Consider the market for ice cream on the boardwalk of Rehoboth Beach. You want to know about
the total consumer and producer surplus from ice cream purchases during the July 4th weekend.
What information do you need to know to calculate the dollar value of total consumer and producer surplus?

Answers

Answer 1

To calculate the dollar value of the total consumer and producer surplus for the market for ice cream on the boardwalk of Rehoboth Beach during the July 4th weekend, you need to know the following information:

Consumer Surplus: The quantity of ice cream that consumers are willing to purchase at different prices. This information is represented by the demand curve.

Producer Surplus: The quantity of ice cream that producers are willing to supply at different prices. This information is represented by the supply curve.

Equilibrium Price: The price at which the quantity of ice cream demanded by consumers equals the quantity of ice cream supplied by producers. This is the point where the demand and supply curves intersect, also known as the market clearing price.

Consumer Surplus Calculation: To calculate the dollar value of consumer surplus, you need to find the difference between the maximum price that consumers are willing to pay (as indicated by the demand curve) and the market price.

Producer Surplus Calculation: To calculate the dollar value of producer surplus, you need to find the difference between the minimum price that producers are willing to accept (as indicated by the supply curve) and the market price.

Overall, total consumer surplus is equal to the sum of all individual consumer surpluses, while total producer surplus is equal to the sum of all individual producer surpluses.

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Related Questions

HappyNukland is a small closed-economy where households have a consumption function as $500+0.7Yd. Firms have an investment function as $700+0.2Y, while government expenditure equals to $650. However, the government collects lump-sum tax of $200, income tax of 5% and provides transfer payment of $50 to the economy. (10 pts) Due to uncertainty during COVID-19 pandemic, households have lower expectations of their future income causing them to reduce their autonomous consumption from $500 to $350. Given the situation, what would happen to the equilibrium level of output? Also, find the value of autonomous consumption multiplier.

Answers

The equilibrium level of output is Y = 6400+5X–5M and the multiplier will be 1/0.7 = 1.43. is the answer.

HappyNukland is a small closed economy where households have a consumption function of $500+0.7Yd. Firms have an investment function of $700+0.2Y, while government expenditure equals $650. However, the government collects lump-sum tax of $200, an income tax of 5% and provides a transfer payment of $50 to the economy. Due to the uncertainty during the COVID-19 pandemic, households have reduced their autonomous consumption from $500 to $350. As a result of this, the consumption function would change to $350+0.7Yd.

Now, the new equilibrium level of output can be determined by equating the aggregate demand and supply.

The aggregate demand is given as C + I + G + (X – M)Where, C = consumption function, I = investment function, G = government expenditure, X = exports and M = imports.

Aggregate demand function = (350+0.7Yd) + (700+0.2Y) + 650 + (X – M) = (1700+0.7Yd+X–M) + 0.2Y. ...1Here, Yd = Y – T, where T is the total tax revenue earned by the government.

T = 200+0.05Y – 50 = 150+0.05Y. ...2Substituting equation 2 in 1

Aggregate demand function = (1700+0.7Yd+X–M) + 0.2Y = (1700+0.7(Y–T)+X–M) + 0.2Y =  (1700+0.7(Y–(150+0.05Y))+X–M) + 0.2Y =  (1575+0.65Y+X–M) + 0.2Y. ...3

Here, Y is the equilibrium level of output.

Substituting the new consumption function (350+0.7Yd) in the aggregate demand function

Aggregate supply = aggregate demand350+0.7Y =  (1575+0.65Y+X–M) + 0.2YY = 6400+5X–5M. ...4

Equation 4 shows that the equilibrium level of output is Y = 6400+5X–5M.

The multiplier in the case of autonomous consumption is given by 1/MPC (Marginal Propensity to Consume), where MPC = 0.7.

Therefore, the multiplier will be 1/0.7 = 1.43.

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What are the legal procedures for registering a sole proprietorship
in the Nashville TN


What are the legal procedures for registering a sole proprietorship
in the Nashville TN

Answers

Sole proprietorship is the simplest type of business structure and is owned by a single individual who assumes all financial risks and responsibilities of the business.

Here are the legal procedures for registering a sole proprietorship in Nashville TN:

1. Select a name for your business - Your business name must be unique and must not conflict with the name of an already registered business.

2. Register your business name - After choosing a business name, you should register it with the Secretary of State.

3. Obtain necessary licenses and permits - Depending on the nature of your business, you may be required to obtain a business license or permit.

4. Register for state taxes - You may need to register your business for state taxes such as sales tax or employment taxes.

5. Open a business bank account - It is important to keep your personal and business finances separate.

6. Get insurance - Depending on the type of business you are running, you may need insurance to protect yourself and your business.

7. Understand the concussion - You should be aware of the concussion of your business and comply with all state and federal regulations.

To register a sole proprietorship in Nashville, TN, there are several legal procedures that must be followed. The first step is to select a name for your business that is unique and does not conflict with the name of an already registered business. After choosing a business name, you should register it with the Secretary of State.

Next, you should obtain any necessary licenses and permits that may be required to operate your business. Depending on the nature of your business, you may be required to obtain a business license or permit.You should also register your business for state taxes such as sales tax or employment taxes. It is important to keep your personal and business finances separate, so opening a business bank account is crucial.

Additionally, you may need insurance to protect yourself and your business depending on the type of business you are running.

Conclusion:

Lastly, you should understand the concussion of your business and comply with all state and federal regulations. This includes filing taxes on time, maintaining accurate financial records, and following all safety regulations related to your business. By following these legal procedures, you can successfully register your sole proprietorship in Nashville, TN.

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A company with 100,000 authorized shares of $4 par common stock issued 50,000 shares at $8. Subsequently, the company declared a 2% stock dividend on a date when the market price was $13 per share. What is the number of new shares to be issued as a result of the stock dividend?

Answers

The number of new shares to be issued as a result of the stock dividend is 1,000 shares.

Stock dividends are declared when a company needs to issue additional shares of its stock in order to increase the number of shares that are available to its investors. This can be done for a variety of reasons, such as to raise additional capital for expansion or to reward investors who have held onto their shares for an extended period of time.In this case, a company with 100,000 authorized shares of $4 par common stock issued 50,000 shares at $8.

Subsequently, the company declared a 2% stock dividend on a date when the market price was $13 per share. So, let's break down what this means:The company has authorized 100,000 shares of its stock, but has only issued 50,000 of those shares.

The shares were issued at $8 per share, which means that the company raised $400,000 from the sale of those shares.A 2% stock dividend means that the company will issue additional shares of its stock equal to 2% of the outstanding shares.

In this case, the company has 50,000 outstanding shares (since that's how many shares it has issued), so a 2% stock dividend would be 1,000 shares (which is 2% of 50,000 shares).The market price of the company's stock at the time the dividend was declared was $13 per share.

This means that the total value of the stock dividend (based on the number of new shares that will be issued) is $13,000 ($13 per share x 1,000 shares).So, in summary, the number of new shares to be issued as a result of the stock dividend is 1,000 shares.

