Economic Order Quantity where
D = annual demand
= 48000 units per year
O = ordering cost per order = $9C = carrying cost per unit.
Number of orders per year = (D/Q)Number of orders per year
= (48000/1200)
= 40 orders per year
c) Cycle
Time Cycle Time = (Q/D) x 360 days
Cycle Time = (1200/48000) x 360= 9 days
Reorder Point = Lead Time Demand+ Safety Stock Lead
Time Demand = Lead Time x Daily Demand Lead Time
Demand = 3 x 48000/360= 400Safety Stock = (Z x σ x √L) / C.
Where
Z = Z value (1.65, as per normal distribution)
σ = Standard deviation of demand
L = Lead time in days
C = Cost per unit Reorder Point = 400 + [(1.65 x 60 x √3) / 4]
Reorder Point = 400 + 22.05
Reorder Point = 422.05 Therefore, the re-order-point is 422.05.
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With regard to suppliers, just-in time typically require: Group of answer choices buyer inspection of all goods and materials. delivery of large lots at regular intervals. the lowest price possible. multiple sources from which to purchase. long-term relationships and commitments.
Answer: long-term relationships and commitments.
Explanation:
Just in time typically implies long-term relationships and commitment. It requires a good understanding of the supplier and the manufacturer in terms of the quantity and the swiftness with material delivery. When there is a misunderstanding between the manufacturer and the supplier, delivery cones to a halt. This is why there's a need for a long lasting relationship and commitment.
By the end of 2017, Klein, a domestic corporation, had accumulated $10,000,000 in cash from the overseas operations of its Liberia subsidiary. Klein made no distributions of this accumulated E & P during 2017. Compute the one-time transition tax liability that was incurred by Klein. $fill in the blank 1
Klein, being a domestic corporation, was subject to a one-time transition tax on its accumulated foreign earnings and profits (E&P) as a result of the Tax Cuts and Jobs Act (TCJA) of 2017. The transition tax applies to the untaxed foreign earnings and profits of certain specified foreign corporations, including Klein's Liberia subsidiary.
To compute the one-time transition tax liability incurred by Klein, we need to first determine its accumulated E&P as of November 2, 2017, which is the end of the last taxable year of the specified foreign corporation that began before January 1, 2018. In this case, we are told that Klein had accumulated $10,000,000 in cash from the overseas operations of its Liberia subsidiary by the end of 2017.
Next, we need to calculate the amount of E&P that is subject to the transition tax. Under the TCJA, the amount of E&P subject to the transition tax is determined by multiplying the accumulated E&P by the applicable percentage, which varies depending on whether the E&P is held in cash or in other assets. For cash, the applicable percentage is 15.5%, while for other assets, the applicable percentage is 8%. In this case, since Klein's accumulated E&P is in cash, we will use the 15.5% rate.
Therefore, the amount of Klein's E&P that is subject to the transition tax is:
$10,000,000 x 15.5% = $1,550,000
This means that Klein's one-time transition tax liability is $1,550,000. It is important to note that Klein may be able to claim foreign tax credits to offset some or all of its transition tax liability.
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You have been asked to evaluate an investment of purchasing a parking lot under the following conditions:
*The proposal is for a parking lot costing $4,000,000. The deck has an expected useful life of 15 years and a net salvage value of $625,000 (after tax adjustment)..
*The tenants have recently signed long-term leases, which leads you to believe that the current rental income of $250,000 per year will remain constant for the first five years, then the rental income will increase by 10% for every five-year interval over the remaining asset life.
* The estimated operating expenses, including income taxes, will be $65,000 for the first year, and will increase by $6,000 each year thereafter.
If you had the opportunity to invest your money elsewhere and thereby earn annual interest rate at 15%, justify the investment using the NPW method.
To evaluate the investment in the parking lot using the Net Present Worth (NPW) method, we need to calculate the present value of all cash inflows and outflows associated with the investment and compare it to the initial cost.
Here's how we can calculate the NPW:
1. Calculate the net annual cash flows for each year:
- For the first five years, the net annual cash flow is $250,000 (rental income) - $65,000 (operating expenses) = $185,000.
- For the remaining years, the net annual cash flow increases by 10% every five-year interval. So, for years 6-10, it will be $185,000 * (1 + 0.10) = $203,500, and so on.
2. Determine the discount factor for each year using the annual interest rate of 15%. The discount factor can be calculated using the formula: (1 + interest rate)^n, where n is the number of years.
