Matching survey question examples with their definitions is essential for accurate interpretation of survey questions.
Here are the definitions of each type of survey question and their corresponding examples:
A. Open-ended question: Allows respondents to provide detailed, unrestricted answers.
Example: "Please describe your experience with our product in your own words."
B. Closed-ended dichotomous question: Provides two mutually exclusive options for respondents to choose from.
Example: "Did you purchase our product? Yes or No."
C. Closed-ended multiple-choice question: Provides a list of predefined options for respondents to choose from.
Example: "Which of the following brands do you prefer? A) Brand X B) Brand Y C) Brand Z"
D. Scaled-response question: Asks respondents to rate or rank items using a predefined scale.
Example: "On a scale of 1 to 5, how satisfied are you with our customer service? (1 - Very dissatisfied, 5 - Very satisfied)"
E. Ambiguous question: Lacks clarity or is open to different interpretations.
Example: "Do you like our product? (Without specifying what aspect of the product is being referred to)"
F. Two questions in one: Combines two separate questions into a single question, potentially causing confusion.
Example: "Did you find our website user-friendly, and were you able to find the information you were looking for?"
G. Biased and/or leading question: Influences respondents towards a particular response through wording or framing.
Example: "Don't you agree that our product is the best on the market?"
Matching the examples with their precise definitions will help ensure the survey questions are appropriately designed to obtain specific types of responses.
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What is the marginal revenue and marginal cost for this diagram?
What type of market is this? Explain your answer
Marginal revenue :
2060120200300420560Marginal cost :
108210192640It is a Monopolistic market structure because marginal revenue is greater than the marginal cost.
Marginal Revenue is the increase in the revenue by selling one extra product in the market. It is calculated by the Change in revenue divided by the change in output.
Marginal cost is the change in cost by producing one extra unit of output. It is calculated by a change in cost divided by the change in units.
Monopolistic market structure is where there are multiple companies producing similar products in the market.Example for monopolistic structure can be a grocery store.
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When the patent expires, the market is open for other companies to produce and sell generics, alternative versions of the drug, and the price drops dramatically. On average, a generic drug costs about 15% of the price of the equivalent patent-protected drug, which will lose up to 90% of its market share. In the case of Lipitor, Pfizer's blockbuster drug for cholesterol, the generic version was only 8% of the price of Lipitor.
However, that sequence of events is what is supposed to happen. Makers of the original patent-protected drugs have employed a variety of strategies to block or forestall the entry of generic competitors. One very successful tactic is pay for delay, an agreement in which the patent-holder pays the generic drug maker to delay the entry of the generic drug in return for compensation. As a result, the patent-holder continues to charge high prices, the generic drug maker gets a lucrative payment, and the consumer suffers.
Pay-for-delay agreements have cost consumers an estimated $3.5 billion annually from 2005 to 2013. But in 2014 the number of such deals dropped dramatically after the U.S. Supreme Court gave federal regulators the authority to prosecute the deals as anti-competitive. With that authority, the Federal Trade Commission scored a $1.2 billion settlement from drug maker Teva over allegations it engaged in pay for delay over their sleep-disorder drug Provigl. According to industry observers, increased competition is saving consumers many billions of dollars a year.
QUESTIONS
Please answer the following questions briefly based on this reading referring to "Topic 10: Competition".
1. Why are the prices of generic drugs so much cheaper after they come off a patent?
2. Pharmaceutical firms often attempt to extend a patent period for a specific good. Why?
1. When the patent expires, the prices of generic drugs are significantly cheaper because the market is open to other companies to produce and sell generics, alternative versions of the drug.
On average, a generic drug costs about 15% of the price of the equivalent patent-protected drug, which leads to the price of the patented drug to lose up to 90% of its market share.
2. Pharmaceutical companies often attempt to extend a patent period for a specific good for the reason that when the patent expires, the market is open for other companies to produce and sell generics, alternative versions of the drug, and the price drops dramatically.
It leads to the patent-holder continues to charge high prices, the generic drug maker gets a lucrative payment, and the consumer suffers. The other strategies pharmaceutical companies have employed to delay competition include multiple patents, lawsuits against generic competitors, and exclusive distribution arrangements with distributors.
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Maria, a single taxpayer, had losses totaling $30,000 from a rental real estate activity in which she actively participated. Maria also had $15,000 of income from another rental real estate activity in which she actively participated. She acquired both investments in the current year. If Maria has no other passive income and adjusted gross income before passive losses of $70,000, how much loss from rental activities can she use to offset her portfolio and active income?