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d of its first year of operation, Dell Corporation has $500,000 of common stock and net income of $100,000. What is the closing e olbar, press ALT+F10 (PC) or ALT+FN+F10 (Mac).

Answers

At the end of a company’s accounting period, a closing entry is made in the general journal to transfer the net income or loss to the owner’s equity account.

At the end of its first year of operation, what would be the closing entry for Dell Corporation given that it has $500,000 of common stock and a net income of $100,000?

The purpose of this entry is to reset the balances of the temporary accounts (such as revenues and expenses) to zero so that they are ready to record the transactions of the next accounting period.

The closing entry also adjusts the balance of the owner's equity account to reflect the current year's earnings.

The closing entry for Dell Corporation at the end of its first year of operation would be as follows: Debit Income Summary: $100,000Credit Retained Earnings: $100,000Debit Retained Earnings: $500,000Credit Common Stock: $500,000

The entry debits income summary and credits retained earnings because net income for the period has to be transferred to the owner's equity account, which is retained earnings.

The debit and credit amounts are the same because net income and retained earnings are both part of the owner’s equity section of the balance sheet. The last part of the entry debits retained earnings for the amount of common stock issued and credits common stock.

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Excel Online Structured Activity: Cash conversion cycle Chastain Corporation is trying to determine the effect of its inventory turnover ratio and days sales outstanding (DSO) on its cash conversion cycle. Chastain's 2016 sales (all on credit) were $218000; its cost of goods sold is 80% of sales, and it earned a net profit of 7%, or $15260. It turned over its inventory 5 times during the year, and its DSO was 38.5 days. The firm had fixed assets totaling $49000, Chastain's payables deferral period is 40 days. Assume 365 days in year for your calculations. The data has been collected in the Microsoft Excel Online file below. Open the spreadsheet and perform the required analysis to answer the questions below. X1 Open spreadsheet a. Calculate Chastain's cash conversion cycle. Round your answer to two decimal not round intermediate calculations. days its total assets turnover and ROA Round your answers to two decimal b. Assuming Chastain holds negligible amounts of cash and places. Do not round intermediate calculations Total assets turnover ROA c. Suppose Chastain's managers believe that the inventory turnover can be raised to 9.1 times. What would Chastain's cash conversion cyde, total assets turnover, and ROA have been if the inventory turnover had been 9.1 for 20167 Round your answers to two decimal places. Do not round intermediate calculations. Cash conversion cycle Total assets turnover ROA Format Painter Clipboard Undo M23 D 1 Cash conversion cycle $218,000 80.00% 7.00% 5 6 Sales Cost of good sold % Net profit margin Original Inventory turnover ratio DSO Fored assets Payables deferral period 5.0 38.5 $49.000 00 Formulas Calculate inventory conversion period: 12. Inventory 13 Inventory conversion period (days) 15 Calculate cash conversion cycle: 16 Cash conversion cycle (days) 18 Calculate total assets turnover: 19 Accounts receivable 20 Total assets 21 Total assets tumover 23 Calculate return on assets: 24 Net income 25 Return on assets (ROA) AWWWWYWWRONBONNNNSERER 27 Revised inventory turnover ratio 29 Calculate inventory conversion period: 30 Inventory Inventory conversion period (days) Calculate cash conversion cycle: Cash conversion cycle (days) Calculate total assets turnover: Accounts receivable Total assets Total assets turnover #N/A ANIA Calculate return on assets: Net income Return on assets (ROA) L

Answers

Chastain Corporation's cash conversion cycle is 63.85 days, indicating the average number of days it takes for the company to convert its investments in inventory and accounts receivable into cash.

What is the duration of Chastain Corporation's cash conversion cycle?

Chastain Corporation's cash conversion cycle is a measure of the time it takes for the company to convert its investments in inventory and accounts receivable into cash. It is calculated by adding the inventory conversion period (ICP) and the accounts receivable conversion period (ARCP) and subtracting the payables deferral period (PDP).

To calculate the inventory conversion period (ICP), we divide 365 days by the inventory turnover ratio. In this case, Chastain's inventory turnover ratio is 5, so the ICP is 73 days (365/5).

To calculate the accounts receivable conversion period (ARCP), we divide 365 days by the days sales outstanding (DSO). Chastain's DSO is 38.5 days, so the ARCP is 9.48 days (365/38.5).

Next, we calculate the cash conversion cycle by adding the ICP and ARCP and subtracting the payables deferral period. In this case, the cash conversion cycle is 63.85 days (73 + 9.48 - 40).

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Which of the following is FALSE?

(A) The classical dichotomy would suggest that money has no long-run effect on economic growth.

(B) Neoliberalism is the best economic system.

(C) Price controls can often work to improve productivity and growth.

(D) Corporate taxes always reduce inflation

Answers

The statement that is FALSE among the following options is (B) Neoliberalism is the best economic system.

Neoliberalism is an economic concept that focuses on free-market capitalism as a means of promoting economic growth and development. It is often associated with the idea of laissez-faire economics, which advocates for minimal government intervention in the economy. While some proponents of neoliberalism argue that it is the best economic system, this claim is not universally accepted by economists and policymakers alike. One of the main criticisms of neoliberalism is that it can lead to economic inequality, as free-market forces tend to favour those who are already wealthy and well-connected.
Additionally, many argue that the focus on economic growth at all costs can come at the expense of environmental sustainability and social welfare. While there are certainly benefits to a free-market economy, it is not necessarily the best economic system for all countries or in all circumstances. Thus, we can conclude that the false statement is (B) Neoliberalism is the best economic system.

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Kingbird, Inc. had the following accounts and balances: Accounts payable $31200 Equipment $35700 Accounts receivable 4600 Land 34300 Buildings 73100 9600 Unearned service revenue Cash 14800 ? Total stockholders' equity If Kingbird pays $5300 of Accounts Payable in cash, total stockholders' equity would be: $172200 O $121700 O $131300 O $136500

Answers

Total stockholders' equity would be $131,300 since the Accounts Payable payment is less than the cash balance of $14,800.

Kingbird, Inc. had the following accounts and balances:Accounts payable $31200Equipment $35700Accounts receivable 4600Land 34300Buildings 731009600 Unearned service revenueCash 14800.

Total stockholders' equity.Kingbird, Inc. is a corporation that has Accounts Payable of $31,200, Equipment of $35,700, Accounts Receivable of $4,600, Land of $34,300, Buildings of $73,100, Unearned Service Revenue of $9,600, and Cash of $14,800. The Total Stockholders' Equity is unknown.

The payment of Accounts Payable of $5,300 results in a cash outflow. The result of the payment on the Total Stockholders' Equity is that the value decreases by the same amount as the Accounts Payable payment, that is, by $5,300. 

This is calculated by subtracting the Accounts Payable payment of $5,300 from the sum of all assets and unearned service revenue, and then adding the Total Stockholders' Equity.

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You have been hired to market a new music recording that is expected to have target sales of $20 million for the coming year.

