The partnership or approach increased the amount of profits the business realised. The rule of experience is demonstrated in this situation.
A rise in profit tells us what, exactly?If a business has a large net profit margin, it may successfully manage its costs and/or charge a price that is much greater than its costs. In light of this, a high ratio may be caused by: effective administration. Low costs (expenses) effective pricing tactics.
What factors boost the profit margin?
By increasing revenues, such as through the sale of additional goods or services or by raising pricing, businesses can raise their net margin. By cutting costs, businesses can boost their net margin.
The following question is incomplete , complete question is as follows:Indigo Inc. experienced a drop in the price of each product as the overall volume of
production increased. This relationship or method caused an increase in profits accrued
by the company. This is an example of the _____.
A. law of motion
B. law of experience
C. law of value
D. law of knowledge
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3. a book publisher has fixed costs of $300,000 and variable costs per book of $8.00. the book sells for $23.00 per copy at retail price. a) how many books must be sold to break even?
There are $20,000 books that must be sold to break even.
The break-even point is a financial metric that represents the level of sales or revenue at which a company's total costs and total revenue are equal. In other words, it's the point at which a business is no longer operating at a loss and begins to generate profit.
To break even, the publisher must generate enough revenue to cover its costs. In this case, the publisher has fixed costs of $300,000 and variable costs per book of $8.00.
To calculate the number of books that need to be sold to break even, we can use the following formula:
Break even point = Fixed costs / (Retail price - Variable cost per book)
Plugging in the numbers, we get:
Break even point = $300,000 / ($23.00 - $8.00)
Break even point = $300,000 / $15.00
Break even point = 20,000 books
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bankers differ from investors in that question 23 options: bankers are looking for a return on equity. bankers are looking for company growth. bankers are looking for assurances of interest payments and repayment of the principal of the loan. all of these.
Last option is correct. Bankers differ from investors in that they require interest payments and guarantees of repayment of the loan amount.
Lenders use these factors to determine whether to approve a financial product, so the He 5 C's of credit are important. Lenders use these five Cs (Character, Capacity, Principal, Collateral, and Terms) to set lending rates and lending terms.
The 5 Cs of Credit is a system used by lenders to assess the creditworthiness of potential borrowers. The system weighs the borrower's five characteristics against the terms of the loan and attempts to estimate the probability of default and the consequent risk of financial loss for the lender. The 5 C's of credit are character, ability, principal, collateral, and terms.
The 5 C's of credit are used to communicate the creditworthiness of potential borrowers, starting with the applicant's personality, which describes their credit history.
Capacity is the debt to income ratio (DTI) of the applicant. Capital is the amount that the applicant has. Collateral is an asset that can guarantee a loan or act as security. The terms are the purpose of the loan, the amount of the loan, and the general interest rate.
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given the d2 demand curve for papayas, at a price of $2.00 each, how many papayas are consumers willing and able to purchase?
The demand curve represents the relationship between the price of a good and the quantity of the good that consumers are willing and able to purchase.
The specific demand curve for papayas will depend on many factors, such as the availability of substitute goods, consumers' income and tastes, and other economic and non-economic factors. At a price of $2.00 per papaya, the quantity of papayas that consumers are willing and able to purchase can be determined from the demand curve. If the demand curve is downward sloping, it means that as the price of papayas increases, the quantity demanded will decrease and vice versa. The precise quantity of papayas demanded at a price of $2.00 will depend on the shape of the demand curve and the position of the demand curve in relation to the origin. In general, the demand curve can shift to the right if there is an increase in consumer income, a change in taste, or an increase in the population, which would lead to an increase in the quantity demanded at every price. On the other hand, the demand curve can shift to the left if there is a decrease in consumer income, a change in taste, or an increase in the price of substitute goods, which would lead to a decrease in the quantity demanded at every price. In conclusion, the precise quantity of papayas demanded at a price of $2.00 can only be determined by looking at the demand curve for papayas, which would depend on various economic and non-economic factors.
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which sources of funding are risks that may cause entrepreneurs to lose some of their personal money? more than one answer may be correct.