Answer:
$25,000
Explanation:
The computation of the loss from rental activities is shown below
If there is any loss arise from the real estate with respect to the rental activity so the same would be deducted from the passive income
The losses till $25,000 would be used for offset active or the income of the portfolio
Hence, $25,000 would be the losses
Ken Iwig is the president, founder, and majority owner of Olathe Medical Corporation, an emerging medical technology products company. Olathe is in dire need of additional capital to keep operating and to bring several promising products to final development, testing, and production. Ken, as owner of 51% of the outstanding stock, manages the company's operations. He places heavy emphasis on research and development and on long-term growth. The other principal stockholder is Barb Lowery who, as a nonemployee investor, owns 40% of the stock. Barb would like to deemphasize the R&D functions and emphasize the marketing function, to maximize short-run sales and profits from existing products. She believes this strategy would raise the market price of Olathe's stock.
All of Ken's personal capital and borrowing power is tied up in his 51% stock ownership. He knows that any offering of additional shares of stock will dilute his controlling interest because he won't be able to participate in such an issuance. But, Barb has money and would likely buy enough shares to gain control of Olathe. She then would dictate the company's future direction, even if it meant replacing Ken as president and CEO.
The company already has considerable debt. Raising additional debt will be costly, will adversely affect Olathe's credit rating, and will increase the company's reported losses due to the growth in interest expense. Barb and the other minority stockholders express opposition to the assumption of additional debt, fearing the company will be pushed to the brink of bankruptcy. Wanting to maintain his control and to preserve the direction of "his" company, Ken is doing everything to avoid a stock issuance. He is contemplating a large issuance of bonds, even if it means the bonds are issued with a high effective-interest rate.
Instructions:
(a) Who are the stakeholders in this situation?
(b) What are the ethical issues in this case?
(c) What would you do if you were Ken?
The stakeholders are Ken Iwig. The ethical issues include conflict of interest, the duty of care, transparency, and disclosure, and fair treatment of minority shareholders. Ken should prioritize the long-term interests of the company and stakeholders, evaluate options, and ensure fair treatment of minority shareholders. If consensus cannot be reached, selling his majority ownership stake may be considered.
(a) The stakeholders in this situation are Ken Iwig, the president, founder, and majority owner of Olathe Medical Corporation, who is in control of the company's operations and wants to maintain his control and preserve the direction of "his" company.
Barb Lowery, the other principal stockholder, wants to deemphasize the R&D functions and emphasize the marketing function, to maximize short-run sales and profits from existing products.
The minority stockholders are opposed to the assumption of additional debt and fear the company will be pushed to the brink of bankruptcy.
The company, Olathe Medical Corporation, is in dire need of additional capital to keep operating and to bring several promising products to final development, testing, and production.
(b) The ethical issues, in this case, are Conflict of interest: Ken's personal interests as the majority owner of Olathe Medical Corporation may conflict with the interests of other stakeholders, such as Barb and the minority stockholders.
Duty of care: Ken has a duty to act in the best interests of the company and its stakeholders, which may involve making difficult decisions, such as raising additional capital or pursuing a different direction for the company.
Transparency and disclosure: Ken should disclose the potential risks and benefits of different options to all stakeholders and allow them to make informed decisions.
Fair treatment of minority shareholders: Ken should ensure that the minority shareholders are treated fairly and not unduly prejudiced by any decisions he makes.
(c) If Ken were in this situation, he should consider the long-term interests of the company and its stakeholders, rather than his own personal interests as the majority owner.
He should evaluate the potential risks and benefits of different options, such as raising additional capital through a bond issuance or pursuing a different direction for the company.
He should also ensure that the minority shareholders are treated fairly and not unduly prejudiced by any decisions he makes. If he is unable to reach a consensus with the other stakeholders, he may need to consider selling his majority ownership stake in the company to a third party who can bring a different perspective and direction to the company.
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fare industries pays salaries and wages every two weeks. salaries and wages amount to $180 a day and the company has a seven-day work week. on july 31, the company pays wages for the two weeks ending july 24 and recorded the related journal entry. the adjusting journal entry, dated july 31, to record unpaid wages and salaries owed since july 25 through the end of the month will include a debit to:
Answer:
Explanation:
Salaries and Wages Expense and a credit to Salaries and Wages Payable for $1,260.