The marketing department has estimated that a 1% increase in advertising the recording would increase the recordings sold by about 0.5% (i.e., the advertising elasticity is 0.5) and that a 1% increase in the price of a recording would reduce the number sold by about 2% (i.e., the absolute value of the price elasticity of demand is 2).

To maximize profits, how many millions of dollars should be spent on advertising the recording in the coming year?

Answers

The optimal advertising budget is $18.18 million.

Given:
Target sales of the recording for the coming year = $20 million
Advertising elasticity = 0.5
Absolute value of price elasticity of demand = 2
Let the advertising budget for the coming year be x.
Then, the quantity demanded of the recording can be expressed as follows:
Q = Q0 + (0.5 * x)/100 * Q0 - (2 * P)/100 * Q0
where Q0 is the initial quantity demanded (i.e., 20 million recordings), P is the price of a recording, and Q is the new quantity demanded after the change in advertising expenditure and price.
To maximize profits, we need to find the value of x that maximizes total revenue (i.e., price multiplied by quantity).
Total revenue = P * Q
            = P * (Q0 + (0.5 * x)/100 * Q0 - (2 * P)/100 * Q0)
            = P * Q0 + 0.005 * P * x - 0.02 * P^2
To maximize total revenue, we need to take the derivative of the revenue function with respect to x and set it equal to zero.
d(TR)/dx = 0.005 * P = 0
P = 0
This result indicates that the advertising budget has no effect on total revenue, which is not a realistic scenario. Therefore, we need to re-examine our approach.
One way to overcome this issue is to assume that the price of the recording is fixed. In other words, we assume that the price elasticity of demand is infinite (i.e., a 1% increase in price will lead to a 100% decrease in quantity demanded). With this assumption, we can calculate the optimal advertising budget as follows:
Q = Q0 + (0.5 * x)/100 * Q0
Total revenue = P * Q
            = P * (Q0 + (0.5 * x)/100 * Q0)
            = P * Q0 * (1 + 0.005 * x)
To maximize total revenue, we need to take the derivative of the revenue function with respect to x and set it equal to zero.
d(TR)/dx = 0.005 * P * Q0 = 0
P * Q0 = 0
This result indicates that the optimal advertising budget is zero, which is not a realistic scenario. Therefore, we need to re-examine our assumptions.
Another way to approach this question is to use the concept of profit maximization. Profit is defined as total revenue minus total cost. Assuming that the cost of producing the recording is fixed, we can express profit as follows:
Profit = (P - C) * Q
      = (P - C) * (Q0 + (0.5 * x)/100 * Q0 - (2 * P)/100 * Q0)
To maximize profit, we need to take the derivative of the profit function with respect to x and set it equal to zero.
d(Profit)/dx = 0.005 * Q0 * (3P - 2C) - 0.01 * P * Q0 = 0
x = 200 * (C - 0.5P)/(3P - 2C)
Substituting the given values, we get:
x = 200 * (0.5 - 0.01)/(3 - 2 * 0.5) = 18.18 million
Therefore, the optimal advertising budget is $18.18 million.

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Suppose the saving rate for a low-income country is given. If produc¬tion becomes less capital intensive, the ICOR will ________ and the growth rate will _________.

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Suppose the saving rate for a low-income country is given. If production becomes less capital-intensive, the ICOR will decline and the growth rate will increase.

ICOR refers to the Incremental Capital-Output Ratio, which is a measure of an economy's performance. The quantity of investment required to achieve a given increment in GDP is measured by ICOR. When the economy grows quickly and efficiently, it implies that it has a low ICOR value.Suppose the saving rate for a low-income country is given. If the production becomes less capital intensive, the ICOR will decline, indicating that a smaller amount of capital is required for each unit of production. As a result, it will require less investment to produce an additional unit of output, and the economy's growth rate will increase accordingly.Less capital-intensive production implies that there will be more labor-intensive production. As a result, less capital will be required, resulting in a decrease in ICOR. A decrease in ICOR indicates an increase in capital productivity, which translates to a higher growth rate. Hence, the growth rate will increase when the ICOR will decline when the production becomes less capital-intensive.

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when a company undertakes conscious marketing, what does it focus on? (choose every correct answer.)

Answers

When a company undertakes conscious marketing, it focuses on options A. marketplace, B. customers, C. employees, and E. society.

A. Marketplace: Conscious marketing involves understanding the marketplace dynamics, including market trends, competitor analysis, and consumer preferences. By staying informed about the marketplace, companies can adapt their strategies and offerings to meet customer needs effectively.

B. Customers: Conscious marketing places a strong emphasis on customers. It involves building strong relationships with customers, providing value, and ensuring customer satisfaction. By prioritizing customers, companies can foster loyalty, increase customer retention, and enhance brand reputation.

C. Employees: Conscious marketing recognizes the significance of employees as valuable assets. It involves creating a positive work environment, prioritizing employee well-being, and fostering a culture of inclusivity and growth. By investing in employees, companies can enhance productivity, attract and retain top talent, and promote a positive brand image.

E. Society: Conscious marketing acknowledges the impact of business activities on society and aims to contribute positively. It involves considering social and environmental factors when making business decisions, adopting sustainable practices, and actively engaging in corporate social responsibility initiatives. By addressing societal concerns, companies can enhance their reputation, build trust, and make a meaningful difference in the world.

Therefore, Options A, B, C, and E are Correct

The question was incomplete, Find the full content below:

when a company undertakes conscious marketing, what does it focus on?

(choose every correct answer.)

A. marketplace.

B. customers

C. employees

D. quick profits

E. society

F. superior distribution

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Current Attempt in Progress Ryan Seacrest has worked for Idol Inc. for 20 years without taking a vacation. An internal control principle that would address this situation would be establishment of responsibility. physical controls. documentation procedures. human resource controls. Attempts: 0 of 2 used S Save for Later Last saved 1 hour ago Saved work will be auto-submitted on the due date Auto- submission can take up to 10 minutes.

Answers

The establishment of responsibility as an internal control principle would address the situation of Ryan Seacrest working for Idol Inc.  Option A

The internal control principle that would address Ryan Seacrest's situation of working for Idol Inc. for 20 years without taking a vacation is the establishment of responsibility.

Establishment of responsibility involves assigning specific duties and responsibilities to employees and holding them accountable for their actions. In this case, Idol Inc. should have implemented policies and procedures that ensure employees, including Ryan Seacrest, take regular vacations and time off.

There are several reasons why the establishment of responsibility is important in this context. First, taking regular vacations promotes work-life balance and employee well-being. It helps prevent burnout and increases employee satisfaction, which can lead to increased productivity and better job performance. By not allowing employees to go without vacations for an extended period, the company can ensure the health and well-being of its employees.

Second, from a risk management perspective, having employees take vacations is a critical internal control measure. When employees take time off, it provides an opportunity for other employees to step in and perform their duties. This rotation of responsibilities helps to detect and deter fraudulent activities, errors, or irregularities that may occur when one employee has unchecked control over a process or function.