3. Calculate the present value of each year's net cash flow by dividing the net cash flow by the discount factor.
4. Sum up all the present values of net cash flows to get the NPW.
Now, we can calculate the NPW based on the provided information:
Year 1:
Net Cash Flow = $185,000
Discount Factor = (1 + 0.15)^1 = 1.15
Present Value = $185,000 / 1.15 = $160,870
Years 2-5:
Net Cash Flow = $185,000
Discount Factor = (1 + 0.15)^2 = 1.3225 (rounded)
Present Value = $185,000 / 1.3225 = $139,804 (rounded)
Years 6-10:
Net Cash Flow = $203,500 (10% increase from Year 5)
Discount Factor = (1 + 0.15)^6 = 2.8983 (rounded)
Present Value = $203,500 / 2.8983 = $70,265 (rounded)
Years 11-15:
Net Cash Flow = $223,850 (10% increase from Year 10)
Discount Factor = (1 + 0.15)^11 = 7.2756 (rounded)
Present Value = $223,850 / 7.2756 = $30,753 (rounded)
Net Salvage Value:
Discount Factor = (1 + 0.15)^15 = 9.6466 (rounded)
Present Value = $625,000 / 9.6466 = $64,725 (rounded)
Now, calculate the NPW:
NPW = Initial Cost - Present Value of Cash Flows
NPW = -$4,000,000 + $160,870 + $139,804 + $70,265 + $30,753 + $64,725
NPW = $26,417
Based on the NPW method, the positive NPW value of $26,417 indicates that the investment in the parking lot is justified. It suggests that the investment is expected to generate a positive return, considering the annual interest rate of 15% and the projected cash flows over the investment period.
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question content area on march 4 of the current year, barefoot bay, inc. reacquired 5,000 shares of its common stock at $89 per share. on august 7, barefoot bay sold 3,500 of the reacquired shares at $100 per share. the remaining 1,500 shares were sold at $88 per share on november 29. question content area a. journalize the transactions from march 4, august 7, and november 29. if an amount box does not require an entry, leave it blank. date account debit credit march 4 - select - - select - - select - - select - august 7 - select - - select - - select - - select - - select - - select - november 29 - select - - select - - select - - select - - select - - select - question content area b. what is the balance in paid-in capital from sale of treasury stock on december 31 of the current year? fill in the blank 1 of 2 fill in the blank 2 of 2 c. for what reasons might barefoot bay inc. have purchased the treasury stock?
Treasury stock is a resource that companies can utilize to finance investments or acquisitions of rival companies.
What are the top three benefits of buying Treasury Stock?The advantages of a firm raising its treasury stock holdings include the potential to raise the market price per share of the remaining stock and to use the shares as an alternative to cash incentives for employees.
Why would individuals desire to buy Treasury securities?Security is the main benefit of US Treasury securities. There is no other investment that offers a stronger guarantee of timely principle and interest payments. Since these payments are predictable, many people invest in them to protect and grow their capital as well as to get a steady stream of income.
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im on od plz hurry
Background info-----You're a member of a small group that has been working on an important company project for the last year, and you have been assigned to give the final presentation. You really do not like giving presentations because of your stage fright, but you agree to make the visual aids and write a script for another group member who does not mind giving the actual talk.
Directions-----Write a five-minute presentation speech using the techniques and strategies you have learned, and make some visual aids to accompany the talk. You can make a PowerPoint or some charts or drawings, but whatever you do, make sure it follows the guidelines you have learned. Make sure that you can digitize your work so that you can send it to your other group members and to your teacher.
Answer:
this is my 5 minute presentation
Explanation:
i have learned how to communicate and how to better my self when working as a team when i am team leader it seams easier for me to controll my team because i do not boss them around harshly if they start to get verry wore out i also give them a talk to boost their motivation to get the job done quicker i feel like when i am out in the real world it will be a lot easier to lead a team the right way and get everything done with all the knolage i have recived i know if im messing around then the rest of my team is going to be messing around in order for my team to act right i have to act right so my team will follow all orders and commands when givin and they will not have any problem with these orders
do you feel that countries and companies need explicit strategies for technology development, given the tremendous amount of largely spontaneous creativity that occurs today, often in areas where new technologies are not expected to exert a great influence.
Countries and businesses require explicit strategies for technological development, according to the current market and business scenario, companies and countries use the most recent and up-to-date technologies.