Which method recognizes the real option aspects of a proposed capital investment? ONPV, IRR, PI, and discounted PB NPV and discounted PB NPV and PI None of the methods (NPV, IRR, PI, PB, or discounted PB) recognizes the real option aspects of a capital investment Read the following statements and categorize whether they characterize the IRR, NPV, PB, or PI decision criteria: IRR NPV PB PI o O O O O Statement Its value is expressed or denominated in units of a currency, such as dollars The discount rate that equates the present value of the project's net cash flows with the present value of the net investment This value indicates the amount of time needed to recover a project's initial investment, using either the project's discounted or nondiscounted cash flows O O O O
IRR - Statement 3: This value indicates the amount of time needed to recover a project's initial investment, using either the project's discounted or nondiscounted cash flows.
NPV - Statement 2: The discount rate that equates the present value of the project's net cash flows with the present value of the net investment.
PB - Statement 4: This value indicates the amount of time needed to recover a project's initial investment, using either the project's discounted or nondiscounted cash flows.
PI - Statement 1: Its value is expressed or denominated in units of a currency, such as dollars.
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Rodney owes $1,541.05 on his credit card. His card has an APR of 16.29%, compounded monthly. Assuming that he makes no payments and no purchases, how much will he owe after one year?
a.
$1,561.97
b.
$1,811.70
c.
$1,792.09
d.
$1,541.05
Please select the best answer from the choices provided
A
B
C
D
Answer:
b. $1,811.70
Explanation:
istp
1.Use the results of your personality test and write an essay.
2.Based on the test results write an essay describing your personality, learning style, and communication skills.
3. Post your essay on the "Question" page. Respond to all posts to your essay.
please pwede nyo ba sagutan due date na kasi Yan bucks please
Answer:
As an ISTP, I am characterized as a practical and logical person who enjoys solving problems and engaging in physical activities. I prefer to work independently and focus on the task at hand rather than engaging in social interactions.
My learning style is hands-on and experiential. I prefer to learn by doing rather than reading or listening to lectures. I thrive in situations where I can apply my knowledge and skills to solve real-world problems. I am good at analyzing complex situations and breaking them down into manageable parts.
When it comes to communication skills, I tend to be concise and to the point. I don't like to waste time on small talk and prefer direct communication. I am a good listener and pay attention to details. However, I may come across as aloof or detached in social situations, which can be misinterpreted by others.
As an ISTP, I have several strengths that I bring to any team or group. I am dependable, practical, and resourceful. I enjoy taking on challenges and coming up with creative solutions to problems. I am adaptable and can work in a variety of settings and situations.
However, there are also some weaknesses that I need to be aware of. I can sometimes come across as insensitive or indifferent to others' feelings, which can lead to misunderstandings and conflicts. I also have a tendency to procrastinate and avoid tasks that I find uninteresting or challenging.
To improve my communication skills, I can work on being more expressive and open with my thoughts and feelings. I can also try to be more patient and understanding with others, even if their communication styles differ from my own. To improve my learning style, I can seek out more opportunities for hands-on experience and experimentation, and try to engage with different learning materials to broaden my knowledge.
Overall, as an ISTP, I am a problem-solver who prefers practical solutions and hands-on experiences. While my communication style may come across as aloof, I am a good listener and pay attention to details. By being aware of my strengths and weaknesses, I can work to improve my skills and become a more effective member of any team or group.
Explanation:
What is it called when the riskier the investment the higher the rate of return?
When the riskier the investment the higher the rate of return , then it is called a risk-return tradeoff .
The concept of Risk-Return Tradeoff is used to describe the relationship between the level of risk and the potential for investment returns.
The risk-return tradeoff suggests that ; as the level of risk associated with an investment increases, the potential for higher returns also increases.
In other words, investors demand a higher rate of return to compensate for taking on greater levels of risk. This relationship is often represented graphically as an upward sloping curve, where higher levels of risk are associated with higher potential returns.
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What was the opening price of Dow Jones Industrial Average on Sep 28, 2017 in the format of XXXXX.XX?
The starting price was $21080.28.
Calculation
On May 30, 2017, the Dow Jones Industrial Average was:
The Dow Jones Industrial Average finished at 21029.47 on May 30, 2917, a decrease of 50.81, according to valueline.com.
Index of closure: 21029.47+ downward motion = 50.8121080.28 is the opening index.According to this, the starting price was 21080.28.
The stock performance of 30 major firms that are listed on American stock exchanges is tracked by the Dow Jones Industrial Average. It is an index of stock price. The S&P 500 Index and the NASDAQ are two more.