By implementing a policy that requires employees, including Ryan Seacrest, to take regular vacations, Idol Inc. can ensure the proper distribution of responsibilities, reduce the risk of errors or fraudulent activities, and prioritize the well-being of its employees.

In summary, the establishment of responsibility as an internal control principle would address the situation of Ryan Seacrest working for Idol Inc. for 20 years without taking a vacation. It promotes work-life balance, employee well-being, and risk management by assigning specific duties and responsibilities to employees and ensuring they take regular time off. Option A

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Note the complete questions is:

Current Attempt in Progress Ryan Seacrest has worked for Idol Inc. for 20 years without taking a vacation. An internal control principle that would address this situation would be A) establishment of responsibility. B) physical controls. C) documentation procedures. D) human resource controls. Attempts: 0 of 2 used S Save for Later Last saved 1 hour ago Saved work will be auto-submitted on the due date Auto- submission can take up to 10 minutes.

Which of the following two are correct when double-entry accounting journal entries are used to record what is exchanged in a transaction? (Check all that apply)
a. The amount received is recorded with a credit
b. The amount received is recorded with a debit
c. The amount given is recorded with a debit
d. The amount given is recorded with a credit

Answers

When double-entry accounting journal entries are utilized to document what is traded in a transaction, the amounts received and provided are correctly recorded with a debit and credit, respectively. B and D are the correct options in the question.

A key principle underlying modern bookkeeping and accounting is double entry, which argues that each financial transaction have equal and opposing consequences in at least two independent accounts. B and D are the correct options.

Transactions in the double-entry method are recorded as debits and credits. The total of all debits and credits must equal one another since a credit in one account cancels out a debit in another. The double-entry bookkeeping system standardizes the accounting procedure and enhances the precision of generated financial statements, enabling enhanced mistake identification. The double entry system requires debits and credits in order to function. In the world of accounting, a debit is an entry at the left side of an account ledger, while a credit is an entry on the right side.

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Marketing concepts have changed over time in history. What are
the major SIX (6) concepts? Mention them in order (10 Marks) and
explain
each briefly

Answers

Marketing is the process by which a company creates value for its customers in order to achieve its goals. Marketing has evolved over time, with six key concepts emerging and changing the way businesses operate.


The production concept is the oldest marketing concept and emphasizes that companies should focus on producing high-quality products at low prices. The goal is to make products available and affordable to the largest possible market. This concept is based on the assumption that consumers are more interested in the availability and low price of products rather than their quality or features.

The holistic marketing concept emerged in the 1990s and focuses on the entire marketing process, from developing products to delivering them to customers. The goal is to create a seamless marketing experience for customers that is both effective and efficient. This concept assumes that marketing is a complex process that requires the coordination of various functions and activities.

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4. Use the incomplete stockholders' equity section of Box Company's balance sheet as of December 31, 2016, to answer the following question. Common stock, $7 par, 100,000 shares authorized $ 700,000 Additional paid-in capital common 160,000 Retained earnings ? Treasury stock (2,000 shares at cost) (16,000) Total stockholders' equity 974,000 How many shares of common stock are outstanding? a. 100,000 b. 98,000 c. 78,000 d. 68,000

Answers

The number of shares of common stock that are outstanding, given the shares issued would be B. 98 , 000 shares.

How to find the shares outstanding ?

The total common stock value is $700, 000 and each share has a par value of $7.

So, the total number of shares issued is:

= $700, 000 / $7 per share

= 100, 000 shares

The treasury stock represents the number of shares the company has bought back. In this case, it's 2, 000 shares.

So, the number of outstanding shares is:

= 100, 000 shares - 2, 000 shares

= 98, 000 shares

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eBook Hint Print References Exercise 7-13 (LO7-3) A normal population has a mean of 21 and a standard deviation of 6. Use Appendix B.3. a. Compute the z value associated with 24. (Round your answer to 2 decimal places.) b. What proportion of the population is between 21 and 24? (Round z-score computation to 2 decimal places and your final answer to 4 decimal places.)

Answers

The z value associated with 24 is 0.50 (rounded to 2 decimal places), the area between z = 0 and z = 0.50 is: 0.1915 (rounded to 4 decimal places), this means that about 19.15% of the population is between 21 and 24.

a. Compute the z value associated with 24. z-value is calculated by the formula;[tex]z=(x-\mu)/\sigma[/tex].

[tex]\mu[/tex] = Mean = 21

[tex]\sigma[/tex] = Standard Deviation = 6x = 24z = (24 - 21) / 6 = 0.50

Therefore, the z value associated with 24 is 0.50 (rounded to 2 decimal places).

b. To calculate the proportion of the population that is between 21 and 24, we need to find the area under the normal distribution curve between the two z-values (z = 0 and z = 0.50).

We can find this area using the standard normal distribution table in Appendix B.3.

Using the table, the area to the left of z = 0 is 0.5000. The area to the left of z = 0.50 is 0.6915.

Therefore, the area between z = 0 and z = 0.50 is: 0.6915 - 0.5000 = 0.1915 (rounded to 4 decimal places).

This means that about 19.15% of the population is between 21 and 24.

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Can anybody please solve this as soon as possible.
On January 1, 2022, Antarctic Air Inc. enters a seven-year, non-cancellable lease agreement to lease an airplane to Penguin Airlines, with payments required at the end of each year. The following info

Answers

On January 1, 2022, Antarctic Air Inc. enters a seven-year, non-cancelled lease agreement to lease an airplane to Penguin Airlines, with payments required at the end of each year. The agreement specifies an annual lease payment of $65,000 and requires the lessee to pay all maintenance, insurance, and taxes costs during the lease term.

The aircraft has a fair value of $300,000, an expected life of seven years, and no residual value. Antarctic Air has an implicit interest rate of 8%, which is known to Penguin Airlines.The present value of the lease payment can be calculated as the present value of the annual lease payment for seven years using the implicit interest rate of 8 percent. The present value factor for an annuity of 1 for seven years at 8 percent is 5.747. Thus, the present value of the lease payments is $65,000 × 5.747, or $373,055.The lease receivable, which is the present value of the lease payments, should be reported on Antarctic Air's balance sheet. The lease payment of $65,000 is income to Antarctic Air, and it is recognized as such at the end of each year.The following journal entries would be made by Antarctic Air Inc. during the first year:Lease receivable..............$373,055Lease asset.....................$300,000Lease liability....................$73,055Cash................................$0The lease liability of $73,055 represents the present value of the lease payment and will be reduced over the term of the lease as lease payments are made. Antarctic Air Inc. must recognize interest income on the lease receivable, which is equal to the implicit interest rate times the carrying value of the lease receivable.

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1. Class 16 1. Activity 16.1 – Debates and discussions- The meaning of experimental design, Difference between opinion poll and census Difference between Sample and population

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The activity of debates and discussions are often used in classrooms to enhance student participation and engagement. The students get a chance to share their opinions and ideas with their classmates.

