true/false. the sole proprietorship form of ownership tends to be attractive to people who want to invest in a company without taking an active role in management.

Answers

Answer 1

The given statement "the sole proprietorship form of ownership tends to be attractive to people who want to invest in a company without taking an active role in management" is true because A sole proprietorship is a kind of business entity that is owned by a single person.

It is an unincorporated business that can be owned and operated by one person. It is the most common type of business entity because it is easy to create, is less expensive than other business entities, and does not have to pay corporate taxes.

However, there is no legal distinction between the company and the individual in a sole proprietorship. The proprietor is the one who is responsible for all debts and liabilities. The proprietor's private and company assets are interchangeable.

A sole proprietor has complete control over the company and can make all decisions about the company without consulting anyone else. The form of ownership that tends to be attractive to people who want to invest in a company without taking an active role in management is sole proprietorship.

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Related Questions

which of the following accounts for the total of goods and services produced in a national economy?

Answers

Gross Domestic Product (GDP) accounts for total of goods and services produced in national economy.

What is a national economy?

National economy refers to the overall economic system of a country, including all the goods and services produced, consumed, and traded within its borders. This encompasses a range of economic activities, such as agriculture, manufacturing, trade, and services, and is often measured using indicators such as Gross Domestic Product (GDP), unemployment rate, inflation, and trade balance. A strong national economy is important for a country's growth and development, as it provides employment opportunities, improves standards of living, and promotes social welfare. However, economic stability is often affected by a range of factors such as political instability, natural disasters, changes in global economic conditions, and government policies. Thus, managing and improving the national economy requires careful planning and coordination between the government, private sector, and other stakeholders.

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Complete question is:

Which of the following accounts for the total of goods and services produced in a national economy?

Gross Domestic Product Unemployment Rate Health status

Based on the article "INNOCENTS ABROAD: CURRENCIES AND INTERNATIONAL STOCK RETURNS" please answer the following question:
1. Why does Sandra Meyer believe that adding international stocks to a US stock portfolio would add value? Why does Henry Bosse think otherwise?
2. Based on Exhibit 1, which market looks the most attractive from a return perspective? Which market looks the least attractive from a risk perspective? What, if anything, could be misleading about this chart?

Answers

In fact, adding foreign stocks to a portfolio boosts value since diversification has benefits. Diversification is the clearest and most significant benefit of foreign investing. When it comes to returns, the EM market appears to be the most alluring, while the EAFE market appears to be the least appealing in terms of risk.

How can foreign stocks help a portfolio's diversity?

Through foreign portfolio investments, investors have a simple way to diversify their portfolio internationally. An investor would diversify their investment portfolio to obtain a higher risk-adjusted return, which is eventually done to contribute to the production of alpha.

What challenges does diversity face?

Human traits or preferences are significant drivers of change or resistance to land use diversification. Personal choices may be influenced by a person's age, education, experience, familial circumstances, attitude toward risk, access to money and information, and propensity for change, to name a few.

What is a market with low risk called?

When you invest with minimal risk, you pick assets with a reduced likelihood of experiencing significant losses than, say, unpredictable stock purchases. Government securities like Series I bonds, cash management accounts like certificates of deposit, and even stock options like preferred stocks are examples of low-risk investment options.

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Political risk insurance and local debt financing are both forms of __________.
a. Input Control
b. Hedging
c. Equity Sharing
d. Adaption

Answers

Political risk insurance and local debt financing are both forms of Hedging Investment. option b is correct.

The two significant risks in international trade that political risk insurance covers are political risks and commercial risks. Political risk refers to the risks that may arise due to the actions of governments or any government policies.

Commercial risk refers to the non-payment risks of debts from the debtor's financial, business, or economic condition. In the event of a loss, political risk insurance policyholders receive indemnification up to the sum insured. Insurers providing this type of coverage are known as political risk insurers.

debt financing is a form of financing in which the borrower raises capital in the country where they operate. The borrowing cost of local debt financing is often lower than that of foreign debt financing. A foreign company may use local debt financing as a method of financing to reduce the risk of currency fluctuations.