The day's initial average price before trading began is represented by the starting index. The price must have fluctuated, moving up and down, while trade. By adding back, it can be deduced from this closing index data that the opening price was higher than the closing price by 50.81, or around 51 basis points.To Learn more about Averages and Opening Price, Click the links.
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an employee can be dismissed if their job surplus to requirements' outline why this state ment is false
1. A parent company sells land to its wholly-owned subsidiary in 2015, reporting a gain of $35,000. In 2020, the subsidiary sells the land to an outside developer and reports a gain of $60,000. In the 2020 consolidation working paper, the elimination of this transaction will result in: A. A $35,000 decrease in beginning retained earnings B. A $60,000 increase in investment in subsidiary C. A $95,000 decrease in land D. A $35,000 increase in gain on sale of land
Answer:
Explanation:
A $60,000 increase in investment in subsidiary
Select all that apply Select those items that describe consumer behavior. Multiple select question. It is a multidimensional process. It is a simple, straightforward process. It is a complex process. It is influenced by a number of factors. It is a process independent of any outside influence.
Consumer behavior is a difficult & complex process, affected via a no of factors, and it is a multi-dimensional process.
The following information related to consumer behavior is:
It is the study with respect to the consumers & the process at the time of choosing, usage, and sale of the goods & services that involved the responses of the consumers in terms of mental, emotional & behavioral.It develops the ideas that arise from the various science that involved biology, economics, etc.Therefore we can conclude that Consumer behavior is a difficult & complex process, affected via a no of factors, and it is a multi-dimensional process.
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Southeast Asian cities have promoted economic growth through what primary means?(a) Western transportation systems(b) Eastern religions(c) Western investment and trade(d) Eastern design layouts(e) Western cultural integration with Eastern theology
Southeast Asian cities have promoted economic growth primarily through western investment and trade. (Option C)
Southeast Asia refers to the geographical region of Asia which comprises of regions situated south of mainland China, east of the Indian subcontinent, and north-west of mainland Australia. In major Southeast Asian cities economic growth has been supported and promoted primarily through the means of western investment and trade. This has allowed these cities to become important economic hubs in the region, attracting businesses and creating jobs.
Western investment and trade have also helped to stimulate the local economy, leading to higher incomes and increased spending by residents. This in turn has led to further economic growth and development in these cities. Therefore, western investment and trade has helped economic growth in these cities.
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what countries can i get plastic surgery at 16 without parental consent?
Answer: Any country that considers 16 to be an adult - like lots of places in Europe and maybe even Mexico, Brazil etc
Explanation: however, I would not do it at 16 - your face and body will change a lot ! I used to want to have a breast augmentation when I was 18 because I got picked on a lot for having small breasts. Now I am a DD and am beyond happy I didn’t get the augmentation. I would wait till at least your earlier 20’s or so!
Hoped this helped a little bit
If actvity level increases 25 percent and specific cost increase from 40000 to 50000 this cost would be classified as a:__________
If the activity level increases 25% and a specific cost increases from $40,000 to $50,000, this cost would be classified as a fixed cost.
Increase in activity level = 25%
Specific cost increases from $40,000 to $50,000
Increase in cost = $10,000
Increase in cost (%) = Increase in cost/Beginning cost
= 10,000/40,000
= 25%
Since due to a 25% Increase in activity level, specific cost also increases by 25%, hence the cost must be a variable cost.
Variable cost varies in the same proportion to output. Within the given range of activity, fixed cost remains the same.
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if a person has atm fees each month of $21 for 8 years, what would be the total cost of those banking fees?
To calculate the total cost of ATM fees over 8 years, we need to multiply the monthly fee by the number of months in 8 years. Given that the person has ATM fees of $21 each month, the total cost can be calculated as follows:
$21 (monthly fee) x 12 (months in a year) x 8 (number of years) = $2,016
If the person incurs ATM fees of $21 each month for 8 years, we need to consider the number of months and multiply it by the monthly fee. There are 12 months in a year, so by multiplying the monthly fee of $21 by 12, we get the annual cost, which is $252. To find the total cost over 8 years, we multiply the annual cost ($252) by the number of years (8), resulting in $2,016. Therefore, the person would incur a total cost of $2,016 in banking fees over the 8-year period.
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Scenario 1
For years, a small country has been plagued with annual measles epidemics. Its government works with
scientists from around the world to distribute a vaccine to the vast majority of citizens in all parts of the nation.