The activity of debate involves arguing a topic or issue from a particular perspective. On the other hand, the discussion involves exploring a topic from different angles.Experimental design refers to the methodical planning of experiments to ensure that the data obtained is reliable and can be used to support or reject a hypothesis. Opinion polls are surveys carried out to determine the opinions of a sample of people on a particular issue. A census is a survey that covers the entire population, while a sample is a smaller group that is used to represent a larger group.Experimental design refers to the methodical planning of experiments to ensure that the data obtained is reliable and can be used to support or reject a hypothesis. It involves designing an experiment that will test a specific hypothesis, deciding on the sample size, selecting the participants, and determining the method of data collection. The design of the experiment should be such that it minimizes bias, confounding variables, and errors.Opinion polls are surveys carried out to determine the opinions of a sample of people on a particular issue. They are often conducted to predict the outcome of an election, to measure public support for a particular policy or issue, or to gather feedback on a product or service. Opinion polls can be conducted using a variety of methods, such as telephone surveys, online surveys, or face-to-face interviews.A census is a survey that covers the entire population. It is used to collect information on a range of topics, such as demographics, social and economic status, education, and employment. Census data is used by governments, businesses, and researchers to make informed decisions and policies.Sample is a smaller group that is used to represent a larger group. It is used when it is not practical or feasible to conduct a census. A sample should be representative of the population to ensure that the results obtained are accurate and can be generalized to the larger population.

In conclusion, experimental design is a crucial aspect of research, which ensures that the data obtained is reliable and valid. Opinion polls and censuses are methods of data collection used to gather information on a particular issue or population. While opinion polls use a sample of people to determine opinions, a census covers the entire population. A sample is used when conducting a census is not practical or feasible, and it should be representative of the larger population.

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Marcus Ziegler is a consultant specialist for an electronic components firm based in Germany. He was given the responsibility by his employer to negotiate with the Melaka state government regarding the various facilities and incentives offered. Among the offers provided are an industrial site in the Ayer Keroh Industrial Zone, manpower services, and other infrastructure facilities. The industrial site can either be rented for an amount of RM20,000 a month or can be purchased for RM4 million. Concurrently, a glove company from Japan, namely Matsushi Corporation is also interested in the offers provided by the state government. The company, which is represented by their consultant, Michiko Ogata, is willing to purchase the industrial site for the price of RM6 million. Given the situation described, by applying the 'lose-win' strategy in Negotiation Skills, explain what action can Ziegler takes if Ogata is willing to offer the price from RM6 million to RM10 million. Is it worth for him to compete with Ogata in that condition? Justify your answers and provide relevant examples. (15 marks)

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The lose-win strategy is one of the four negotiation skills strategies. This strategy involves giving in on small and unimportant issues to gain advantages on critical matters. Marcus Ziegler's goal is to negotiate with the Melaka state government for the facilities and incentives provided.

Michiko Ogata's representative for Mitsubishi Corporation is interested in purchasing the industrial site at RM6 million. If Michiko Ogata offers a higher price of RM10 million than the original asking price of RM4 million, Marcus Ziegler, the consultant specialist of the electronic components firm, should consider competing for the offer. It's because both companies might be willing to purchase the land at a higher price.

In other words, Marcus Ziegler should use the "lose-win" strategy to his advantage by agreeing to the RM10 million price while seeking more benefits or facilities for his firm to offset the higher price. To obtain more benefits or facilities, Ziegler can take advantage of Matsushi Corporation's eagerness to buy the land. Ziegler can negotiate with the Melaka state government to provide more attractive incentives and facilities.

For example, Ziegler can demand a larger industrial site, better infrastructure, or more favorable payment terms. Thus, Ziegler's company could accept the RM10 million offer, obtain more incentives and facilities, and increase its profitability.

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1. [4 points] List, but do not describe, main forms of operating systems process management. 1. 2. 3. 4. 2. [6 points] Describe hierarchy of data 1. 2. 3. 4. 5. 6.

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1. The main forms of operating system process management are Operating systems perform a variety of functions. The primary objective of an operating system is to manage the hardware and software resources of a computer. Operating systems provide an interface

between the user and the hardware of the computer. Following are the main forms of operating system process management Process Scheduling Thread Scheduling Synchronization Deadlock handling Memory Management2. Hierarchy of Data1. bit is the smallest and fundamental unit of digital information. It can only contain either 0 or 1. It is used to represent simple states of on or off. 2. Byte A byte is a sequence of eight bits. It is used to represent data in a computer system.

It is the smallest addressable memory size in most computer architectures. 3. FieldA field is a data element that contains a value that is part of a record or group of records. It contains a specific piece of data within the record. 4. RecordA record is a collection of fields that make up a complete set of data. Each record contains different data elements. 5. FileA file is a collection of related records that are stored on a storage device. It can be a text file, a picture file, or an audio file. 6. DatabaseA database is a collection of files that are stored in a computer system. It can be used to store and organize large amounts of data. These are the main answers to the two questions that you have asked.

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Suppose we have preferences U(X, Y) = min [2X, Y]. Graph/sketch the indifference curve through the bundle X = 10 and Y = 10. What is the utility at (10, 10)? Explain why the indifference curve looks the way it does.

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The indifference curve will be downward sloping. The utility at (10, 10) can be found by plugging in the values of X and Y in the given function: U(10, 10) = min [2(10), 10] = min [20, 10] = 10. Hence, the utility at (10, 10) is 10.

Downward sloping refers to a downward trend or decline in a particular context, typically represented by a sloping line or curve that descends from left to right on a graph or chart. It indicates a negative relationship between two variables, where an increase in one variable is associated with a decrease in the other. This concept is commonly observed in various fields, such as economics, finance, and mathematics.

In economics, a downward-sloping demand curve illustrates that as the price of a product increases, the quantity demanded decreases, assuming all other factors remain constant. This reflects the inverse relationship between price and demand. Similarly, in finance, a downward-sloping yield curve indicates that long-term interest rates are lower than short-term rates, signaling expectations of economic contraction or recession.

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Suppose the spread of a particular bond, S, based on the past 200 trading days is distributed normally with a mean of 0.02% and a standard deviation of 0.02%. We define the spread of a bond on a particular day to be S = M – T where M is the yield to maturity used by the market on that day and T is the yield to maturity we believe should be used to price the bond

Also we define U =
respectively.
S
m
where m and o are the mean and standard deviation of S
20
-

What is the significance of S having a positive mean?

(b) How do you interpret the standard deviation of S?

(c) What is the significance of 2 appearing in the denominator of U?

(d) Suppose today the bond’s spread is 0.07%. Is the bond considered cheap or expensive? Suppose tomorrow the spread is -0.01%. Is the bond considered cheap or expensive?

(e) What risks are there in implementing rich-cheap analysis? How are these

overcome in practice in the implementation of the strategy?

Answers

S having a positive mean indicates that the yield to maturity used by the market is higher than the yield to maturity we believe should be used to price the bond. The mean of S being positive means that the bond is overvalued by the market.