What is meant by explicit strategies?Explicit strategies for technological development are unnecessary for countries and businesses. They may desire it in order to improve business processes and adapt to new technologies. Explicit strategies are those that are well defined and implemented in order to have clear technological development to the specified business structures. Implicit strategies, on the other hand, tend to confine companies and countries to a specific way of thinking, resulting in more concise technological development. This strategy would aid in simulating innovation and creativity in technological development.Because of the increase in technological advancement and Internet usage, our reliance on technology and its applications has changed in all aspects of our daily lives. Businesses must address the current demands of modern customers and the market, so IT-enabled solutions are required to achieve organizational goals and objectives.To learn more about strategy refer to :
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Yes i feel that countries and companies need explicit strategies for technology development, given the tremendous amount of largely...in areas where new technologies are not expected to exert a great influence.
Give a brief account on technological development.The process of developing new technologies or methods through invention, innovation, and spread is known as technological change (TC) or technological development. In essence, technological change includes the creation of technologies (including processes) and their commercialization or release as open source through research and development (producing emerging technologies), the continuous improvement of technologies (in which they frequently become less expensive), and the dissemination of technologies throughout industry or society (which sometimes involves disruption and convergence). To put it simply, better and more technology are the foundations of technological change. The "Linear Model of Invention," which was once used to illustrate technological change, has largely been abandoned in favour of a model of technological change that incorporates innovation at all stages of research.
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In 2018, Smiths Corp. issued a $50 par value preferred stock that pays a 6 percent annual dividend. Due to changes in the overall economy and in the company's financial condition, investors are now requiring a 7 percent return. What price would you be willing to pay for a share of the preferred if you receive your first dividend one year from now?
Answer:
Hence, the Current Price is $42.85
Explanation:
Given that
Par value = $50
Annual Dividend percentage = 6%
Annual dividend = $50 × 6% = $3
Required rate of return = 7%
based on the above information
The price that should be paid one year from now is
Required Return = Annual Dividend ÷ Current Price × 100
7 = $3 ÷ Current Price × 100
So, the current price is
= $42.85
Hence, the Current Price is $42.85
You buy a watch that costs $45.50. The tax on the watch is 7.5%. What is the final cost?
Answer:
$48.9125
Explanation:
7.5% of 45.50 is 3.4125
3.4135+45.50=48.9125
Which one is the best choice. Please explain why. I’ll give extra points.
Answer:
10
Explanation:
Surplus for Donovan: 10 - 4.50 = 5.50
Surplus for Rudy: 8 - 4.50 = 3.50
Surplus for Mike: 6 - 4.50 = 1.50
Surplus for Royce: 4 - 4.50 = -0.50
Sum of all surpluses: 5.50+3.50+1.50-0.50=10
The Institute of Medicine (IOM) reports that healthcare spending aligns with healthcare outcomes. In other words, we are receiving value for the funds that we are spending on healthcare
True
False
The statement that healthcare spending aligns with healthcare outcomes and reflects value for the funds spent is false.
The Institute of Medicine (IOM), now known as the National Academy of Medicine (NAM), does not report that healthcare spending aligns with healthcare outcomes, implying that we are receiving value for the funds spent on healthcare. In reality, the relationship between healthcare spending and outcomes is complex and often does not demonstrate a direct correlation.
While healthcare spending is a significant factor in determining the quality of healthcare services, it does not guarantee improved outcomes. Many countries with high healthcare expenditures do not necessarily have better health outcomes compared to countries with lower healthcare spending. Factors such as the efficiency of healthcare delivery systems, access to care, health infrastructure, and social determinants of health also play crucial roles in determining healthcare outcomes.
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Why did laocoon throw a spear at the wooden horse
Answer:
Laocoon threw the spear at the wooden horse when Trojans refused to believe him that the wooden horse was a trickery from Greeks.
Explanation:
Aeneid is a masterpiece of Virgil, that tells the tale of Aeneas.
In book 2, of the epic, the death of Trojan Priest Laocoo is mentioned. The book begins by unfolding the trickery that the Greeks were planning on Trojans by sending the wooden horse as a gift of peace. Since, they had a war between them for ten years, Trojans agreed to accept the gift as they wanted peace. But it was Laocoon, who suspects the reason of sending the wooden horse.