Within a few months, workers return to their jobs and children return to school.
Scenario 2
In a neighboring country, most girls have attended school on a regular basis until the age of 12. The recently
elected president, however, has just announced his intention to increase the age of mandatory schooling for girls
to 16. As a result, a major foreign electronics producer announces its intention to open a factory in the country
within five years.
How have these two governments used investment in human capital to increase economic growth in their countries?
Answer:
The first country invested in health care. It eradicated an epidemic that was weakening its present and future workforce. Its investment was successful because it made people productive again. The second country recognized the potential for productivity in young girls. By taking steps to train and educate them, the government made them eligible for quality employment. The second country’s investment was successful because it strengthened its workforce and attracted foreign investment.
Explanation: sample answer
Answer:
The first country to make a health care investment. It eliminated a disease that was harming its workers both now and in the future. Its investment was successful because it restored productivity among its beneficiaries. The second counntry acknowledged young girls' potential for productivity. The government prepared and educated them in order to give them access to high-caliber employment. The investment in the second country was successful because it boosted its workforce and attracted outside the capital.
Explanation:
Edmentum Sample answer but worded differently :)
True or false: In the United States, sole proprietorships and partnerships outnumber corporations. True false question. True False
Answer:
True
Explanation:
Today there are more proprietorships and partnerships then there are corporations.
In the United States, sole proprietorships and partnerships outnumber corporations. The given statement is true. Hence, Option A is correct.
What is a proprietorship?Proprietorship or sole proprietorship is the state where an individual is having the whole sole authority or right regarding any business. It is that situation, in which the person who is the owner has all the rights.
Here, the conversation for rights is regarding business rights, in which a person will take all the decisions that are being found compulsory and are in favor of the business and its growth.
The term which can be used in place of a sole proprietorship is sole tradership. It is a type of business entity that is run by a single person and some of the family members can also join it. But the owner will be retained in the name of a single person.
Thus, a sole proprietorships in the United States outnumbers corporations. Option A is correct.
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True or False?
Social workers work at both the state and national level.
what would happen to a monthly payment if the intrest rate increased
Answer:Your interest rate and the monthly payment will remain the same
Explanation:If you have a fixed-rate mortgage, the rising rate will have no impact on your loan: Your interest rate and the monthly payment will remain the same.
The monthly payment would increase if the interest rate is increased.
The monthly payment is the amount a person has to pay every month over the time period of the loan to pay off the loan. Interest is the additional amount a lender has to pay along with the principal amount when they avail a loan.
A loan with a higher interest rate means that the person will have to pay back more money and hence higher monthly payments as compared to someone who has a lower rate interest rate for the same amount and for the same time period.
For example, if you borrow $200 with a 5% interest rate you will have to pay back a total of $210 and if this is over 10 months then you will have to pay $21 every month. Now say you borrow the same amount for the same time period but with a 10% interest rate, then you will have to pay back a total of $220 and this means your monthly payment will be $21. Therefore monthly payment increases with the interest rate.
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The forecast was 70 units for the current period while actual demand was 76. the forecast for the next period is 75.8. what is alpha if a simple exponential smoothing forecast method is being used?
Answer:
To find the value of alpha in a simple exponential smoothing forecast method, we can use the following formula:
alpha = (actual demand - forecast for current period) / actual demand
Plugging in the values from the problem, we get:
alpha = (76 - 70) / 76 = 6 / 76 = 0.0789
Thus, the value of alpha in this case is approximately 0.0789.
The framework of coso's enterprise risk management can best be characterized as?
Enterprise Risk Management (ERM) consists of strategies and techniques used by companies to manipulate risks and capture opportunities related to the achievement of objectives.
Risk Oversight. the board's supervision of the risk management framework and chance administration process.
What is an ERM framework?An ERM framework affords structured feedback and preparation to commercial enterprise units, executive management, and board contributors enforcing and managing ERM programs. ERM frameworks assist establish a constant hazard administration culture, regardless of worker turnover or industry standards.
What is the ERM process?Process. Enterprise danger management (ERM) is the process of identifying and addressing methodically the manageable activities that symbolize dangers to the fulfillment of strategic objectives, or to possibilities to achieve aggressive advantage.
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Answer: hello your question is open ended hence I will give you a more general answer
answer : $12,000 * number of workers or $24,000 * number of workers
Explanation:
Income taxes are taxes been levied directly on the income earned by the tax payer.