Borrowers who choose local debt financing may obtain loans that are denominated in local currencies or that are indexed to local currencies. This type of financing is provided by local banks, financial institutions, and other lenders.

Risk management is a critical component of international trade. In the event of any unforeseen events or difficulties, risk management measures such as political risk insurance and local debt financing may assist companies in protecting themselves from any potential losses.

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According to Mintzberg, which of the following role is decisional?

Answers

Making decisions, according to Mintzberg, is the most important aspect of any managerial action.

What function, in Mintzberg's opinion, is decisional?

This entails resolving issues, coming up with fresh concepts, and putting them into action. Troubleshooter - The manager is the one who needs to take control when a team or organisation encounters an unforeseen obstacle. You must also assist in mediating conflicts there. Figurehead, manager, liaison, monitor, debunker, spokesperson, entrepreneurial, disruption handler, resource allocator, & negotiator are the ten jobs according to Mintzberg (1973).  He distinguishes four roles—entrepreneur, disturbance handler, resource allocator, and negotiator—based on various types of decisions.

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If a store orders 100 units every time and sells 90 units each week, what is the average inventory?

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Answer:

If a store orders 100 units every time and sells 90 units each week, the average inventory can be calculated as follows:

Each time the store orders 100 units, the inventory increases by 100 units.

Each week, the store sells 90 units, so the inventory decreases by 90 units.

Assuming that the store orders new inventory as soon as it runs out, the average inventory can be estimated as the average of the minimum and maximum inventory levels.

The minimum inventory level occurs just before a new order is placed, when the inventory has been depleted to 10 units. The maximum inventory level occurs just after a new order is received, when the inventory has been replenished to 100 units.

Therefore, the average inventory is:

(10 + 100) / 2 = 55

So, the average inventory is 55 units.

Using what you know about equity theory, expectancy theory, and organizational justice, explain why Stephen and Bianca have different perceptions of what fairness means when it comes to implementing summer hours.

Answers

Stephen and Bianca's different perceptions of fairness can be explained by the interplay of equity theory, expectancy theory, and organizational justice. By understanding these concepts, organizations can strive to create fair and equitable policies that motivate employees and foster a positive work environment.

What are the perceptions of fairness of these two people

Stephen and Bianca's different perceptions of fairness when it comes to implementing summer hours can be explained by the concepts of equity theory, expectancy theory, and organizational justice.

Equity theory suggests that individuals compare their inputs (e.g. effort, time, skills) and outcomes (e.g. rewards, recognition) to those of others to determine if they are being treated fairly. If the ratio of inputs to outcomes is perceived as unfair, individuals may experience feelings of anger or resentment.

Expectancy theory suggests that individuals are motivated to work harder when they believe that their effort will lead to higher performance and greater rewards. If individuals do not believe that their effort will be rewarded fairly, they may be less motivated to work hard.

Organizational justice refers to the perceived fairness of workplace policies and procedures. If Stephen and Bianca perceive the implementation of summer hours to be unfair, they may be less likely to view the organization as a fair and just place to work.

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which of the following should be implemented to reduce the risk to an acceptable level until the issue can be fixed?

Answers

In conclusion Implementing compensating controls, Implementing workarounds.

What does that involves?

Implementing compensating controls: This involves putting in place additional controls or measures to mitigate the risks associated with the issue. For example, if a critical system is down, a compensating control might involve using a backup system until the primary system can be restored.

Implementing workarounds: This involves finding alternative ways to perform a task or process that circumvent the issue. For example, if a software program has a bug that prevents a certain feature from working, a workaround might involve using a different feature or using a different program until the bug can be fixed.

