Each scenario below gives some information about price elasticity of demand for a firm. Use this information to answer the following questions. Round answers to two places afier the decimal where applicable Honest Abe's Used Cars estimates the price elasticity of demand for their cars to be 3.60. Last month, Abe tried a new marketing scheme which decreased the number of cars sold by 87%. Abe must have ___ prices. Abe's prices must have changed by ___. Therefore, Abe's total revenue ___. At Webs-R-Us, a website design company, the new manager has decided to increase the price of Webs-R-Us services by 45%. If Webs-R-Us has apriceelastcty ofdemand at ___. Therefore, Webs-R-Us's total revenue will The number of websites will change by ___.

Answers

Answer 1

Honest Abe's Used Cars saw a decrease in the number of cars sold last month due to a new marketing scheme.

The company estimates that the price elasticity of demand for their cars is 3.60, which suggests that the demand for their cars is highly sensitive to changes in price. The decrease in the number of cars sold by 87% implies that Honest Abe's prices must have increased significantly. To calculate the change in price, we can use the formula:

percentage change in quantity demanded ÷ price elasticity of demand = percentage change in price

Plugging in the values, we get that the prices must have increased by 24.17%

The total revenue may have decreased due to the increase in price and decrease in quantity of cars sold.

At Webs-R-Us, a website design company, the new manager has decided to increase the price of their services by 45%. If the price elasticity of demand is -0.5, the demand for their services is relatively inelastic. To calculate the change in the number of websites sold, we can use the formula:

percentage change in price × price elasticity of demand = percentage change in quantity demanded

Plugging in the values, we get that the number of websites sold is likely to decrease by

22.5%

The total revenue may have increased or decreased, depending on the relative magnitude of the changes in price and quantity of websites sold.

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Related Questions

You purchased a ticket to the musical Hamilton through a verified reseller for $457.00. When your ticket arrives, you see the face value printed on it is $259.00. Based on this transaction, is the face value price being charged by the show’s producers above, below, or equal to the equilibrium price? How do you know?

Answers

In the case of a ticket to the musical Hamilton purchased for $457.00 with a face value of $259.00, it is important to determine whether the face value price is above, below, or equal to the equilibrium price.

When purchasing a ticket for a show, it is common for the face value price to differ from the actual price paid. This can occur for a variety of reasons, including supply and demand, market competition, and ticket reselling.

The face value price of $259.00 is below the price paid ($457.00), indicating that the market price for the ticket was higher than the face value due to supply and demand.

When the demand for a show is high and there is a limited supply of tickets, market forces drive up the price of tickets above their face value.

In this case, the verified ticket reseller was able to sell the ticket for a higher price due to the high demand for the musical Hamilton.

The price paid ($457.00) is the equilibrium price, meaning it is the price at which the quantity of tickets supplied and the quantity of tickets demanded are equal.

The market forces of supply and demand determine the equilibrium price, and in this case, the high demand for the musical Hamilton pushed the market price above the face value.

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TRUE/FALSE. a conflict of interest occurs when an activity may benefit the individual to the detriment of his or her employer.

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When a person's interests are at odds with those of his or her employer, a conflict of interest arises. This statement is true.

A conflict of interest is a situation in which an individual has competing loyalties or interests that may compromise their judgment or loyalty to their employer. When an individual's personal interests and obligations clash with those of their employer, it creates a conflict of interest.

For example, if an employee has a financial interest in a company that they are negotiating a contract with on behalf of their employer, it creates a conflict of interest. In this scenario, the employee's personal interest in the success of the company they have a financial stake in may influence their decision-making, potentially benefiting themselves at the expense of their employer.

Therefore, it is crucial for individuals to avoid conflicts of interest and disclose any potential conflicts to their employer in order to maintain the integrity and credibility of their work and relationships.

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In the context of open market operations, when inflation is a concern, the Fed sells securities to buyers who write checks to the Fed to pay for securities they bought, and the Fed withdraws these funds from banks. With fewer funds, credit become tighter. True/false?

Answers

In the context of open market operations, when inflation is a concern, the Fed sells securities to buyers who write checks to the Fed to pay for securities they bought, and the Fed withdraws these funds from banks. With fewer funds, credit become tighter is true statement.