Entrepreneurs are subject to a variety of risks, including those related to insolvency, finances, competition, the environment, reputation, politics, and the economy.
Who is an entrepreneur, exactly?
An entrepreneur is someone who starts a new business, takes the biggest risks, and reaps the biggest benefits. Starting a business is an act of entrepreneurship.
In general, people think of entrepreneurs as creators of novel concepts, goods, services, and companies/processes.
Entrepreneurs must make sensible financial plans and demonstrate to investors their willingness to take risks by developing a realistic business strategy.
What does business risk entail?
Risk is the possibility that something negative will occur, to put it simply. Risk is frequently concerned with unfavourable and unwanted consequences and involves the uncertainty of how an action will affect what others value.
Business risk is the possibility that a business or organisation may be exposed to elements that will lower their earnings or lead to its demise. A business risk is anything that compromises a company's capacity to meet its financial objectives.
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f a lease modification substantially lengthens the amount of time the lessee has the right to use an asset, it is possible that the lessee might need to switch its lease classification from to .
A lease modification that significantly extends the lessee's right to use an asset may cause a change in the lease classification from an operating lease to a capital lease.
This is because a capital lease is a type of lease where the lessee has the right to use an asset for a substantial portion of the asset's economic life, while an operating lease is a type of lease where the lessee only has the right to use an asset for a limited period of time. A capital lease is accounted for as a purchase on the lessee's balance sheet, while an operating lease is recorded as a rental expense on the lessee's income statement.
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Imagine that you have no money and you have to leave home and live by yourself. Make a list of the ten most important things that you would take with you and explain why.
Answer:
food clothes water
Explanation:
their the basic needs of an individual
why is it important for companies to market globally?
International marketing is important because it opens your business to larger, international audiences.
A market is defined because the sum total of all of the consumers and dealers within the region or region under attention. The region can be the earth, countries, regions, states, or towns. The fee, value, and rate of items traded are in step with forces of delivery and call for in a market.
A market can be known as the 'to be had market' - that of all the human beings within the region. inside the available market, there's the 'marketplace minimum'- or the marketplace length, with the intention to buy goods with no marketing effort. this is the bottom sale that an agency could get without any movement on its component. In today's international, this level is sinking ever lower. there is additionally the 'market ability', which is the most marketplace length as a way to buy items while subjected to the finest advertising and marketing activities that an organization can do. beyond this market capacity, the prices outweigh the profits. The market capability is therefore the higher restriction for a market and sales.
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unit materials state several reasons for ensuring that technical communication is honest. the first is that it is the right thing to do. what is one other reason?
Another reason for ensuring that technical communication is honest is that it builds trust and credibility with the audience.
When technical communication is transparent and accurate, it creates a sense of reliability and trust in the information being presented. This is especially important when making important decisions or taking action based on the information being communicated.
Honest technical communication helps to establish a reputation for honesty and expertise, which can be valuable in building relationships and gaining the trust of others in both personal and professional settings.
Inaccurate or misleading information can quickly undermine the credibility of the communicator and the information being presented.
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jones company has fixed costs totaling $48,000 per month, the variable cost per unit is $60, and selling price per unit is $100. current sales are 1,500 units. what is the margin of safety in units?
If current sales are 1,500 units then the margin of safety in units will be 300 units.
A built-in cushion called a margin of safety enables some losses to be suffered without having a significant negative impact. To identify a price objective and a safety margin that discounts that target in investing, the margin of safety combines quantitative and qualitative factors.
The difference between anticipated sales and the breakeven point in units is known as the margin of safety.
Calculate the breakeven in units by Fixed costs / Contribution margin per unit. In this case,
= $48,000 / ($100 - $60) = 1,200 units.
Then take current sales of 1,500 - 1,200 units for breakeven = 300 units margin of safety.
Therefore, the margin of safety in units will be 300 units.