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complete question:

Which of the following should be implemented as a temporary solution to reduce the risk to an acceptable level until the underlying issue can be fixed?

Suppose the total cost of a college education will be $50,000 in 12 years for a child. The Parents have $5,000 to invest today. What rate of interest must they earn on investment to cover the cost of child"s education?
O a. 19.2%
O b. 21.15%
O c. 25.1%
O d. 12%

Answers

Answer: D 12%

Explanation:

i did the math

FILL IN THE BLANK firms selling to organizational buyers have______ potential customers compared to firms selling to consumers.

Answers

Answer:

far fewer

Explanation:

Firms selling to organizational buyers have far fewer potential customerscompared to firms selling to consumers. 10. Industrial, reseller, and government markets are the three categories oforganizational buyers.

how man properties can i own and manage before i have to turn it over to a property management company in savannah ga.

Answers

The number of properties a person can own and manage before turning them over to a property management company in Savannah, GA, depends on several factors, including the individual's experience and resources.

There is no definitive answer to this question, as it varies depending on the individual's circumstances. In general, the more properties a person owns and manages, the more time and resources they will need to dedicate to their work. Property management involves a variety of tasks, including finding tenants, advertising properties, collecting rent, and handling maintenance issues. Therefore, it may become difficult for a person to manage all of their properties themselves if they have too many.

It is recommended that property owners begin with a small number of properties to gain experience and understanding of the field before expanding their portfolio. Additionally, individuals with more experience in property management may be able to handle a larger number of properties than those with less experience. Ultimately, it is up to the individual to determine the appropriate number of properties they can manage effectively.

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Please help me with this question!

Question
If you are hired to help a CEO determine why his or her company might have increasing revenue while its profits are falling what is the first thing you would consider?

Answers

The company's cost structure and the possibility for rising costs, which may be cutting into profits despite rising sales, would be the first item to take into account.

What are the top 3 techniques to boost profits?

Your firm may increase profitability in three primary ways: by selling more products, raising prices, and cutting expenses. But improved cost effectiveness can potentially boost revenues.

What factor is most crucial to a business's expansion and profitability?

Growth is essential to profit and long-term success, whereas profit is essential to a corporation's fundamental financial existence. Investors should consider each element in light of how it applies to a certain firm.

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for an annuity due of $325 per year for 10 years, which of the following interest rates will result in the largest present value?

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10%, compounded semiannually interest rate will result in the largest present value

Present value (PV) is the current value of a future financial asset or stream of cash flows with a specific rate of return. The present value is calculated by adding a borrowing fee or an interest rate that could be attained through investment to the future value. How much money would you need to invest today in order to earn a specific amount in the future is the difference between current value and future value. The present value (PV), which is the value of money in today's dollars that you expect to get from future income, is calculated as the sum of future returns on investments discounted at a specific level of projected return.

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Credit unions may be federally or state chartered. If a credit union is chartered at the federal level, it is subject to the regulations imposed by the
A. Federal Reserve.
B. National Credit Union Administration.
C. State Banking Commission.
D. Federal Credit Union Insurance Fund.
E. Office of the Comptroller of the Currency.

Answers

If a credit union is chartered at the federal level, it is subject to the regulations imposed by the National Credit Union Administration. Therefore the correct option is option B.

The credit unions can be federally or state chartered. If a credit union is chartered at the federal level, it is subject to the regulations imposed by the National Credit Union Administration (NCUA).

A credit union is a member-owned financial cooperative, controlled by its members and operated on the principle of people helping people, providing its members with credit at competitive rates as well as other financial services such as savings, loans, and insurance products.

The primary purpose of credit unions is to provide credit to members, and they operate as non-profit organizations. Credit unions serve people who share a common interest, such as the same workplace or labor union. The correct answer is option B.

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a journal entry for a sale of merchandise on account will result in all of the following: (check all that apply).

Answers

All of the answers to the question are thus applicable to the journal entry.