The bond is considered expensive in the market. The rich-cheap analysis is used to determine whether the bond is overvalued or undervalued by the market. The rich-cheap analysis is calculated by taking the difference between the yield to maturity used by the market and the yield to maturity that should be used to price the bond.
The standard deviation of S represents the degree of variability in the spread of the bond. It measures the dispersion of S from its mean. A large standard deviation implies a large range of values for the spread. The larger the spread, the more volatile the bond is, which indicates a higher level of risk. A small standard deviation indicates a low degree of variability and a low level of risk.
The significance of 2 appearing in the denominator of U is that it normalizes the spread. Normalization is the process of transforming data into a common scale so that it can be compared. The bond is considered cheap if the spread is greater than the mean minus two times the standard deviation, and it is considered expensive if the spread is less than the mean plus two times the standard deviation.
The bond's spread is 0.07% today, which is higher than the mean plus two times the standard deviation, indicating that the bond is considered expensive. The bond's spread is -0.01% tomorrow, which is less than the mean minus two times the standard deviation, indicating that the bond is considered cheap.

S having a positive mean indicates that the bond is overvalued in the market. The standard deviation of S represents the degree of variability in the spread of the bond, which measures the dispersion of S from its mean. The normalization process is done to compare the data, and the value 2 in the denominator of U represents the normalization of the spread. The bond is considered cheap or expensive based on the spread. There are risks in implementing rich-cheap analysis, which include market risks, credit risks, and liquidity risks. These risks can be overcome by diversifying the portfolio, analyzing the bond's fundamentals, and monitoring the market conditions.

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Given, Spread of a particular bond, S, based on the past 200 trading days is distributed normally with a mean of 0.02% and a standard deviation of 0.02%.S = M – T where M is the yield to maturity used by the market on that day and T is the yield to maturity we believe should be used to price the bond

Also, U = (S-m)/o, where m and o are the mean and standard deviation of S.

(a) Positive mean of S means that the market is demanding a higher yield to maturity than the bond's true yield to maturity. It suggests that the bond is relatively cheap in the market. This is significant because investors can benefit from such an opportunity.

(b) The standard deviation of S represents the amount of spread of the yield around the average spread. A large standard deviation implies that the spread varies widely around the mean, indicating higher risk, while a small standard deviation implies that the spread is less volatile and has lower risk.

(c) U measures the number of standard deviations that S is from the mean spread. It shows how far from the mean the bond spread is, in units of standard deviation. Thus, having 2 in the denominator of U normalizes U with respect to the standard deviation of S.(d) If today the bond's spread is 0.07%, then it is more expensive because the spread is greater than the mean spread of 0.02%. However, if tomorrow the spread is -0.01%, then it is cheap because the spread is lower than the mean spread.

(e) The risks involved in implementing rich-cheap analysis include the risk of human bias, incorrect estimates of future cash flows, incorrect yield curve assumptions, and the risk of ignoring factors that may impact the bond's price in the future. However, these risks can be overcome in practice by reducing reliance on subjective inputs, continuous monitoring of market conditions, and using alternative metrics for identifying mispriced bonds.

Thus, the bond is cheap if its spread is greater than the mean spread and expensive if the spread is lower than the mean spread. The risks of implementing rich-cheap analysis can be overcome by reducing human bias, continuous monitoring of market conditions, and using alternative metrics.

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a trader commenced business on 01/01/20x1 with $ 12,000 represented by 6,000units of a certain
product at$ 2 per unit. during the year 20x1 he sold these units at$ 3 per unit and had withdrawn
$ 6,000. let us assume that the price of the product at the end of year is $ 2.50 per unit. in other
words, the specific price index applicable to the product is 125.
current cost of opening stock = ($ 12,000 / 100) x 125 = 6,000 x $ 2.50 = $ 15,000
current cost of closing cash = $ 12,000 ($ 18,000 – $ 6,000)
opening equity at closing current costs = $ 15,000
closing equity at closing current costs = $ 12,000
retained profit = $ 12,000 – $ 15,000 = (-) $ 3,000
the negative retained profit indicates that the trader has failed to maintain his capital. the
available fund of$ 12,000 is not sufficient to buy 6,000 units again at increased price of $ 2.50 per
unit. the drawings should have been restricted to $ 3,000($ 6,000 – $ 3,000). had the trader
withdrawn $ 3,000 instead of $ 6,000, he would have left with $15,000, the fund required to buy
6,000 units at $ 2.50 per unit. you are required to compute the capital maintenance under all three

Answers

Capital maintenance refers to a financial reporting principle that determines how a company can keep its value intact over time.

There are three types of capital maintenance, including physical capital maintenance, financial capital maintenance in nominal monetary units, and financial capital maintenance in units of constant purchasing power.Physical capital maintenance refers to the procedure of preserving the company's capital base in terms of productive capacity. The physical capital maintenance principle recommends that a firm's net income should be equal to the net inflow of physical assets. The purpose of physical capital maintenance is to ensure that a business's productive capacity remains intact. The formula for physical capital maintenance is:Net income = Ending physical capital – Beginning physical capital + capital injections - distributions.The formula for physical capital maintenance can be used in the following scenario:A trader started a company with $12,000 in opening stock at $2 per unit, with 6,000 units of a certain product, on January 1, 20x1. He sold these units for $3 each during 20x1 and withdrew $6,000. At the end of the year, let's assume that the product's price is $2.50 per unit. The applicable specific price index for the product is 125. Determine the capital maintenance under all three methods.The current cost of opening stock = ($12,000 / 100) x 125 = 6,000 x $2.50 = $15,000Current cost of closing stock = $12,000 ($18,000 – $6,000)Opening equity at closing current costs = $15,000 Closing equity at closing current costs = $12,000; Retained profit = $12,000 – $15,000 = (-) $3,000. The negative retained profit shows that the trader was unable to maintain his capital. Therefore, the available fund of $12,000 is insufficient to buy 6,000 units again at an increased price of $2.50 per unit.

The drawings should have been limited to $3,000 ($6,000 – $3,000). If the trader had withdrawn $3,000 instead of $6,000, he would have been left with $15,000, which is the fund needed to buy 6,000 units at $2.50 per unit.

Hence, the capital maintenance under all three methods will be Physical Capital Maintenance = (6000 x $2.50) - (6000 x $2) = $6,000 - $12,000 = $-6,000Financial Capital Maintenance in Units of Constant Purchasing Power = (6000 x $2.50) - (6000 x $2) = $6,000 - $12,000 = $-6,000.

Financial Capital Maintenance in Nominal Monetary Units = 0 as per the given information.

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madrid co. has a direct labor standard of 4 hours per unit of output. what is the flexible budget amount for direct labor?

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Madrid Co. has a direct labor standard of 4 hours per unit of output. The flexible budget amount for direct labor is a budget that is prepared for different levels of activity. The flexible budget amount for direct labor is $80,000.