Laocoon tried to convince the Trojans that they do not accept the wooden horse, but they refused to listen to him. In his anger and rage, Laocoon threw his spear at the wooden horse, only to reveal that it was hollow from inside.
Answer:
To prove that the horse concealed an army of Greeks
Explanation:
He threw a spear in a fit of rage because he believed the Greeks truly did not want peace. The spear pierced the horse and revealed that it was hollow.
2. m&j does not have a formal management approach to managing the employees. some low-level employees
are paid more than higher-level employees because they have been with the company longer; others are given
extra time off without any explanation. employees who are not managers often direct other employees but
won't deal with conflicts because they say it isn't their job. some employees are clearly not motivated to do
what needs to be done to make m&j as successful as it could be. in your response:
M&J need to bring efficiency in the level of their employee management to be able to maintain formal office behavior.
How to make employee management efficient?The management of workforce by way of standardization and classification of pay by class division is one of the ways to do efficient management.
There must be proper management regarding resolving the grievances of employees with respect to their salaries and modes and methods of payment.
Hence, the steps to improve the efficiency of employee management are aforementioned.
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Explain the impact of strikes as a socio-economic issue on businesses.
1. Which of the following courses would be most helpful for a person wanting a career in
hospitality? Select the two correct answers.
marketing
visual arts
food service management
engineering is
computer science
Answer:
1.food service management
2.marketing
Explanation:
Which describes the purpose of non-sufficient funds fees? A: penalize customers for writing checks for money they don't have
B:make sure customers keep sufficient funds in their account
C: pay for the costs of having bank employees
D: collect funds for withdrawals from a competitor’s machine
Answer:
A: penalize customers for writing checks for money they do not have
Explanation:
A bank reconciliation mainly computed by an accountant, gives the difference between the balance in relation to the bank statement and the cash balance with respect to the accounting records of the depositor in a particular financial institution.
In Financial accounting, a bank statement can be defined as an official summary or list of financial transactions, which typically comprises of the amount of money that has been paid into or withdrawn from an account by an individual or business entity over a specific period of time.
Generally, a bank statement usually has the following information charges, deposits, withdrawals, including the opening and closing balance for each account held at a given the period. Thus, bank customers are advised to frequently reconcile their records with bank statements in order to prevent non-sufficient funds (NSF) checks.
A non-sufficient funds (NSF) checks refers to a check that is not honored by the bank of the issuer due to the fact that the individual or business entity has an insufficient fund. It is also known as a bounced or bad check.
Hence, the purpose of non-sufficient funds fees is to customers for writing checks for money they do not have. In the United States of America, the fee charged for non-sufficient funds (NSF) checks is between $27 to $35.
How much are you willing to pay for one share of stock if the company just paid an $.80 annual dividend, the dividends increase by 4% annually and you require an 8% rate of return? A. $19.23 B. $20.00 C. $20.40 D. $20.80 E. $21.63
B. $20.00 are you willing to pay for one share of stock if the company just paid an $.80 annual dividend, the dividends increase by 4% annually and you require an 8% rate of return
To determine the value of one share of stock, we can use the dividend discount model (DDM) formula:
Value of stock = Dividend / (Rate of return - Dividend growth rate)
Given the information:
Annual dividend = $0.80
Dividend growth rate = 4%
Rate of return = 8%
Plugging in the values into the formula:
Value of stock = $0.80 / (0.08 - 0.04)
Value of stock = $0.80 / 0.04
Value of stock = $20.00.
The value of a stock is determined by the present value of the future dividends it is expected to generate. In this case, the company pays an annual dividend of $0.80, and the dividends are expected to grow at a rate of 4% annually.
The required rate of return represents the minimum rate of return an investor expects from an investment. In this case, the required rate of return is 8%.
By applying the dividend discount model, we can calculate the stock value. The formula divides the dividend by the difference between the required rate of return and the dividend growth rate.
After substituting the given values, we find that the stock value is $20.00. This means that based on the given dividend, growth rate, and required rate of return, an investor would be willing to pay $20.00 for one share of the stock.
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organizational buyers that buy physical products and sell them again without any reprocessing are known as
Organizational buyers that buy physical products and sell them again without any reprocessing are known as wholesalers.
Wholesalers are crucial to the distribution of commodities because they purchase big amounts of merchandise from producers and then resell it in smaller quantities to retailers or other companies. In order to sell to the final consumer, big shipments of commodities might be divided into smaller, more manageable volumes. Additionally, wholesalers provide their clients with a range of services like warehousing, finance, and marketing assistance, which can make it simpler for smaller retailers to acquire a greater selection of products and compete more successfully in the market.