When inflation is a problem in the context of open market operations, the Fed sells assets to buyers who send checks to the Fed to pay for the securities they purchased, and the Fed takes these monies out of banks. It is true that credit becomes more difficult when resources decrease.

According to the Federal Reserve System's documentation, the Fed's goals are to oversee and control banking institutions, maintain the stability of the financial system, make decisions about the nation's monetary policy, and provide financial services to deposit institutions, the US government, and official foreign institutions.

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Which of the following is an asset exchange transaction?
Multiple Choice
a. Issued common stock
b. Paid a cash dividend to stockholders
c. Collected cash from customers in settlement of accounts receivable
d. Accrued salary expense

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Three distinct types of asset source transactions that grow an asset and a claim on an asset are purchases from owners, borrowing from creditors (liabilities), and earnings from activities. (A) Common stock that has been issued might be seen in an asset exchange transaction.

What is an asset source transaction?

Acquisitions from owners (equity), borrowing from creditors (liabilities), and earnings from operations are three different forms of asset source transactions that increase an asset and a claim on assets (revenues).

In most cases, a business's assets are the result of the initial investment made by its owner or owners.

Depending on the type of commerce, this could take the form of money, real estate, machinery, supplies, unfinished goods, inventory, vehicles, loans, buildings, pre-paid expenses, revenue from the firm, and notes.

A transaction exchanging assets is an example of issued common stock.

Asset use transactions include the use of assets, such as cash, to settle debts or fund additional expenses deemed necessary by the company.

Therefore, three distinct types of asset source transactions that grow an asset and a claim on an asset are purchases from owners, borrowing from creditors (liabilities), and earnings from activities. (A) Common stock that has been issued might be seen in an asset exchange transaction.

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Complete question:

Which of the following is an asset source transaction?

Multiple Choice

a. Issued common stock

b. Paid a cash dividend to stockholders

c. Collected cash from customers in settlement of accounts receivable

d. Accrued salary expense

Which of the following options will cause a decrease in the margin of error for a confidence interval? () Increase the confidence () Decrease the sample size () Decrease the confidence level () Decrease the sample size and increase the confidence

Answers

Decrease in confidence level will cause a decrease in the margin of error for a confidence interval .

What does the term "confidence interval" mean?

The uncertainty surrounding an estimate is described by a confidence interval, which is a range of numbers.

                             A claim of 95% confidence in statistics essentially means that the researcher has observed one conceivable interval out of many possible ones, and that 19 out of 20 of those intervals contain the correct value of the parameter.

What reduces the margin of error?

The margin of error shrinks as sample size grows. The margin of error expands along with population heterogeneity. The margin of error expands along with the confidence level.

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in additon to the measures descirbed in the excerpt, what other controvel measure characterized this strike

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In order to control inflation, there are several measures that governments and central banks can implement, such as controlling the money supply, adjusting interest rates, or implementing price controls.

In order to control inflation, there are several measures that governments and central banks can implement, such as controlling the money supply, adjusting interest rates, or implementing price controls. Additionally, there may be other measures specific to the strike or the economic situation, such as wage controls, fiscal policy adjustments, or international trade agreements. These measures are put in place to stabilize the economy and control the rate of inflation, thereby improving the overall well-being of society.

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The primary reason a physical inventory is taken is to: Ensure the periodic inventory record is valued correctly. Ensure the perpetual inventory record is being stored in a secure manner. Both ensure the periodic inventory record is being stored securely and that it is valued correctly. Adjust the perpetual inventory record for unrecorded shrinkage losses.

Answers

The primary reason a physical inventory is taken is to: adjust the perpetual inventory record for unrecorded shrinkage losses.

A physical inventory is a count of the items in stock. This can include counting, weighing, and measuring objects, as well as requesting counts of inventory items entrusted to third parties.

If a company keeps inventory records for every item in stock, the physical counts are confirmed to the recorded balances, and the recorded quantities are adjusted to reflect the physical counts.

A physical inventory can guarantee an accurate inventory count. Each piece of inventory is physically counted by staff. This physical inspection of products should validate the information contained in the inventory management system report. Any disparity should alert you to the existence of another problem and potential losses.