Credit to Merchandise InventoryCredit to SalesDebit to Accounts Receivable

A journal entry for a sale of merchandise on account will result in the following:

Debit to Accounts Receivable (since the sale is on account, meaning the customer will pay later)

Credit to Sales (since the company has made a sale)

Credit to Merchandise Inventory (since the inventory has been sold)

Debit to Cost of Goods Sold (since the cost of the sold inventory needs to be recognized as an expense)

All of the answers to the question are thus applicable to the journal entry.

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Full Question:  A journal entry for a sale of merchandise on account will result in all of the following: (check all that apply).

Debit to Cost of Goods SoldCredit to Merchandise InventoryCredit to SalesDebit to Accounts Receivable

The purchase price and all costs to bring an asset to its desired condition and location for use should be ______. expensed accrued capitalized. capitalized.

Answers

The purchase price and all costs to bring an asset to its desired condition and location for use should be capitalized.

This means that the costs are added to the cost of the asset and recognized as an asset on the company's balance sheet, rather than being recognized as an immediate expense on the company's income statement. By capitalizing these costs, the company can more accurately reflect the total cost of acquiring and preparing the asset for use over its useful life.

What is balance sheet?

A balance sheet is a financial statement that provides a snapshot of a company's financial position at a specific point in time. It shows the company's assets, liabilities, and equity, and provides information about how the company's resources are financed.

On a balance sheet, assets are what the company owns, such as cash, inventory, property, and equipment. Liabilities are what the company owes to others, such as loans, accounts payable, and accrued expenses.

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Complete question is: The purchase price and all costs to bring an asset to its desired condition and location for use should be capitalized.

which of the following luxury brands stretched to include its core products from accessories to ready to wear?

Answers

The luxury brand that stretched to include its core products from accessories to ready to wear is Louis Vuitton.

Founded in 1854, the brand initially focused on producing luggage and trunks, but gradually expanded its range to include handbags, ready-to-wear clothing, shoes, accessories, watches, jewelry, and other items. Louis Vuitton has become synonymous with luxury and sophistication, and today the brand continues to produce some of the most iconic and timeless products in the fashion industry.
Louis Vuitton’s history of expansion can be attributed to its ability to produce items with classic design that can be adapted to changing trends and lifestyles. In 1996, the brand launched its first line of ready-to-wear clothing and began expanding its accessories range to include hats, scarves, and sunglasses.

The following year, Louis Vuitton introduced its first fragrance, and has since developed several more.
In recent years, the brand has also increased its focus on leather goods, which now make up a large portion of its product line.

Louis Vuitton has further extended its reach by opening stores and boutiques around the world, creating partnerships with other high-end designers and brands, and launching e-commerce sites.

By adapting its products to meet the needs of modern consumers, Louis Vuitton has been able to maintain its reputation for timeless style and sophistication.

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the eventual consequence of the product life cycle theory is that the country where production of an item begins

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The product life cycle theory suggests that every product goes through a sequence of stages from introduction to growth, maturity, and eventually decline. The end result of this process is that the country where production of an item begins will face a decline in demand for that item, as consumers move on to newer and more innovative products.

This can have significant economic consequences for the country in question, as it may result in a decrease in employment, revenue, and economic growth.The introduction stage is characterized by low sales, as consumers are not yet familiar with the product. In this stage, companies invest heavily in research and development to perfect the product, as well as in marketing efforts to create awareness and generate interest among consumers. In the growth stage, sales increase rapidly as the product gains popularity, and the company focuses on increasing production and distribution to meet demand. The maturity stage is characterized by slower sales growth, as the market becomes saturated and competition increases. In this stage, companies may focus on cost-cutting measures to maintain profitability, and may also invest in product diversification or innovation to stay ahead of competitors.The decline stage is the final stage of the product life cycle, and is characterized by a decrease in demand for the product as consumers shift their attention to newer and more innovative products. In this stage, companies may choose to discontinue the product or invest in revamping it to make it more competitive. The eventual consequence of this process is that the country where production of the item begins will face a decline in demand for that item, as consumers move on to newer and more innovative products. This can have significant economic consequences for the country in question, as it may result in a decrease in employment, revenue, and economic growth.