By offering these services, wholesalers contribute significantly to the overall health of the economy by facilitating the movement of commodities from the producer to the final customer.
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Two large areas of land are connected by a narrow strip of land called a(n):
O isthmus
O estuary
O archipelago
O inlet
Answer:
isthmus
Explanation:
Two large areas of land are connected by a narrow strip of land called an
isthmus.
Leslie tunes musical instruments. Leslie tuned a guitar with 666 strings today. Then she tuned a piano with 373737 times as many strings. How many strings did the piano have? Choose 1 answer: Choose 1 answer: (Choice A) A The piano has 422422422 strings, because 37 \times 6=42237×6=42237, times, 6, equals, 422. (Choice B) B The piano has 222222222 strings, because 37 \times 6=22237×6=22237, times, 6, equals, 222. (Choice C) C The piano has 666 strings, because 37 \div 6=637÷6=637, divided by, 6, equals, 6 remainder 111.
Answer:
there is something wrong with the question since a guitar has 6 strings, so I believe that the numbers were copied three times.
Assuming that Leslie tuned a 6 string guitar and she also tuned a piano that has 37 times as many strings, then the piano has 37 x 6 = 222 strings.
Option B is correct: the piano has 222 strings, because 37 times 6 = 222
Answer:
It's actualy 222
Explanation:
Which of the following is NOT a capital market instrument? Multiple Choice Corporate stocks and bonds U.S. Treasury notes and bonds U.S. Treasury bills U.S. government agency bonds
U.S. Treasury bills is NOT a capital market instrument.
Capital market instruments are financial securities that are traded in the capital markets to raise long-term funds. They typically represent ownership or debt in an entity and serve as investment vehicles for individuals and institutions.
Corporate stocks and bonds, U.S. Treasury notes and bonds, and U.S. government agency bonds are all examples of capital market instruments. Corporate stocks represent ownership in a company, while corporate bonds, U.S. Treasury notes and bonds, and U.S. government agency bonds represent debt instruments issued by corporations and government entities.
However, U.S. Treasury bills (T-bills) are short-term debt instruments issued by the U.S. government with maturities of one year or less. While T-bills are important financial instruments, they are considered money market instruments rather than capital market instruments. Money market instruments are short-term debt instruments used for highly liquid and low-risk investments.
In summary, U.S. Treasury bills are not classified as capital market instruments, unlike corporate stocks and bonds, U.S. Treasury notes and bonds, and U.S. government agency bonds, which are capital market instruments representing ownership or debt in entities.
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Mrs. Park is an elderly retiree. Mrs. Park has a low fixed income. What could you tell Mrs. Park that might be of assistance
Answer: Reach out to her Medicaid for their programs
Explanation:
There are programs that are set up to assist retiree's. Mrs Park should reach out to her state Medicaid agency and enquire if she is qualified for the programs they run which would assist her income.
Answer:
She should contact her state Medicaid agency to see if she qualifies for one of several programs that can help with Medicare costs for which she is responsible.
Explanation:
BigR record label, markets, sells music collections, and professional produces. It prioritizes musicians trying to make their songs heard.
Describe and draw the porter's value chain for this record label organization.
- Primary and support activities.
- Identify one information intensity.
- Identify software application that can add value to the information intensity area.
Inbound Logistics: BigR record label manages the acquisition and storage of music collections from various artists and bands. This includes receiving and organizing digital files or physical copies.
Operations: The record label engages in professional music production, including recording, mixing, and mastering the songs. They ensure high-quality production standards to enhance the sound and appeal of the music collections.
Outbound Logistics: BigR record label handles the distribution of music collections to various platforms and channels for sale and streaming. This involves packaging, labeling, and delivering the music to retailers, online stores, streaming services, and other distribution channels.
Marketing and Sales: The record label develops marketing strategies to promote and sell the music collections. This includes designing album covers, creating promotional materials, conducting advertising campaigns, managing online presence, and negotiating distribution agreements with retailers and streaming platforms.
Service: BigR record label provides customer support and service related to music collections. This may involve handling customer inquiries, addressing technical issues, and ensuring a positive customer experience with the purchased music.