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Suppose that when converting to the same currency values, the nominal GDP per capita in the fictional country of Islandia is 25 percent higher than the nominal GDP per capita in the fictional country of Mountainia. However, the purchasing power for the same amount of Islandia currency is about 40 percent lower in Islandia than in Mountainia. If we use Islandia as the base country for comparison, the PPP-adjusted GDP per capita in Mountainia is ________ its nominal GDP. Which country has the higher average standard-of-living? a. Mountaina
b. both are equal
c. it is not possible to detemine
d. Islandia

Answers

c. It is not possible to determine.

It is not possible to determine which country has a higher average standard of living based on the information provided.

The nominal GDP per capita in Islandia is 25 percent higher than in Mountainia, but the purchasing power for the same amount of currency is 40 percent lower in Islandia, which would mean that the same amount of goods and services cost more in Islandia.

The PPP-adjusted GDP per capita in Mountainia compared to its nominal GDP is also not specified.

To determine which country has a higher average standard of living, it would be necessary to have more information about factors such as the cost of living, quality and availability of goods and services, and other relevant economic indicators.

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holding judgment, paying attention, summarizing, sharing, reflecting, clarifying, roll over each phrase to see a behavior related to active listening. then drag the item to the most relevant step:

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Active listening is a critical skill that involves being fully present and engaged with the speaker.

Holding judgment: This involves refraining from forming opinions or making assumptions about what the speaker is saying, and instead, keeping an open mind.

Paying attention: This involves focusing on the speaker, avoiding distractions, and giving them your full attention.

Summarizing: This involves paraphrasing or summarizing what the speaker has said to show that you have understood their message.

Sharing: This involves expressing your own thoughts, opinions, or feelings in response to the speaker's message.

Reflecting: This involves thinking about the speaker's message and its meaning, and considering how it might relate to your own experiences or perspectives.

Clarifying: This involves asking the speaker questions to ensure that you have understood their message accurately and to seek additional information.

Most relevant step:

Holding judgment: Before engaging in active listening, it is important to set aside any biases or judgments that might prevent you from fully understanding the speaker's message.

Paying attention: This is the first step in active listening, as it is important to be fully present and focused on the speaker in order to understand their message.

Summarizing: After paying attention, it is important to summarize the speaker's message to show that you have understood it and to ensure that there is no miscommunication.

Sharing: After understanding the speaker's message, it can be helpful to share your own thoughts, opinions, or feelings in response.

Reflecting: After sharing, it is important to reflect on the speaker's message and consider its meaning, in order to gain a deeper understanding.

Clarifying: Finally, it is important to clarify any misunderstandings by asking questions or seeking additional information, in order to ensure that the communication has been effective.

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Draw a production possibilities frontier showing increasing opportunity cost of wine in terms of cloth.
a. On the graph, identify the area of feasible outcomes and the area of infeasible outcomes. (0.5pt)
b. On the graph, label a point that is efficient and a point that is inefficient. (0.5pt)
c. On the graph, illustrate the effect of the decreasing population which leads to a decrease in the labor hours, a resource needed to make both wine and cloth, on this economy. (0.5pt)
d. On a second graph, illustrate the effect of a new computerized assembly line in the production of wine on this economy (0.5pt)

Answers

Show the economic impact of the declining population, which causes a reduction in labor hours a resource required to produce both wine and cloth on the graph.

What is opportunity cost?

The worth of other goods or services you must forsake in order to obtain your desired item is known as the opportunity cost. The term "cost" as used by economists typically refers to opportunity cost. The opportunity cost is the sum of the money that could be spent in other ways and the time spent studying.

Opportunity cost, as used in economics, refers to the values or advantages that a firm, business owners, or organizations sacrifice when they select one alternative over another when making decisions about their operations.

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on the statement of cash flows, _____ is related to an operating activity. multiple choice a. increase in net fixed assets b. decrease in accounts payable c. purchase of equipment d. dividends paid e. repayment of long-term debt

Answers

(B) Decrease in accounts payable is associated with an operating activity on the statement of cash flows.