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Vijay, Vivek and Vinay are partners in a business sharing profits as 3/4, 1/8 and 1/8 respectively and their Balance Sheet as at 31st March, 2020 was: Liabilities Rs. Assets Rs. Capital A/c: Vijay- 5,00,000 Vivek- 3,00,000 Vinay- 2,50,000 General Reserve Loan by Vinay Creditors 10,50,000 50,000 50,000 2,50,000 Plant Debtors Stock Cash Bank 5,00,000 4,00,000 2,00,000 50,000 2,50,000 14,00,000 14,00,000 Vinay died on 31st December, 2020 and the Partnership Deed provided the following: (a) The deceased partner will be entitled to his share of profits up to the date of death, calculated on the basis of previous year’s profits. (b) He will be entitled to his share of goodwill of the firm, calculated on the basis of three years’ purchase of the average profits of the four years. The net profits for the last four years ended 31st March, 2017 – Rs. 8,00,000; 2018 – Rs. 6,00,000; 2019 – Rs. 4,00,000 and 2020-Rs 2,00,000. His drawing up to the date was Rs 18,000
Vinay's share of profits + Vinay's share of goodwill + Vinay's drawings = 62,500 + 1,87,500 + 18,000 = 2,68,000
How the answer was obtained To calculate Vinay's share of profits up to the date of death (31st December, 2020), we need to calculate the average profits for the last four years and multiply that by his profit-sharing ratio (1/8).Average profits = (8,00,000 + 6,00,000 + 4,00,000 + 2,00,000) / 4 = 5,00,000
Vinay's share of average profits = 5,00,000 * 1/8 = 62,500
To calculate the goodwill of the firm, we need to multiply the average profits by three years' purchase:Goodwill = 3 * 5,00,000 = 15,00,000
Vinay's share of goodwill = 15,00,000 * 1/8 = 1,87,500
So, the total amount that Vinay is entitled to is:
Vinay's share of profits + Vinay's share of goodwill + Vinay's drawings = 62,500 + 1,87,500 + 18,000 = 2,68,000.
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low p/e ratios tend to indicate that a company will , ceteris paribus. a. grow quickly b. grow at the same speed as the average company c. grow slowly d. p/e ratios are unrelated to growth. e. none of the options
The correct OPTION A Low p/e ratios tend to indicate that a company will grow quickly, ceteris paribus. Low Prices and Profits Value stocks are a common term used to describe ratio firms. Their stock prices trade below their fundamentals, which indicates that they are undervalued.
Investors will purchase the stock as a result of this mispricing in order to take advantage of the fantastic deal before the market corrects it. The P/E ratio, or price to earnings ratio, demonstrates what the market is ready to pay now for a stock based on its current or projected earnings. A high P/E ratio could indicate that a stock is overvalued and its price is excessive in relation to its earnings.
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a publisher for a promising new novel figures fixed costs at $40,077 and variable costs at $2.81 for each book produced. if the book is sold to the distributors for $13 each, how many books must be produced and sold for the publisher to break even?
The publisher must produce and sell 14,253 books in order to break even.
This can be calculated using the following formula:
Break Even Point (in units) = Fixed Costs / (Price - Variable Costs)Break Even Point (in units) = 40,077 / (13 - 2.81)Break Even Point (in units) = 14,253In order for the publisher to break even on a promising new novel, they must produce and sell 14,253 books. This will allow them to cover their fixed costs of $40,077 and their variable costs of $2.81 per book. By selling the books to distributors for $13 each, they will be able to break even and have no profit or loss.
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true or false: the primary purpose of effective tax planning is to minimize taxable income, thus minimizing a taxpayer's tax liability for the year.
true. The basic goal of good tax planning is to reduce a taxpayer's tax burden for the year. This is usually performed by seeking ways to minimize taxable income.
either by taking advantage of tax deductions and credits or by reorganizing financial operations in such a manner that the amount of taxable income created is reduced. Effective tax planning needs a thorough grasp of the applicable tax rules and regulations, as well as careful consideration of the taxpayer's financial goals and objectives. Taxpayers may frequently decrease their tax bill and enhance their financial situation by carefully analyzing these aspects and taking use of tax-saving techniques.
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What competitive advantage does Apple use?
One of Apple's competitive advantages is its strong brand reputation and customer loyalty. Apple has successfully cultivated a brand image that is associated with high-quality, innovative, and user-friendly products.