Support Activities:
Procurement: The record label engages in procuring necessary resources for music production, such as recording equipment, software, musical instruments, and contracts with artists.
Technology Development: BigR record label invests in technology and innovation to improve music production processes, enhance sound quality, and stay up-to-date with digital trends in the music industry.
Human Resource Management: The record label manages a team of professionals including producers, sound engineers, marketers, sales representatives, and customer service personnel. They ensure that the right talent is hired and trained to support the organization's goals.
Firm Infrastructure: This includes the overall management and administration of the record label, including financial management, legal compliance, and strategic planning.
Information Intensity:
One area of information intensity in the value chain of BigR record label is in Marketing and Sales. Gathering and analyzing market data, consumer preferences, and trends in the music industry is crucial for effective marketing and sales strategies.
Software Application:
A Customer Relationship Management (CRM) software application can add value to the information intensity area of Marketing and Sales. A CRM system can help the record label manage customer data, track interactions, analyze sales patterns, and personalize marketing campaigns. It enables the label to build and maintain relationships with customers, target specific audience segments, and optimize marketing efforts based on data-driven insights.
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Payment for subscriptions is billed one month in advance. First month's payments are pro-rated for the amount due up until the 15th of the month plus the next month's bill amount. All monthly payments are due by the 15th of each month. Payments received after the 20th of the month will result in a late fee of $20.00. The late fee may be waived one time per year.
Answer: c. The subscription began about 10 days before the 15th of the month.
Explanation:
With the first month's payments being pro-rated for the amount due up until the 15th of the month plus the next month's bill amount payments, the likely possibility is that the customer started their first subscription 10 days before the 15th of the first month.
This would then mean that they were charged the daily rate for each of those 10 days which amounted to $15. The daily rate can be calculated by dividing $45 by 30 days because $45 is the rate for the month according to the question.
= 45/30
= $1.5 a day.
whirlpool's duet line of washing machines, designed to appeal to both u.s. and european consumers, is an example of a(n)
Whirlpool's duet line of washing machines, designed to appeal to both u.s. and European consumers, is an example of a product strategy.
Product strategy defines a high-level plan for developing and commercializing a product, how the product supports business strategies and goals, and how the product is realized through a product roadmap to achieve its vision find A product strategy is created by considering the "big picture" of a product and helps companies justify why their product should exist and how users can benefit from it.
Product strategy describes a company's strategic vision for its product offering by determining where the product will go, how it will get there, and why it will succeed. A product strategy allows you to focus on a specific target market and feature set instead of trying to offer everything to everyone.
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. Which of the following is the statement of the Heckscher-Ohlin Theorem? A country has a comparative advantage in the good that makes relatively intensive use of that country's relatively abundant factor. A change in output prices will lead to more-than-proportional changes in the opposite direction in the prices of inputs used intensively in the good's production. Opening trade will equalize factor prices across countries. A change in output prices will lead to more-than-proportional changes in the same direction in the prices of inputs used intensively in the good's production. A change in output prices will lead to less-than-proportional changes in the same direction in the prices of inputs used intensively in the good's production.
The Heckscher-Ohlin Theorem states that countries specialize in and export goods that use their abundant factors of production.
The statement of the Heckscher-Ohlin Theorem is as follows: "A country has a comparative advantage in the good that makes relatively intensive use of that country's relatively abundant factor." This means that a country will specialize in producing and exporting goods that require a larger amount of the factor of production it has in abundance. For example, if a country has a large amount of skilled labor, it will specialize in industries that require skilled labor. The theorem suggests that countries will trade based on their factor endowments, with each country exporting goods that use its abundant factors and importing goods that use its scarce factors. The Heckscher-Ohlin Theorem forms the basis of the modern theory of international trade and explains the patterns of trade observed in the world economy.
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How will your Virtual Stock Exchange experience influence your personal
investing in the future? Explain
Participating in a virtual stock exchange can provide valuable experience and insights into the world of investing. It allows individuals to practice making investment decisions in a risk-free environment and to learn from their mistakes without incurring any financial losses.
What is Virtual Stock Exchange?Generally, By participating in a virtual stock exchange, individuals can develop an understanding of market trends, investment strategies, and risk management techniques. They can also learn about different types of investments, such as stocks, bonds, and mutual funds, and how they work.
This experience can influence personal investing in the future by providing a foundation of knowledge and skills that can be applied to real-life investment decisions. It can also help individuals develop confidence in their ability to make informed investment decisions.