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average cost minimization, giant screen TV Inc, San Diego​

Answers

Note that at the average cost-minimizing level of output, the company is operating at a loss of approximately $9.26 million.

What is Average Cost Minimization?

Average cost minimization is the process of finding the level of output that minimizes the average cost of production, which maximizes a firm's profits.

To determine the average cost-minimizing level of output, we need to find the quantity at which average cost (AC) is at its minimum. This occurs when marginal cost (MC) equals average cost (AC). So we set MC = AC:

MC = AC

$800 + $0.008Q = TC/Q

$800 + $0.008Q = ($12,100,000 + $800Q + $0.004Q)/Q

$800Q + $0.008Q² = $12,100,000 + $800Q + $0.004Q

$0.008Q^2 = $12,100,000 + $0.196Q

$0.008Q^2 - $0.196Q - $12,100,000 = 0

Solving for Q using the quadratic formula, we get:

Q = (-(-0.196) ± √((-0.196)² - 4(0.008)(-12,100,000))) / (2(0.008))

Q ≈ 2,969

Therefore, the average cost-minimizing level of output is approximately 2,969 units.

To find MC at this level of output, we plug in Q = 2,969 into the MC equation:

MC = $800 + $0.008Q

MC = $800 + $0.008(2,969)

MC ≈ $824

To find AC at this level of output, we plug in Q = 2,969 into the TC and Q equations:

TC = $12,100,000 + $800Q + $0.004Q²

TC = $12,100,000 + $800(2,969) + $0.004(2,969)²

TC ≈ $14,502,096

AC = TC/Q

AC = $14,502,096/2,969

AC ≈ $4,885.44

To find P at this level of output, we plug in Q = 2,969 into the MR equation and set it equal to the price (P) that consumers are willing to pay:

MR = $1,800 - $0.012Q

MR = $1,800 - $0.012(2,969)

MR ≈ $1,764.52

P = MR

P ≈ $1,764.52

Finally, to find profit (π) at this level of output, we subtract total cost (TC) from total revenue (TR):

TR = P × Q

TR = $1,764.52 × 2,969

TR ≈ $5,239,895.88

π = TR - TC

π ≈ $5,239,895.88 - $14,502,096

π ≈ -$9,262,200.12

Therefore, at the average cost-minimizing level of output, the company is operating at a loss of approximately $9.26 million.



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Full Question:

Although part of your question is missing, you might be referring to this full question:


Average Cost Minimization. Giant Screen TV, Inc., is a San Diego-based importer anddistributor of 60-inch screen, high-resolution televisions for individual and commercial customers. Revenue and cost relations are as follows:

TR = $1,800Q - $0.006

MR = ∆TR/∆Q = $1,800 - $0.012Q

TC = $12,100,000 + $800Q + $0.004

MC = ∆TC/∆Q = $800 + $0.008Q

A. Calculate output (Q), marginal cost (MC), average cost (AC), price (P), and profit (π) atthe average cost-minimizing activity level.

T/F. Established small businesses are defined as companies that have been in business at least fifteen years and employ between 50 to 500 employees.

Answers

Established small businesses are defined as companies that have been in business at least fifteen years and employ between 50 to 500 employees is False.

What is business?

Established small businesses are not defined by a specific number of years in business or number of employees. The definition of a small business varies by industry and country, but in the United States, the Small Business Administration defines a small business as having fewer than 500 employees for most industries. However, many small businesses may have fewer than 50 employees, and some may have been in business for less than 15 years.

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Complete question is: Established small businesses are defined as companies that have been in business at least fifteen years and employ between 50 to 500 employees is False.

