December 31, 2025, will be $11,471,300.
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Economists define and measure economic growth as ______.
Answer:
Economists define economic growth as an increase in real GDP occurring over some time period or an increase in real GDP per capita occurring over some time period.
Following is the information listed below for Carter State Bank. What is the bank's asset utilization ratio? Net income $55 million Total operating revenue $650 million Total assets $4,055 million Total equity capital $350 million
The asset utilization ratio is 16.0 percent. The asset utilization ratio is a financial ratio that assesses a company's ability to generate revenue from its assets. It is calculated by dividing total revenue by total assets.
Given that the total operating revenue is $650 million and the total assets are $4,055 million, the asset utilization ratio can be calculated as follows: Asset utilization ratio = (Total operating revenue/Total assets) × 100% Asset utilization ratio = ($650 million / $4,055 million) × 100% The asset utilization ratio is 16.0 percent. This signifies that the bank generated approximately 16 cents of revenue from each dollar of assets owned.
The asset utilization ratio is a performance ratio that assesses how efficiently a business is using its assets to generate sales or revenue. The ratio measures a business's total revenue as a percentage of its total assets.Asset utilization ratio = (Total operating revenue / Total assets) × 100%Given the following information, the asset utilization ratio for Carter State Bank can be calculated.
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PLEASE ANSWER THESE IT WOULD BE A HUGE HELP
Each time you sell a stock to make a profit, you must pay tax on the money you make (the
difference between the buying and selling price). This is called capital gains tax. Do you think
capital gains tax is a good idea? Why or why not?
suppose that you live two periods, earning $20,000 when you are young, and $30,000 when you become old. suppose that the interest rate is 25% per period. (a) if you bring $1 to your bank when you are young, then how much money can you get when you become old?
If you bring $1 to the bank when you are young, you can get $1.5625 when you become old, assuming an interest rate of 25% per period.
To determine how much money you can get when you become old, we need to calculate the future value of the $1 you brought to the bank when you were young, given an interest rate of 25% per period.
Let's assume that you are young in period 1 and old in period 2. The present value of $1 is $1 in period 1. To calculate the future value of this $1 in period 2, we can use the formula:
Future Value (FV) = Present Value (PV) x (1 + r)^n
Where r is the interest rate per period and n is the number of periods. In this case, r is 25% per period, and n is 2 (since there are two periods between when you are young and when you become old).
Using this formula, we can calculate the future value of the $1 you brought to the bank when you were young:
FV = $1 x (1 + 0.25)^2
= $1 x 1.5625
= $1.5625
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Industry Y is dominated by five large firms that hold market shares of 41, 21, 17, 9, and 12 percent. The four-firm concentration ratio for this industry is
The four-firm concentration ratio for this industry is 91% if a Industry Y is dominated by five large firms that hold market shares of 41, 21, 17, 9, and 12 percent.
To calculate the four-firm concentration ratio for Industry Y, we need to add up the market shares of the four largest firms.
The four largest firms in Industry Y hold market shares of 41, 21, 17, and 12 percent.
When we add these percentages together, we get:
41% + 21% + 17% + 12% = 91%
The four-firm concentration ratio for this industry is 91% if a Industry Y is dominated by five large firms that hold market shares of 41, 21, 17, 9, and 12 percent.
Therefore, the four-firm concentration ratio for Industry Y is 91%. This means that the four largest firms in the industry control 91% of the total market share.
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Prateek ha 10 employee at hi printing buine. Some employee are in their teen and ome are in their ixtie. Which i the bet example of how Prateek can uccefully addre the need of all employee?
Prateek has 10 employees in his printing business. Some employees are in their teens and some are in their sixties. Prateek can successfully address the need of all employees by communicating with each member in the way they prefer.
Communication is an effective way to improve the productivity of employees and manage professional relations. Communication must be the dissemination of appropriate information, sharing of intentions and emotions among the employees and employer.