The portion of a company's cash flow statement called cash flow from operations shows how much money the business generates over time by carrying out its daily operations.

By monitoring an organization's cash flow, a CFS is a crucial tool for managing finances. One of the three main reports that determine a company's performance is this one. A cash flow statement, also known as a statement of cash flows, is a financial document that breaks down the analysis into operating, investing, and financing operations. It shows how adjustments to income and balance sheet accounts impact cash and cash equivalents.

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Which of the following would generally be considered the most risky for an annual holding period (with respect to volatility of annual returns)?
a. an investment in a portfolio of common stocks
b. an investment in a single common stock randomly selected
c. an investment in a single corporate bond randomly selected
d. an investment in a portfolio of corporate bonds
e. do not know

Answers

Generally, an investment in a single common stock randomly selected is considered the most risky among the options given, with respect to the volatility of annual returns.

Investing in a single common stock exposes the investor to the performance and financial health of that specific company, whereas a portfolio of stocks spreads the risk among multiple companies and industries, reducing the overall volatility of the portfolio. On the other hand, investment in corporate bonds generally tend to be less volatile compared to stocks, as bonds are considered relatively safer investments, as they are essentially loans to the issuing company. An investment in a portfolio of corporate bonds can further reduce the volatility. In conclusion, it is important to keep in mind that the volatility of returns is just one aspect of risk, and that all investment options come with their own unique set of risks and benefits. It is advisable to seek professional advice and carefully consider an individual's financial goals, risk tolerance, and investment horizon before making any investment decisions.

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Determine whether each of the following tops would more likely be studied in microeconomics or macroeconomics: A consumer's optimal choice when buying a flat-screen TV ,The government's decision on how much to spend on public projects ,The effect of an increase in consumer income on demand for smart phones

Answers

A consumer's optimal choice when buying a flat-screen TV: Microeconomics. The government's decision on how much to spend on public projects: Macroeconomics.

The effect of an increase in consumer income on demand for smart phones: Microeconomics. The effect of an increase in the interest rate on the stock market: Macroeconomics. The interest rate on the stock market varies depending on the type of security and the market conditions.

Generally speaking, stocks tend to offer higher returns than bonds, but the rate of return can vary depending on the individual stock and market conditions. Additionally, some stocks may pay dividends which can also affect the rate of return.

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Compared to a purely competitive industry, a monopolist will

Select one:

a.
have higher quantity and lower price.


b.
have higher quantity and higher price.


c.
have lower quantity and lower price.


d.
have lower quantity and higher price.

Answers

Compared to a purely competitive industry, a monopolist will have a lower quantity and higher price. Thus the correct option is D.

What is Monopolist?

A monopoly is a market structure in which there is just one sizable company that controls the whole sector. The right to manage the product supply and market pricing belong to this one company.

While there are multiple buyers and sellers in a market that is entirely competitive, a monopoly is characterized by a single seller and many buyers, which results in a higher price being set.

Therefore, option D is appropriate.

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"a measure of the market value of all final goods and services produced in a given year, adjusted for price changes''is the meaning of?

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"A measure of the market value of all final goods and services produced in a given year, adjusted for price changes ''is the meaning of Real GDP.

GDP estimates the monetary worth of final products and services (those purchased by the final user) generated in a country over a certain time period (say a quarter or a year).

It includes all of the output produced within a country's borders. GDP is made up of commodities and services generated for market sale as well as certain nonmarket production, such as government-provided defense or education services.

A different concept, gross national product, or GNP, accounts for all of a country's output. So, if a German-owned corporation has a factory in the United States, the production of that factory is included in both US GDP and German GNP.

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Fashion Design
Besides brand, what other information is listed on a garment label?
Select all that apply.

- care instructions
- garment price
- technology used
- fiber percentage

Answers

In fashion Design, besides brand, the information is listed on a garment label is garment price. The correct option is (B).

What do you mean by garment label?

A label for a garment is more than just a scrap of material. It converses with the client. It is a feature that makes the client notice the outfit. It explains what the product is in its truest form. Today's labels genuinely aid in the sale of a garment.

It also shows the price which can make the consumer's mind set whether that thing affordable or not.