This has helped the company to create a loyal customer base that is willing to pay a premium price for Apple products. Another advantage is Apple's focus on design and aesthetics. Apple products are known for their sleek and stylish designs, which have become important to the company's brand identity. This design focus has helped Apple differentiate its products from competitors and attract customers who value aesthetics and design.
Apple's ecosystem is also a competitive advantage. Apple has developed an ecosystem of hardware, software, and services that work seamlessly together, creating a cohesive user experience. This ecosystem helps to keep customers within the Apple ecosystem and makes it difficult for them to switch to competing products.
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Which bank service would typically offer the highest interest rate? A. Checking account. B. Basic savings account. C. Money market account
All beginning investors typically start with savings accounts as their first investment. The best candidates for a savings account are people with a regular source of income, such as a salary or any other type of income.
One can start off on the path to saves and gradually expand their investment portfolio with the help of this type of account, which has a wealth of advantages. The majority of banks in India provide a variety of Savings Account options, each of which is created to meet the demands of a distinct sort of clientele. The question of whether to choose a bank or a credit union when opening your financial accounts may cross your mind. In terms of convenience, the two are no longer that different, especially if the credit is available.
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the university hopes to raise more revenue by increasing student housing fees. this plan will work only if:
The success of a university's plan to raise revenue by increasing student housing fees depends on various factors.Originally, it requires a high demand for students casing, so that scholars are willing to pay the increased freights.
It's important to insure that the increased profit is effectively employed to ameliorate the quality of students casing and related services. This would help maintain or indeed increase the demand for casing.
likewise, the university should regularly assess and acclimate the casing freights in line with affectation and request trends. By considering these factors, the university can increase its profit from students casing in a sustainable manner
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How does whether a bank reorders transactions impact the cost of overdraft fees?
Pew recommends that banks process all transactions either chronologically or from low to high by dollar amount since processing transactions in this sequence causes account balances to drop faster.
Banks can rearrange the transactions such that the largest one is processed first rather than processing them chronologically, saving the customer from having to pay one overdraft fee for that final $100 transaction. Each charge in excess of $100 will incur an overdraft fee if the bank processes it first. Reordering transactions is the practise of banks and credit unions processing a consumer's checking account transactions in a different order than the order in which the transactions were made. Even if you technically have sufficient funds in your account to cover incoming purchases, banks might rearrange those transactions in a way that increases overdraft penalties, a practise known as debit resequencing.
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a popular burger joint has greatly reduced the size of its servings. many customers take to social media to complain. which action is most likely to discourage customers from returning?
Decreasing portion size of a burger without reducing prices is most likely to discourage customers from returning.
Decreasing the portion size of a burger without reducing the price is likely to be a deterrent for customers from returning. Customers generally expect to get what they pay for, and if the portion size has been reduced without a corresponding reduction in price, they are likely to be dissatisfied with their purchase.
This could lead to customers feeling like they are not getting value for their money, and they may choose to go to another restaurant instead. Additionally, customers may feel like they have been taken advantage of, which could lead to a negative perception of the restaurant and a reluctance to return in the future.
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based on the information in the table, what is the most the agency would be willing to pay the fifth operator?
Answer:
Explanation:
Agency theory is a principle that is utilized to elaborate and sort out issues in the relationship between business principals and their agents.
In general, that network is the one between shareholders, as principals, and company executives, as agents.
Agency theory attempts to elaborate and sort out disputes over the respective perspective between principals and their agents.
Principals depend on agents to implement certain transactions, which in agreement on priorities and methods.
The variation in priorities and interests between agents and principals is valid as the principal-agent difficulties.
Solving the differences in expectations is called "reducing agency loss ."
Performance-based compensation is a way that is utilized to gain a neutralization between principal and agent.
Common principal-agent relationships have shareholders and management, financial planners and their clients, and lessees and lessors.
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economists use the term money to refer to: assets used for transactions. earnings from labor. income. profits.
Economists use the term money to refer to assets used for transactions.
Money is any object or means of trade that is accepted by consumers to pay for products and services and to cover debt repayment. The world functions because of money. Money is necessary for economies to function and to fuel financial expansion. Economists are often the ones who define money, where it comes from, and how much it is worth.