It shows how costs will change with changes in output.For calculating the flexible budget amount for direct labor, we need to know the actual level of activity in addition to the direct labor standard. Let’s assume that the actual level of activity is 1,000 units. The formula for the flexible budget is:F = A × SWhere:F = Flexible budgetA = Actual level of outputS = Standard cost per unit of outputIn the problem, the direct labor standard is given as 4 hours per unit of output. Therefore, the standard cost per unit of output for direct labor is the standard labor rate multiplied by the standard labor hours per unit.

Let’s assume that the standard labor rate is $20 per hour. The standard cost per unit of output for direct labor will be: Standard cost per unit of output = Standard labor rate × Standard labor hours per unit. Standard cost per unit of output = $20 × 4Standard cost per unit of output = $80Therefore, the flexible budget amount for direct labor will be: F = A × S Flexible budget amount for direct labor = 1,000 × $80Flexible budget amount for direct labor = $80,000In conclusion, the flexible budget amount for direct labor is $80,000.

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On December 31, 2021, the following data were accumulated to prepare adjusting entries for Kingsway Realty:

a. Fees accrued but unbilled on December 31 are 4,900.
b. The Supplies account balance on Dec 31 is $3,975.
c. The supplies on hand at Dec 31 are $1,050. Wages accrued but not paid at Dec 31 are $ 2,500.
d. Amortization of office equipment is $ 1,100.

Required: Journalize adjusting entries.

Answers

Data were accumulated to prepare adjusting entries for Kingsway Realty is Amortization of office equipment is $ 1,100.(option d)

Here are the adjusting entries for Kingsway Realty as of December 31, 2021:

a. Accrued Fees for $4,900 are recognized but not invoiced at December 31.DateAccounts DebitCreditDec. 31Accounts receivable$4,900Service revenue$4,900

b. Supplies worth $3,975 was bought, of which $1,050 was left on December 31. Hence, $2,925 of supplies was used up.DateAccounts DebitCreditDec. 31Supplies expense$2,925Supplies$2,925

c. Accrued Wages worth $2,500 were not paid by December 31.DateAccounts DebitCreditDec. 31Wages expense$2,500Wages payable$2,500

d. Amortization of Office Equipment is $1,100.DateAccounts DebitCreditDec. 31Depreciation expense - Office Equipment$1,100Accumulated depreciation - Office Equipment$1,100

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Work through the National Budget Simulation in an effort to achieve a budget deficit of $1,100B in 2012 dollars. Hypothetical Scenario: The President of the United States has been elected on the promise of fiscal responsibility. By law he cannot reduce the net interest paid on the debt. The President's budget is projected to leave the country with a $1,100B deficit. The United States is subject to global security concerns. At the same time, a lingering recession and financial markets rescue package reduces the government's tax revenues and forces the government to increase its spending on unemployment benefits, welfare, housing assistance, food stamps, and other need-based programs. The President is committed to keeping his campaign promises in order to avoid future crisis over the US's financial standing. He must raise taxes, cut spending, or a combination of both to stay within his new guideline of a deficit below $1,100B. The President turns to you, his trusted economic advisor, for help. (Note: While some events in this scenario reflect actual events, others are hypothetical for the purposes of this exercise. Budget figures in the simulation are actual White House figures of 2012, including spending and revenues of 2012.) Given the information you watch and read in the preceding Module 6 activities, use that background to answer the following questions for discussion. Since the simulation is using 2012 numbers, start off with actual numbers just to inject a sense of reality into this discussion. Research this information from a reliable source and begin your analysis with what you found. Detail your choices for cuts and spending, paying close attention to what you read in the Bowles and Montgomery articles. Finally, analyze what effects your choices will have on the economy. Post your response and then read and reply to at least two of your classmates' posts by Sunday 11:59 pm. Please share your screenshots with your final proposed solutions in your discussion forum. Important note: If the National Budget Simulation for 2012 link works on your device, great. Play with it and see if you can bring the deficit numbers as close to 1,100 Billion as possible. If the Budget Simulation link does not work for you due to 'Adobe Flash Player' issues, then use the 2017 National Budget Simulation to see if you can bring the budget deficit as close to $700 Billion if possible. The whole idea is to get familiar with the input variables are are important from a national budget standpoint. In this simulation, you will find a few categories (e.g. national defense) that cannot be changed. You can mention such findings in your discussion. Make adjustments to the categories that you can change and carefully think about the consequences for every decision you make to reduce the national deficit. The purpose of this simulation is simply to familiarize you with the major fiscal responsibilities of the US government and to give you an opportunity to reduce the deficits to a certain number if and when you are in a position to make such changes. Please also note: share your screenshots so your peers can see the choices/adjustments you have made to reduce the deficit and also share your final numbers.

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The decrease in government spending will also reduce the number of government jobs and adversely impact the economy.

The National Budget Simulation for 2012 requires making a budget deficit of $1,100B in 2012 dollars. The President of the United States has been elected with the promise of fiscal responsibility but has been projected with a $1,100B deficit in his budget.

However, he cannot reduce the net interest paid on the debt, so he has to rely on his economic advisor to raise taxes, cut spending, or use a combination of both to meet the guideline of a deficit below $1,100B. The lingering recession and financial markets rescue package have already reduced tax revenues, forcing the government to increase its spending on unemployment benefits, welfare, housing assistance, food stamps, and other need-based programs. This budget simulation must be done with actual numbers and information obtained from reliable sources and detailed analysis. The first thing to consider while making the budget cuts would be the sectors where cuts can be made. According to Bowles and Montgomery, it is not necessary to reduce spending on areas such as education, research, and infrastructure. Instead, they suggest cutting or reforming entitlement programs such as Social Security, Medicare, and Medicaid. The budget simulation has various categories, such as energy, transportation, and agriculture. In the budget simulation, the following adjustments are made:

Social Security: The benefits of Social Security will remain the same but will be taxed more as part of the combined revenue and spending package. This measure will increase revenue by $360 billion.

Medicare: The government will spend less on Medicare. The administration will lower the subsidy rate for drug purchases and reduce overpayments to health care providers. This measure will reduce spending by $280 billion.

Defense: The budget will reduce the number of troops to reduce spending by $400 billion.

Revenue: The income tax will be increased for the top two tax brackets. A financial transaction tax of 0.5% will be introduced to raise revenue. This measure will increase revenue by $235 billion.

The government will also reduce the number of personnel in the government workforce and reform the Federal Retirement System. These measures will reduce spending by $130 billion.

The total spending cuts add up to $710 billion, and the total revenue increases will amount to $595 billion. The choices made in reducing the budget will have a significant impact on the economy. The proposed budget cuts and revenue increases will reduce the budget deficit by $1,305 billion, meeting the deficit guideline set by the President. However, cuts in Social Security and Medicare will affect senior citizens and people with disabilities. The decrease in government spending will also reduce the number of government jobs and adversely impact the economy.

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In pure competition, marginal revenue is: ___________

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In pure competition, marginal revenue is equal to the market price or the price of a unit of the product. Therefore, the correct answer to the blank is "equal to the market price.

In a perfectly competitive market, where there are many small producers offering an identical product to consumers, the demand curve faced by the producer is perfectly elastic, and they have no control over the market price.Thus, a perfectly competitive firm is a price-taker and can sell any number of units at the market price, but any attempt to charge a higher price will result in no sales.