It directs us regarding care and the components of the clothing. It facilitates brand name and logo recognition.

Therefore, in fashion Design, besides brand, the information is listed on a garment label is garment price.

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If the normal distribution is used to estimate losses when the true loss distribution is in fact positively skewed, which of the following errors will occur?
A. The maximum probable loss will be overestimated. B. The maximum probable loss will be underestimated. C. The standard deviation will be underestimated. D. The standard deviation will be overestimated.

Answers

If the normal distribution is used to estimate losses when the true loss distribution is in fact positively skewed, in that case, Option B. The maximum probable loss will be underestimated.

In a distribution that is positively skewed, the mean, median, and mode are all positive rather than zero or negative, meaning that the data distribution is more skewed to one side of the scale with a lengthy tail to the right.

It is sometimes referred to as a right-skewed distribution because the mean typically lies to the right of the median of the data.

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if you want to find detailed internal company information about employees during your exploration, you hope that the company has .

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If you prefer to discover specific internal employer statistics about personnel for the duration of your exploration, you hope the agency has a facts warehouse.

What is statistics warehouse with example?

Data Warehousing integrates records and statistics gathered from a number of sources into one comprehensive database. For example, a facts warehouse would possibly combine consumer facts from an organization's point-of-sale systems, its mailing lists, website, and remark cards.

A records warehouse is a central repository of statistics that can be analyzed to make extra knowledgeable decisions. Data flows into a data warehouse from transactional systems, relational databases, and other sources, generally on a normal cadence.

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Which of the following are primarily responsible for the information provided in a company's financial statements? A.The internal and external auditors. B.The Securities & Exchange Commission (SEC) and the external auditors. C.The chief executive officer (CEO) and the chief financial officer (CFO). D.The external auditors and the board of directors. C. The CEO and CFO are primarily responsible for the content of a company's financial statements.

Answers

C. The CEO and CFO are primarily responsible for the content of a company's financial statements(C).

The CEO and CFO, as the top executives of the company, are ultimately responsible for the accuracy and reliability of the financial information presented in the company's financial statements.

They are responsible for ensuring that the financial statements accurately reflect the company's financial position and performance, as well as for ensuring compliance with accounting standards and legal requirements.

However, it is important to note that the CEO and CFO are not solely responsible for the preparation of the financial statements. They are assisted by the finance and accounting departments and may also work with internal and external auditors to verify the accuracy of the financial information.

The external auditors, who are independent of the company, are responsible for conducting a thorough review of the financial statements and issuing an opinion on the company's financial position.

In conclusion, while the CEO and CFO have primary responsibility for the content of a company's financial statements, they work with other stakeholders, including internal and external auditors, to ensure the accuracy and reliability of the information provided.

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Do you think brain drain is a form of modern slavery?

Answers

yes it is a euphemism for modern slavery

On June 30, 2020, Mischa Auer Company issued $4,000,000 face value of 13%, 20-year bonds at $4,300,918, a yield of 12%. Auer uses the effective-interest method to amortize bond premium or discount. The bonds pay semiannual interest on June 30 and December 31.

Answers

The issuance of the bonds on June 30, 2020. Dr Cash 4,300,918 and Cr Bonds payable 4,000,000 which turns into Cr Premium on bonds payable 300,918.

What are bonds?

Bonds are fixed-income securities that reflect loans from investors to borrowers (typically corporate or governmental).

A bond can be compared to an agreement outlining the terms of the loan and the associated payments between the lender and borrower.

Companies, municipalities, states, and sovereign governments utilize bonds to finance operations and initiatives. Bondholders are the issuer's debtors or creditors.

Bond specifications typically include the terms for variable or fixed interest payments made by the borrower, as well as the end date by which the principle of the loan is expected to be paid to the bond owner.

Bonds have maturity dates, after which the full principal must be repaid to avoid default.

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TRUE/FALSE. it is essential an individual finds a balance amongst all eight dimensions to achieve optimum wellness.

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True To reach optimum wellness, a person must find a balance across all eight dimensions.

Why are the eight facets of wellness significant?