Commodity money is a class of product that serves as money. For instance, American colonists conducted business with dried maize and beaver pelts in the 17th and early 18th centuries. These commodities were used to buy and sell other products because they had commonly recognised worth.
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What does the Ricardian model predict?
The Ricardian model is an economic model that predicts patterns of international trade and specialization based on differences in relative labor productivity between countries.
Specifically, the model predicts that countries will specialize in producing and exporting goods in which they have a comparative advantage, meaning they can produce them at a lower opportunity cost than other countries. This allows countries to consume a larger basket of goods than they could produce on their own.
In the Ricardian model, the relative productivity of labor is the only source of differences in comparative advantage between countries. Other factors that could influence trade, such as transportation costs or differences in factor endowments, are assumed to be equal across countries.
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the listing associate, betty principi, gives the seller the seller's disclosure notice. the seller says there is really nothing to disclose, and because he broke his writing hand playing golf, he asks betty to fill out and sign the form for him. which statement is true?
True, Betty can go through each area of the form and explain it, but she shouldn't check the boxes or sign the form on the seller's behalf.
A seller is someone who offers a good, service, or asset in exchange for cash. A seller could be a person, company, governmental entity, or another kind of group. A party who offers an asset they own or hold to another party for sale on the financial markets is known as a seller. In the options market, a seller could also be referred to as a writer. Sellers are individuals or businesses that trade goods and services for cash. A seller is a person or a business that offers securities that they already own to a buyer in the context of the financial markets.
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the u.s. government limits how many automobiles can be imported into the united states annually. this is a(n) group of answer choices quota export restraint agreement. import tariff. embargo.
The U.S. government limiting the number of automobiles that can be imported into the United States annually is an example of a). quota.
Quotas are government-imposed restrictions on the amount of a particular product that can be imported into a country. They are a form of trade protectionism that is used to limit the influx of foreign goods into a domestic market. In the case of the U.S. government limiting the number of automobiles that can be imported into the United States annually, the goal is likely to protect domestic car manufacturers from foreign competition and to support domestic jobs. Quotas are different from other trade restrictions such as tariffs and embargoes. Tariffs are taxes that are imposed on imported goods, while embargoes are complete bans on the import or export of a particular product. Export restraint agreements, on the other hand, are agreements between countries to limit the export of a particular product to another country, usually in order to ensure that domestic producers have enough of that product to meet domestic demand.
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ways of closing a sale include asking for the order and getting the buyer to make minor choices such as color or size. group of answer choices true
true. Asking for the order and allowing the buyer to make small adjustments such as color or size are two strategies to close a deal. Asking for the order is a basic.
and direct technique to finish a deal. It simply entails asking the consumer if they want to acquire the goods or service being given. Getting the customer to make small adjustments, such as color or size, may also be a good approach to complete a transaction. By including the buyer in the decision-making process, they will feel more involved in the transaction and will be more likely to complete the deal. Both of these strategies are frequently used in tandem with other sales techniques, such as establishing rapport with the buyer. By resolving any objections or issues they may have, in order to maximize the likelihood of completing the deal.
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explain how shareholders might have lost control over corporations, relative to incumbent management, over the years. cite three specific instances wherein incumbent management enacted governance changes which do not necessarily benefit the shareholder.
Different conflicts of interest may have an influence on a manager's choice to operate in the best interests of the shareholders. For instance, management may purchase other businesses to increase its authority.
Conflicts may occur if there are no regulations for share transfers or if one party sells their shares to a third party that the other shareholders find difficult to work with. However, conflicts can also occur if parties feel confined within the organisation with no way out. In order to align themselves with management and assure profit maximisation, stockholders have the right to influence how the business operates. They may cast a vote to carry out a decision, such removing a management. Additionally, managers may receive pay according on the success of the stock.
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dan has a much higher elasticity of demand for fish than most other people. compared to most other people, the incidence of a tax on fish for dan will be
Dan's curve is steeper than that of most other persons, hence the prevalence of a fish tax will be higher for Dan. Demand's price elasticity is high while supply's price elasticity is low.