Communication between employers and employees must be acknowledged to provide a sense of cordial relations. It makes the employees feel that their ideas and problems are heard by the employer.
Prateek can communicate with each member in a way they prefer as it will help the employees to create a cordial professional relationship. It will also help in developing communication skills and personal awareness among the employees.
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Chuong Ngo borrows $2700 from a bank that advertises a 7% simple interest rate and repays the loan in three equal monthly payments. Estimate the APR. Round to the nearest tenth of a percent. Use the Approximate Annual Percentage Rate Formula.
The estimated Annual Percentage Rate is 10.5%
APR means Annual Percentage Rate.
Annual Percentage Rate refers to the interest rate one pays on a loan each year.
We will use the Annual Percentage Rate(APR) Formula to derive the estimate
APR = 2nr/(n+1) where the P = $2,700, R = 7% and N = 3
\(APR = 2*3*0.07 / (3+1)\\APR = 0.42 / 4\\APR = 0.105\\APR = 10.5%\)
In conclusion, the estimated Annual Percentage Rate is 10.5%
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Widget Works has a cost of equity of 17.1 percent. The market risk premium is 9.2 percent and the risk-free rate is 3.3 percent. The company is acquiring a competitor, which will increase the company's beta to 1.7. What effect, if any, will the acquisition have on the firm's cost of equity capital? Decrease of 2.62 percent Increase of 2.62 percent Increase of 1.84 percent No effect Decrease of 1.84 percent
The acquisition of the competitor will have an effect on the firm's cost of equity capital.
To determine the effect, we need to consider the relationship between beta and the cost of equity capital.
The cost of equity capital is determined using the Capital Asset Pricing Model (CAPM), which is given by the formula:
Cost of Equity = Risk-Free Rate + Beta * Market Risk Premium
Before the acquisition, the company's beta is not provided, so we need to calculate it based on the given information. Using the CAPM formula, we can calculate the initial beta as follows:
Cost of Equity = Risk-Free Rate + Beta * Market Risk Premium
17.1% = 3.3% + Beta * 9.2%
Beta = (17.1% - 3.3%) / 9.2%
Beta ≈ 1.74
After the acquisition, the company's beta will increase to 1.7. Comparing the initial beta of 1.74 with the post-acquisition beta of 1.7, we can see that the acquisition will have no effect on the firm's cost of equity capital. Therefore, the correct answer is "No effect."
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How do government regulations affect supply and demand? In a paragraph, explain how a government regulation to increase bicycle safety might affect supply and demand. The new government regulation requires bicycle manufacturers to put a chain guard on the bicycles they make. Would that affect the supply of bicycles? Give reasons for your answer.
First off, the new legislation would require money from bicycle makers for research and development, a redesign of their production process, and implementation. This might raise their prices.
How do government policies impact supply and demand?Demand is mostly affected by economic regulations like the GST and excise charge. If taxes are high, the cost of that product will also be high, which will result in a decrease in demand as a result of the price increase, and vice versa.
How can the government boost demand?The government may create demand by decreasing taxes and increasing spending. Lower income taxes will increase disposable income and encourage spending. More government spending will stimulate the economy and bring about job growth.
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a bagel shop sells 6 kinds of bagels. find the numb er o d ways a customer can buy (a) 9 bagels, (b) 14 bagels.
(a) A customer can buy 9 bagels in 84 ways.
(b) A customer can buy 14 bagels in 2002 ways.
This problem involves combinations with repetition. To find the number of ways to buy bagels, we use the formula C(n+r-1, r), where n is the number of kinds of bagels and r is the total number of bagels to buy.
(a) For 9 bagels, r = 9. Calculate C(6+9-1, 9) = C(14, 9) = 2002 ways.
(b) For 14 bagels, r = 14. Calculate C(6+14-1, 14) = C(19, 14) = 11628 ways.
In conclusion, a customer can buy 9 bagels in 84 ways and 14 bagels in 2002 ways.
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