Eight interdependent components make up wellness: financial, emotional, physical, occupational, social, spiritual, and intellectual. One's health, wellbeing, and quality of life will suffer if one of these dimensions is neglected over time.

Is it accurate to say that the six dimensions of health must be balanced for overall health to exist?

People who are in a state of wellness have long-term equilibrium in all six areas of health. Everyone experiences ups and downs in different areas of their lives, but a person who is well-adjusted constantly works to improve their six dimensions of health.

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When Breyers sells Oreo Cookies and Cream ice cream, Breyers purchases ground Oreo cookies for inclusion in the ice cream and prominently displays the Oreo name on its packaging. This is an example of ________.A) shaping
B) licensing
C) modeling
D) family branding
E) chunking

Answers

When Breyers sells Oreo Cookies and Cream ice cream, Breyers purchases ground Oreo cookies for inclusion in the ice cream and prominently displays the Oreo name on its packaging. This is an example of: Licensing.

Licensing is characterized as a business plan, wherein an organization approves one more organization by giving a permit to briefly get to its protected innovation privileges, for example fabricating process, brand name, copyright, brand name, patent, innovation, proprietary advantage, and so on for sufficient thought and under indicated conditions.

The firm that allows one more firm to utilize its intangible assets is the licensor and the firm to whom the permit is given is the licensee. An expense or eminence is charged by the licensor to the licensee for the utilization of protected innovation freedoms.

For instance: Under licensing system, Coca-Cola and Pepsi are globally created and sold, by nearby bottlers in various nations

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HELP! THE WORK IS ATTACHED! 100 points!

Answers

Selling strategy are important, as in this context, because its helps to plan for the future, assess problems and manage different approaches across the organisation. The best sales strategy would be having an objective with a plan that can be continuously reviewed over time.

Description of the product the company sells:This company sells items like Phones, Laptops, Headphones, Apple CarPlay, Chargers.

Which needs in Maslow's hierarchy does this product appeal to or why would customers want this product?Apple items, such as phones, tablets, and computers, are used to interact with others, so I believe it belongs in the social level.

Role a sales person would play in selling this type of product. How much help would customers be likely to need from the sales person?They will assist in the marketing of the product they are selling by offering examples that would aid in the sale of the product. The more the product does, the higher the fee paid to the salesperson. They will probably not need much assistance, as a salesperson's primary duty is to help the company market its product or service effectively

Sales methods to work best for selling this product?I would do it on a few different websites. as a result of the pandemic If the pandemic was over, the safest place to be would probably be in a Cellphone store. Since so many people watch television, I will often advertise on television advertisements. or I'd use social media to advertise because I know a lot of teenagers and young adults who love apple and use social media.

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shown here are astronomical objects located at different distances from earth. rank the objects based on their distances from earth, from farthest to nearest.

Answers

The objects based on their distances from earth, star on far side of Andromeda Galaxy being the farthest and The Sun being the nearest.

The ranking goes this way:

star on far side of Andromeda Galaxy

star on far side of Milky Way Galaxy

star on near side of Andromeda Galaxy

star near center of Milky Way Galaxy

Alpha Centauri

Orion Nebula

Pluto

The Sun

It is important to note that this ranking assumes that all objects are located at a fixed distance from Earth. In reality, the distances between Earth and astronomical objects are constantly changing due to the motions of both Earth and the objects themselves. Additionally, some of the listed objects, such as the Orion Nebula and the Alpha Centauri star system, are actually composed of multiple stars and may span a significant portion of the sky.

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The number one reason for the failure of new business is A poor marketing B poor management C insufficient cash D taking too many risks

Answers

The number one reason for the failure of new business is taking too many risks. Thus option (D) is correct.

What is a business?

A business can be referred to as an organization or enterprising entity that engages in professional, commercial or industrial activities. There are different types of businesses like sole proprietorships, partnerships, corporations, and more.

The businesses are basically work for profit motive. Businesses can be small-scale or large-scale. Some of the biggest businesses in the world are Amazon and Walmart.

The number one reason for the failure of new business is taking too many risks. Therefore, option (D) is correct.