Match the descriptions to the appropriate term. Rate of reaction Rate law Rate constant Answer Bank can have different units, such as molarity per second (M/s), inverse seconds (s'). or inverse molarity Seconds (M reaction order . ). depending on the always has units of amount per time (i.e., molarity per second, Ms, or molarity per minute, M/min) symbolized ask a formula that relates reactant concentration to reaction rate For the reaction identify what the graphs of [X] versus time and [Y] versus time would look like for various orders. In each graph, [?] represents either [X] or [Y]. Zero-order [X] versus Zero-order [Y] versus 1 First or second-order [X] versus First-or second-order [Y] versus Answer Bank

Answers

Rate of reaction: The speed at which a chemical reaction occurs
Rate law: A formula that relates reactant concentration to reaction rate
Rate constant: Always has units of amount per time (i.e., molarity per second, Ms, or molarity per minute, M/min) and is symbolized with a letter k


Zero-order: The graph of [X] versus time will be a straight line and the graph of [Y] versus time will be a horizontal line
First-order: The graph of [X] versus time will be a curved line and the graph of [Y] versus time will be a curved line
Second-order: The graph of [X] versus time will be a curved line and the graph of [Y] versus time will be a curved line but steeper than first-order.

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fill in the blank. ____ is when the federal government shares revenue with state, local, and other governmental units for poverty, health, and highway programs.

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Intergovernmental transfers is when the federal government shares revenue with state, local, and other governmental units for poverty, health, and highway programs.

Intergovernmental transfers are a form of fiscal federalism, which is the concept that fiscal policy decisions and spending should be shared between the national and state governments. In particular, these transfers are the primary way the federal government provides funds to the states and localities for programs such as health, housing, and highways. The federal government generally makes these transfers in the form of grants, which are funds that do not need to be repaid. States and local governments then use these funds to implement programs for the public good. For example, highway projects and other infrastructure projects are often funded in part by intergovernmental transfers from the federal government.

Additionally, intergovernmental transfers are often used to fund social services such as health care and poverty assistance programs.

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Prior to the 1930s, the _____ model of economics dominated economic thinking about how the economy worked. A) Keynesian B) classical. C) monetarist

Answers

Answer: Keynesian

Explanation:

I had this question once

Use the following data for a closed economy to calculate the amounts listed below. Explain and show your work in your answers: Y = $12 trillion C = $8 trillion G = $2 trillion Spublic = $-0.5 trillion T = $2 trillion A. Investment spending B. Private saving C. Transfer payments

Answers

A closed economy is an economy where there is no international trade. This economy is self-sufficient and all transactions occur within the country.

In this question, we have been provided with the following data for a closed economy:Y = $12 trillionC = $8 trillionG = $2 trillionSpublic = $-0.5 trillionT = $2 trillionA. Investment spending:To calculate investment spending, we can use the following formula:I = Y – C – GHere, Y = $12 trillion, C = $8 trillion and G = $2 trillionI = $12 trillion – $8 trillion – $2 trillionI = $2 trillionTherefore, investment spending in this closed economy is $2 trillion.

B. Private saving: To calculate private saving, we can use the following formula:private = Y – C – THere, Y = $12 trillion, C = $8 trillion and T = $2 trillionSprivate = $12 trillion – $8 trillion – $2 trillionSprivate = $2 trillionTherefore, private saving in this closed economy is $2 trillion.

C. Transfer payments : These are payments that are made by the government to individuals or firms without any services or goods being exchanged. In this case, we are given Spublic = $-0.5 trillion. This means that the government is running a budget deficit of $0.5 trillion. As a result, there are transfer payments taking place. The amount of transfer payments is equal to the difference between government spending and government revenue (taxes). Therefore, transfer payments can be calculated using the following formula:Spublic = G – THere, G = $2 trillion and T = $2 trillionSpublic = $2 trillion – $2 trillionSpublic = $0.