Furthermore, participating in a virtual stock exchange can also help individuals develop a disciplined approach to investing, such as setting investment goals, regularly reviewing their investment portfolio, and sticking to a long-term investment plan.
In summary, participating in a virtual stock exchange can be a valuable learning experience that can provide insights and skills that can be applied to personal investing in the future.
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When revising a budget it is important to make choices that allow you to continue?
When revising a budget it is important to make choices which allow you to continue saving money.
A budget is considered to be a financial document which is used to project the future income and the expenses. Thus, to put it simply, a budget tends to plan the future saving and spending as well as planned income and the expenses.
However, the budget revisions may be necessary which is if the current planned expenditures tend to differ from the original or the most recent budget approved by the known sponsor.
Hence, a budget is considered to be an estimation, which is of revenue and expenses over a specified future period of time.
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When revising a budget it is important to make choices that allow you to continue saving money.
You can prepare for your income and expenses over the course of a specific time period using a budget. Making a monthly budget, for instance, considers where your income and expenses will go each month.
how to revising a budget:
Review your variable expenses (the ones that vary each month, are typically more flexible, and might be seen as "fun money") and identify areas where you can cut back on spending if you have lesser overages.
Unsubscribe from any alluring emails, evaluate your mobile phone plan and look into alternative offers, look into less expensive internet options, review your streaming services, and consider any memberships or subscriptions you may have.
You may need to find strategies to minimize larger expenses if you've already tried to lower your variable costs but are still having trouble keeping on track to reach your financial objectives.
Here are some alternatives to think about:
1) Make use of tools like credit counselors to assist you examine your income, assets, and debt and develop a strategy to deal with your money problems.
2) If you are having trouble paying off higher sums of debt, consider debt consolidation.
If you have a sizable credit card bill, you might choose to move it to a card with a low interest rate or one with a 0% introductory APR. Remember that there can be a cost associated with transferring the balance.Transferring a sizable credit card load to a personal loan is an additional choice. Personal loans frequently have significantly cheaper interest rates and even improve credit scores.If you own a home, you might want to take out a home equity line of credit or a cash-out refinance, which both let you use some of the equity in your house to pay off debt, to pay off higher rate debt. However, be sure to comprehend the terms of the loan since they can result in longer payoff terms or higher monthly payments.To know more about budget:
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In a free market economy, the market, not the
determines prices. The interactions of
and
determine the price in the market?
Answer: 1. government , 2. consumers , 3. producers
Explanation: edmentum / plato
1. capital gains
3
money paid from a company's earnings to people who own stock in that company
2. commission
6
the income a business makes
3. dividends
5
money the bank gives you when you keep your money in one of their accounts
4. entrepreneur
4
a person who takes a risk to create a new product or develop a better way to operate a business
5. interest
1
income earned by the sale of assets, such as stocks or property, the gain of which is the difference between the price paid and the selling price
6. revenue
2
a fee paid to employees for their sale or services, the amount of which is usually based on a percentage of the sale price
Answer:
CAPITAL GAINS - income earned by the sale of assets, such as stocks or property, the gain of which is the difference between the price paid and the selling price
COMMISSION - a fee paid to employees for their sale or services, the amount of which is usually based on a percentage of the sale price
DIVIDENS - money paid from a company's earnings to people who own stock in that company
ENTREPRENEUR - a person who takes a risk to create a new product or develop a better way to operate a business
INTEREST - The income a business makes
REVENUE - money the bank gives you when you keep your money in one of their accounts
Answer:
1. capital gains
income earned by the sale of assets, such as stocks or property, the gain of which is the difference between the price paid and the selling price
2. commission
a fee paid to employees for their sale or services, the amount of which is usually based on a percentage of the sale price
3. dividends
money paid from a company's earnings to people who own stock in that company
4. entrepreneur
a person who takes a risk to create a new product or develop a better way to operate a business
5. interest
money the bank gives you when you keep your money in one of their accounts
6. revenue
the income a business makes
Explanation:
I did it
what is true about taxes?
a. most citizens want to pay the highest amount possible?
b. Taxes benefit the government, but they do not benefit the citizens.
c. Traces benefit the citizens, but they do not benefit the government.
d. The tax money comes out of the citizens income and overall wealth
Answer: D) the tax money comes out of the citizen’s earned income and overall wealth.
Explanation:
Just took the test.