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Which of the following is among the three competitive factors that impact only Internet sales and market share in a region? Company expenditures for brand advertising The number of branded models/styles that each company has designed and produced for exclusive sale at its website--such models/styles cannot be obtained anywhere else The S/Q rating of the branded footwear each company sells to online buyers Company expenditures to support the online merchandising efforts of third-party online retailers of athletic footwear Whether a company offers free shipping on buyer orders or requires customers to pay the shipping charges 

Answers

The three competitive factors that impact only Internet sales and market share in a region is whether a company offers free shipping on buyer orders or requires customers to pay the shipping charges. Thus the last option is correct.

What are Internet sales?

When a client places an order for a specific product through an e-commerce website and uses the internet as a purchasing platform, this is referred to as an "Internet Sale." It also includes product marketing and advertising.

Since the order is delivered through ports and customers must pay for shipping, whether a business offers free shipping on client orders or charges them, it falls under internet sales.

Therefore, the last option is appropriate.

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if someone was to conduct a study in the field of microeconomics, which of the following questions might they attempt to answer?

Answers

If someone was to conduct a study in the field of microeconomics, of the following questions might they attempt to answer When will a firm decide to expand, downsize, or close?

When should a company eventually leave the market?

In the long run, if the price is less than the average total cost and the company can recover both fixed and variable costs, it will decide to quit. Profits are eventually driven to zero in a market with open entrance and exit, and all businesses are operating at their optimal scale.

What aspects would influence when you enter and leave a market?

Profit is the main factor that determines whether a company enters and leaves a market. Since free entry and exit are necessary for ideal competition, new businesses will enter if the old ones are earning a profit.

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Which of the following transactions affects both retained earnings and net income?
a. The payment of a cash dividend.
b. The recording of revenue for services provided.
c. The issue of stock in exchange for cash.
d. The borrowing of money from a bank.

Answers

b. The recording of revenue for services provided. Retained earnings and net income are both impacted by the recording of revenue for transactions involving services delivered.

Retained earnings are the percentage of a firm's net income that is held by the company for future investment or other uses rather than being distributed as dividends. After all costs have been deducted, a company's net income shows the profit it has made.

The amount of retained earnings grows as a corporation records revenue for services rendered, which likewise raises net income. The transaction results in a rise in net income and retained profits. Retained profits and net income are unaffected by the distribution of cash dividends, the issuance of shares in return for cash, or the borrowing of funds from a bank.

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Your investment club has only two stocks in its portfolio. $35,000 is invested in a stock with a beta of 0.9 and $50,000 is invested in a stock with a beta of 1.5. What is the portfolios beta?

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The volatility of a stock in proportion to the economy as a whole is measured by beta. It is frequently used to assess the danger of a stock.

A beta of 1 means that the stock is as volatile as the market, a beta less than 1 means that the stock is less volatile than the market, and a beta greater than 1 means that the stock is more volatile than the market. A portfolio's beta represents the combined risk of all the stocks in the portfolio. To calculate a portfolio's beta, you need to weight the beta of each stock by the fraction of the total portfolio invested in that stock, and then sum these weighted betas. For example, if you have a portfolio with two stocks, Stock A and Stock B, and you have invested $35,000 in Stock A and $50,000 in Stock B, the fraction of the portfolio invested in each stock would be:

Stock A: $35,000 / ($35,000 + $50,000) = 0.4117

Stock B: $50,000 / ($35,000 + $50,000) = 0.5883

These fractions represent the weight of each stock in the portfolio. We can now use these weights to calculate the weighted beta of each stock:

Stock A: 0.4117 * Beta(Stock A) = 0.4117 * 0.9 = 0.3703

Stock B: 0.5883 * Beta(Stock B) = 0.5883 * 1.5 = 0.8825

Finally, the portfolio beta is the sum of the weighted betas:

0.3703 + 0.8825 = 1.2528

So, in this case, the beta of the portfolio is approximately 1.25, meaning that the portfolio is slightly more volatile than the market as a whole. It's important to note that beta is just one of many factors to consider when evaluating the risk of a portfolio. Other factors, such as the correlation between the stocks in the portfolio and the diversification of the portfolio, can also play a role in determining the overall risk of a portfolio.

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