Therefore, the amount of transfer payments in this closed economy is $0.

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supermarkets such as kroger and safeway frequently use standard markup pricing, which is a pricing approach.

Answers

There is little doubt that typical markup pricing is used by supermarkets like Kroger and Safeway. Standard markup pricing is a common pricing method used by supermarkets and other retail businesses.

In order to calculate the selling price, a fixed percentage markup is added to the product's cost. The cost of the goods sold, operating costs, and the intended profit margin are normally all covered by this markup. The markup percentage may change depending on the product type, the level of competition, and consumer demand. This method is frequently employed since it is straightforward to compute and offers a constant profit margin. It might not always produce the best price plan for every product, though.

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The market equilibrium maximizes the sum of producer and consumer surplus for all of the following reasons EXCEPT:
a.
goods are produced by the lowest-cost sellers.
b.
every potential seller and every potential buyer are in the market.
c.
there are no wasted resources.
d.
goods are consumed by the highest-value buyers.

Answers

For each of the following reasons, the market equilibrium maximises the total of producer and consumer surplus. The lowest-cost merchants make the items, though. Option a is Correct.

The cost to the sellers also outweighs the value to the purchasers at quantities higher than the equilibrium amount. As a result, the producer and consumer surpluses are maximised at the point of market equilibrium.

The total surplus of the consumer and producer is maximised at the point where supply and demand are equal. This gives the impression that the market's invisible hand directs buyers and sellers towards effective resource allocation. When there are market failures, resources are not allocated in an efficient manner. Option a is Correct.

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Who implements incident response programs to detect security vulnerabilities and breaches?
A. Policy Management
B. Risk Management
C. Information Security Management
D. Governance of Information

Answers

The implementation of incident response programs to detect security vulnerabilities and breaches is typically the responsibility of Information Security Management.

This function is responsible for the development, implementation, and maintenance of information security policies, procedures, and standards. Incident response programs are a critical component of an organization's information security strategy, as they help to identify, respond to, and recover from security incidents that may compromise the confidentiality, integrity, or availability of an organization's data or systems. Information Security Management is also responsible for conducting risk assessments to identify potential security threats and vulnerabilities, and for implementing controls and measures to mitigate those risks. By implementing incident response programs, Information Security Management can detect and respond to security incidents promptly, minimizing the impact on the organization and ensuring the confidentiality, integrity, and availability of its information assets.

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What role, if any, should the U.S. government take in this issue of setting fair wages in developing countries? What is your definition of a “fair” (living) wage? Would it vary by country?

Answers

Answer:

The role of the US government in setting fair wages in developing countries is a contentious issue. While some advocate for active promotion of fair labor standards and human rights, including wages, through aid and trade agreements, others oppose intervention in other countries' internal affairs. A fair wage definition would vary by country and region due to cost of living, local economic conditions, and cultural norms. A fair wage should suffice to meet workers' basic needs, provide a decent standard of living, and account for skill level, prevailing wage levels, and employer viability. Ultimately, individual countries should determine their own labor laws, but the international community, including the US government, can support fair labor practices through cooperation with governments, labor unions, and civil society organizations in developing countries.

The direct material cost of manufacturing a product is $103.95, direct labour cost is $46.20, and overhead is $57.75. (a) What is the percent content of each element of cost in the product? (b) What is the overhead percent rate based on direct labour?​

Answers

Answer:

(a) To find the percent content of each element of cost in the product, we need to first calculate the total cost of the product:

Total cost = Direct material cost + Direct labour cost + Overhead

Total cost = $103.95 + $46.20 + $57.75

Total cost = $207.90

The percent content of each element of cost in the product is:

Direct material cost percent = (Direct material cost / Total cost) x 100%

Direct material cost percent = ($103.95 / $207.90) x 100%

Direct material cost percent = 50%

Direct labour cost percent = (Direct labour cost / Total cost) x 100%

Direct labour cost percent = ($46.20 / $207.90) x 100%

Direct labour cost percent = 22.22%

Overhead percent = (Overhead / Total cost) x 100%

Overhead percent = ($57.75 / $207.90) x 100%

Overhead percent = 27.78%

(b) To find the overhead percent rate based on direct labour, we need to divide the overhead by the direct labour cost and then multiply by 100:

Overhead percent rate = (Overhead / Direct labour cost) x 100%

Overhead percent rate = ($57.75 / $46.20) x 100%

Overhead percent rate = 125%

Therefore, the overhead percent rate based on direct labour is 125%.

The percent content of each element of cost in the product is 27.78%.

Total cost = Direct material cost + Direct labor cost + Overhead

Total cost = $103.95 + $46.20 + $57.75

Total cost = $207.90

Now, let's calculate the percentage content of each element:

Percentage content of direct material cost = (Direct material cost / Total cost) * 100

Percentage content of direct material cost = ($103.95 / $207.90) * 100

Percentage content of direct material cost = 50.00%

Percentage content of direct labor cost = (Direct labor cost / Total cost) × 100

Percentage content of direct labor cost = ($46.20 / $207.90) × 100

Percentage content of direct labor cost ≈ 22.22%

Percentage content of overhead = (Overhead / Total cost) × 100

Percentage content of overhead = ($57.75 / $207.90) × 100

Percentage content of overhead ≈ 27.78%

The overhead percent rate based on direct labor is approximately 124.68%.

Overhead percent rate based on direct labor = (Overhead / Direct labor cost) × 100

Overhead percent rate based on direct labor = ($57.75 / $46.20) × 100

Overhead percent rate based on direct labor ≈ 124.68%

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FILL IN THE BLANK companies use the tactic of ________ to give shareholders certain rights in the event of a takeover by another firm.

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Companies use the tactic of "poison pills" to give shareholders certain rights in the event of a takeover by another firm.

What are the poison pills?

In corporate finance, a "poison pill" is a defensive tactic that companies can use to make their stock less attractive to a potential acquirer in the event of a hostile takeover attempt.

A poison pill typically involves the issuance of new shares of stock, which dilutes the value of existing shares and makes the company more expensive to acquire. It can also give shareholders certain rights, such as the ability to purchase additional shares at a discounted price, which makes a takeover more difficult and expensive for the acquiring company.

The use of poison pills is controversial, as some argue that it can be used to entrench management and prevent companies from being sold at a fair price.

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Complete question is: Companies use the tactic of "poison pills" to give shareholders certain rights in the event of a takeover by another firm.

true/false. for an investor with a 28% marginal tax rate, what return would a corporate bond have to pay to provide the same after-tax return as a municipal bon

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The given statement "For an investor with a 28% marginal tax rate, the return a corporate bond would have to pay to provide the same after-tax return as a municipal bond" is True because marginal tax rate investor would be better off investing in a municipal bond than a corporate bond.

A municipal bond is a kind of bond that is issued by a government or a municipality. Municipal bonds are typically exempt from federal taxes and are also exempt from state taxes in the state where they are issued. Municipal bonds, in general, have a lower interest rate than other bonds because they have fewer risks. Corporate bonds are a type of bond that companies use to raise funds. They are backed by the creditworthiness of the issuing company rather than a government entity.

Corporate bonds have a higher interest rate than government bonds because they are more risky. The municipal bond’s yield is typically lower than the corporate bond’s yield. However, the municipal bond's interest payments are not subject to federal tax, while the corporate bond's interest payments are taxed. As a result, the after-tax return of a municipal bond is frequently higher than the after-tax return of a corporate bond. In this case, a 28% marginal tax rate investor would be better off investing in a municipal bond than a corporate bond since the municipal bond's after-tax return would be higher than the corporate bond's after-tax return.

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