Demand is often elastic inside the top half of the any cubic demand curve, which causes total revenue to move in the same direction as changes in quantity. There must be a decrease in price as well as a rise in the quantity requested to get from point A to B. In between these two locations, demand is elastic. If supply is totally inelastic, an excise duty has no impact on consumers, but the net price that producers receive is lower than the price that consumers pay by the full amount of the excise tax. Suppliers will be liable for the full tax burden under the exercise tax. Demand's price elasticity is high while supply's price elasticity is low. the government would receive less money from the tax.
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Dan's curve is steeper than that of most other persons, hence the prevalence of a fish tax will be higher for Dan. Demand's price elasticity is high while supply's price elasticity is low.
Demand is often elastic inside the top half of the any cubic demand curve, which causes total revenue to move in the same direction as changes in quantity. There must be a decrease in price as well as a rise in the quantity requested to get from point A to B. In between these two locations, demand is elastic. If supply is totally inelastic, an excise duty has no impact on consumers, but the net price that producers receive is lower than the price that consumers pay by the full amount of the excise tax. Suppliers will be liable for the full tax burden under the exercise tax. Demand's price elasticity is high while supply's price elasticity is low. the government would receive less money from the tax.
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what two outcomes result from effective market segmentation? multiple select question. developing a persuasive argument assessing the competition identifying specific marketing mix actions forming meaningful groupings
Proper market segmentation produces meaningful classifications of certain marketing mix activities.
A marketing mix is a thorough marketing strategy that emphasises several different things. The four Ps, which originally stood for product, pricing, placement, and promotion, are widely referenced in this expression. Instead of focusing solely on one theme, effective marketing addresses a variety of topics. Marketing teams are better positioned to concentrate on the items that are actually essential by remembering the four Ps, which makes it easier to relate with more people. The marketing mix is the use of a marketing strategy that mixes a variety of factors in order to strengthen and consolidate a product's brand and to help in the selling of the good or service.
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the cost of goods that were finished and transferred out of work-in-process during the current period is:
The answer is Cost of goods manufactured, The cost of goods that were finished and transferred out of work-in-process during the current period is: Cost of goods manufactured.
What is a fundamental definition of manufacturing?Manufacturing is the process of creating goods by hand or machine with the aim of selling them to customers once they are complete. As manufacturing inputs, raw materials or individual components of a larger product may be employed. Manufacturing frequently happens on a large-scale production line using tools and knowledgeable workers.
Defining the manufacturing industryAn introduction of manufacturing technology and its effects on society, people, and the environment are covered in the course Introduction to Production, which focuses on how people use modern manufacturing systems.
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which scenario will most likely happen as employers and employees increase their usage of the internet in the job search process?
As employers and employees increase their usage of the internet in the job search process, there is likely to be an increase in online job postings, and more efficient communication between employers and job seekers.
This could lead to a much faster turnaround time in the job search process, and quicker decisions from employers. Employers may also be able to better target job seekers, by using online job boards to find the right candidate for their role. Additionally, job seekers may be able to more quickly identify and apply to appropriate jobs, and receive faster updates on the progress of their application. This could lead to more successful job searches for all parties involved, and a more efficient job search process.
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an industry is comprised of 20 firms, each with a 5% market share. what is the four-firm concentration ratio of this industry?
In this industry, the four largest firms would hold 20% of the market (5% each), so the four-firm concentration ratio would be 20% / 100% = 0.80.
The four-firm concentration ratio is a common measure used to assess the level of concentration in an industry. It represents the market share held by the four largest firms in an industry and provides insight into the degree of competition within the industry. A high four-firm concentration ratio indicates that the industry is highly concentrated, with a small number of firms dominating the market. On the other hand, a low concentration ratio suggests a more fragmented market with many firms competing for market share. The concentration ratio is widely used by economists and market analysts to evaluate the level of competition in an industry and to determine the level of market power held by the largest firms. By calculating the four-firm concentration ratio, analysts can get a quick understanding of the structure of an industry and the degree of competition within it.
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Complete question:
1.An industry is comprised of 20 firms, each with a 5% market share. What is the four-firm concentration ratio of this industry?
a.0.16
b.0.25
c.0.80
d.0.20