According to Tax rules there is a certain amount of income an individual would have to earned before any tax will be taken, incomes below $12,000 are tax free ( for singles ) and $24,000 for married individuals ; Hence the Total amount spent on wages and salary before tax is being taken = $12,000 * number of workers or $24,000 * number of workers . ( unless otherwise stated )
How should you handle questions about past jobs and employers?
(I am being timed)
A)You should give a specific example of how you were mistreated on your last job and why you left.
B)You should take the opportunity to show your knowledge by pointing out what was wrong there.
C)You should be honest, but don't bring up negative issues. If you must, frame it as a lesson learned.
D)You should refuse to answer any questions about previous employers and jobs.
Answer: B
Explanation:
You should give a specific example of how you were mistreated on your last job and why you left. Therefore option B is correct.
What is Job?The term Jobbe or Worke (1550s), which meant "task, piece of work," gave rise to the word "job," which today is used to refer to a piece of work or anything that needs to be done.
Literary sources indicate that the phrase was first used in 1858 to refer to "a salaried, permanent position of employment." Printers began using the phrase as slang for "piece of work of miscellaneous class" around 1795. (handbills, posters, etc.).
People who have received specialized training for particular occupations are either-
These are manual tasks in the trade. Carpenters, auto mechanics, hairdressers, and bakers are a few examples. Other trades include those for butchers, plumbers, and arborists.
- Profession: A university degree is required for this type of employment. Lawyers, physicians, dentists, architects, librarians, engineers, and pharmacists are a few examples. Teachers, university professors, scientists, physicists, and geologists are all occupations.
Therefore option B is correct.
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Gaby is motivated to work hard in a capitalistic society, because: ________
Gaby is motivated to work hard in a capitalistic society, because she wants to do well for herself.
What is the name of a capitalist society?Since the end of feudalism, capitalism, also known as the market economy or the free enterprise economy, has dominated in the Western countries. Under capitalism, the majority of the mode of production are privately owned, and production is controlled and income is distributed primarily through the the functioning of markets.
The benefits of capitalismContrary to socialism, marxism, or authoritarianism, capitalism encourages individual initiative and a solid work ethic. By working hard or come up with an original concept, everyone can elevate their position in life. In many nations around the world today, that is still not the case and has hardly shown to be the case through human history.
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Becoming more efficient and minimizing start-up costs are ways to
A) Increasing net profit
B) Decreasing gross profit
C) Increasing gross profit
D) Decreasing net profit
Becoming more efficient and minimizing start-up costs are ways to Increase net profit. Thus the correct option is A.
What are startup costs?The costs involved in establishing a new firm are known as startup costs. Equipment, registration fees, insurance, and taxes are startup expenses because they are needed when a business is first started up.
The start-up costs of a business should be low as the initial level there is high risk associated with the business. To reduce the startup costs it is important to do proper research and fix a budget for particular things.
After planning and things get implemented it is important to track every operation to minimize the cost and control the functions timely to help to perform efficiently with the resources.
A business can increase its profit margins without compromising quality, sales price, or product sales by improving the supply chain, manufacturing companies, staff, and facilities used in business.
Therefore, option A is appropriate.
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Under which type of policy does the government reduce its expenditures and increase tax rates? A. contractionary monetary policy B. contractionary fiscal policy C. expansionary fiscal policy D. expansionary monetary policy
Answer:
B. contractionary fiscal policy
Explanation:
The government influences economic direction through fiscal policy measures of increasing or decreasing its expenditure and taxation. Therefore, fiscal policies involve the government's actions of adjusting its spending and taxation to achieve desired economic objectives.
Fiscal policies can either be contractionary or expansionary. Contractionary measures are applied to control rising inflation and moderate the rate of growth. These policies aim at reducing liquidity in the market, thereby achieving stable prices. A reduction in government spending and an increase in taxation reduces liquidity or money circulation.
Answer:
b
Explanation:
Hayden works with flammable chemicals in his career in a perfume factory. Based on that information, which of the following conditions might warrant his higher wage. decision making stress level supervision danger or risks
The condition that might warrant his higher wage is the danger or risks present in the workplace.
What is the condition of the workplace?The condition of the workplace present a high hazard because of the flammable chemicals that can cause serious accident
Hence, the condition that might warrant his higher wage is the danger or risks present in the workplace.
Therefore, the Option D is correct.
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Answer:
D
Explanation:
ill give every answer when im finish dont delete me
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