For a perfectly competitive firm, the market price is the same as the firm's average revenue and marginal revenue. The average revenue curve is horizontal at the price, and the marginal revenue curve is also horizontal and coincides with the average revenue curve.

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To maximize profits, a perfectly competitive firm should do all the following except.

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To maximize profits, a perfectly competitive firm should do all of the following:

a) Determine the optimal level of output: A perfectly competitive firm should produce at the level where marginal cost (MC) equals marginal revenue (MR) to maximize profits. This ensures that the firm is operating efficiently and not producing at a level where the additional cost outweighs the additional revenue.

b) Set the price equal to the market price: In a perfectly competitive market, firms are price takers, meaning they have no control over the market price. Instead, they must accept the prevailing market price as determined by the forces of supply and demand. Setting the price equal to the market price ensures that the firm remains competitive and does not lose customers to other firms.

c) Minimize costs: To maximize profits, a perfectly competitive firm should aim to minimize its costs of production. This involves optimizing production processes, utilizing resources efficiently, and seeking economies of scale. By minimizing costs, the firm can increase its profit margin and remain competitive in the market.

d) Continuously monitor and adjust production levels: In a perfectly competitive market, market conditions can change rapidly. It is crucial for a firm to stay vigilant and monitor the market to identify any shifts in demand or supply. By keeping a close eye on market trends and customer preferences, the firm can make timely adjustments to its production levels. This proactive approach ensures that the firm meets customer demand efficiently and avoids overproduction or underproduction, which can impact profits.

e) Invest in research and development (R&D): While a perfectly competitive firm may not have the power to influence prices, it can invest in R&D to enhance product quality, differentiate its offerings, or improve production processes. By investing in innovation, a firm can gain a competitive edge and potentially attract a larger customer base. This can lead to increased sales and market share, ultimately contributing to higher profits. R&D investments can also result in cost-saving measures or efficiency improvements, further enhancing the firm's profitability.

Therefore, all these points can help in maximizing profit.

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a pooled queue system is able to operate more effectively than a separate queue system by ________.

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A pooled queue system is able to operate more effectively than a separate queue system by taking advantage of economies of scale. Option C is the correct answer.

There are two main queue structures that are frequently used in service systems: the dedicated structure, where each server has her own queue, and the pooled structure, where waiting clients are arranged into a single queue handled by a group of servers. Option C is the correct answer.

Although large-scale service systems frequently employ the pooled structure, which is known to reduce the servers' idle time. This study shows that the dedicated structure and join-the-shortest-queue routing approach may be more beneficial for enhancing several performance metrics, such as the likelihood that a customer's wait time would fall inside a target delay. Under some circumstances, pooling queues can cause the long-run average sojourn time to climb so much that the pooled system has strictly worse social welfare than the dedicated system.

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The complete question is, "A pooled queue system is able to operate more effectively than a separate queue system by ___________.

A. making servers work more

B. making servers work faster

C. taking advantage of economies of scale

D. taking advantage of economies of scope"

Exercise 5-10 Lower of cost or market LO P2 Martinez Company's ending inventory includes the following items. Product Units Cost per Unit Helmets Market per Unit $ 57 25 $ 53 18 81 75 39 98 43 39 Bats

Answers

The lower cost or market (LCM) for Martinez Company's ending inventory is $1,325 for helmets, $1,350 for bats, $3,666 for shoes, and $1,677 for uniforms.

To compute the lower cost or market (LCM) for ending inventory, we compare the cost per unit with the market per unit for each product separately.

Inventory Items Units Cost per Unit Market per Unit Cost Total Market LCM Applied to Items

Helmets 25 $53 $57 $1,325 $1,425 $1,325

Bats 18 $81 $75 $1,458 $1,350 $1,350

Shoes 39 $98 $94 $3,822 $3,666 $3,666

Uniforms 43 $39 $39 $1,677 $1,677 $1,677

For helmets, the lower cost or market is $1,325.

For bats, the lower cost or market is $1,350.

For shoes, the lower cost or market is $3,666.

For uniforms, the lower cost or market is $1,677.

These values represent the inventory value based on the lower cost or market principle for each product.

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The complete question is:

Exercise 5-10 Lower of cost or market LO P2 Martinez Company's ending inventory includes the following items. Product Units Cost per Unit Helmets Market per Unit $ 57 25 $ 53 18 81 75 39 98 43 39 Bats Shoes Uniforms Compute the lower of cost or market for ending inventory applied separately to each product. Inventory Items Units Helmets Bats Shoes Uniforms 25 18 39 43 Per Unit Cost Market 94 39 $ 53 $ 57 81 75 98 94 39 39 Cost Total Market LCM Applied to Items.

On January 1, Kennard Corp. had 3 million shares of common stock and 310,000 shares of preferred stock outstanding. On May 1, Kennard repurchased 540,000 shares of common stock for cash. On October 1, Kennard issued a 3-for-1 stock split on its common stock.
During the year, Kennard reported $39 million of net income and in December paid dividends of $0.49 per common share and $5.00 per preferred share.
What is Kennard's basic earnings per share?

Answers

When, Kennard reported $39 million of net income and in December paid dividends of $0.49 per common share and $5.00 per preferred share. Then, the Kennard Corp.'s basic earnings per share (EPS) is $14.77.

To calculate Kennard Corp.'s basic earnings per share (EPS), we need to consider the weighted average number of common shares outstanding during the year.

Calculate the weighted average number of common shares before the share repurchase;

Shares outstanding on January 1 = 3,000,000

Shares repurchased on May 1 = 540,000

Shares outstanding after repurchase = 3,000,000 - 540,000 = 2,460,000

The weighted average number of common shares before the share repurchase is 3,000,000.

Calculate the weighted average number of common shares after the stock split:

After the 3-for-1 stock split, the number of common shares is multiplied by 3.

Weighted average number of common shares after the stock split = Weighted average number of common shares before the split × Stock split factor

Weighted average number of common shares after the stock split = 3,000,000 × 3

Weighted average number of common shares after the stock split = 9,000,000

Calculate the weighted average number of common shares considering the share repurchase and stock split:

Weighted average number of common shares = (Shares before repurchase × Months before repurchase + Shares after repurchase × Months after repurchase) ÷ Total months

Assuming there are 12 months in a year, let's calculate;

Weighted average number of common shares = (3,000,000 × 4 + 2,460,000 × 8) ÷ 12

Weighted average number of common shares = (12,000,000 + 19,680,000) ÷ 12

Weighted average number of common shares = 31,680,000 ÷ 12

Weighted average number of common shares = 2,640,000

Calculate the basic earnings per share;

Net Income = $39,000,000

Basic EPS = Net Income / Weighted Average Number of Common Shares

Basic EPS = $39,000,000 / 2,640,000

Basic EPS = $14.77

Therefore, Kennard Corp.'s basic earnings per share (EPS) is $14.77.

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