To the extent that a firm's resources and capabilities enhance a firm's competitive position by enabling a firm to exploit its opportunities or neutralize its threats, these resources and capabilities are known as

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Answer 1

Resources and capabilities that enhance a firm's competitive position by enabling it to exploit opportunities or neutralize threats are known as strategic assets. These strategic assets can come in different forms such as physical assets like property, plant, and equipment, or intangible assets like brand reputation, intellectual property, and organizational culture. What makes these assets strategic is their ability to provide a sustainable competitive advantage to the firm.

For instance, a company that invests in research and development to create new and innovative products has a strategic asset in its intellectual property that can give it a competitive advantage over its rivals. Another example is a firm that has a strong brand reputation, which can attract and retain customers who are willing to pay a premium for its products or services.

In conclusion, strategic assets are essential for firms to achieve and maintain a competitive advantage in the market. They allow companies to differentiate themselves from their competitors and create value for their stakeholders. Therefore, it is critical for firms to identify and invest in their strategic assets to succeed in today's dynamic business environment.

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Motor City Productions sells original automotive art on a prepaid basis as each piece is uniquely designed to the customer's specifications. For one project, the cash flows are estimated as follows. Based on the internal rate of return (IRR), should this project be accepted if the required return is 9 percent

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we need to calculate the internal rate of return (IRR) for the project. The estimated cash flows for the project are not provided in the question, but we can assume that there will be an initial investment to produce the automotive art and then cash inflows from selling the pieces. We can use a financial calculator or spreadsheet software to calculate the IRR.

Assuming that the initial investment is negative and the cash inflows are positive, we can input the cash flows and calculate the IRR. If the IRR is greater than the required return of 9 percent, then the project should be accepted.

Without knowing the estimated cash flows, we cannot provide a definitive answer to the question. However, we can say that the IRR is a useful tool for evaluating the potential profitability of an investment project. It takes into account the timing and magnitude of cash flows and provides a single rate of return that can be compared to the required return. If the IRR is higher than the required return, then the project is expected to generate a positive net present value and create value for the company.

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Monopolistic competition is a market in which ________ firms produce ________ goods and services. many; identical many; differentiated few; differentiated few; identical

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Monopolistic competition is a market in which many firms produce differentiated goods and services. This means that there are a large number of firms operating in the market, each producing a product that is slightly different from those produced by their competitors.

These differences could be in terms of quality, features, design, or even branding. The aim of these firms is to create a perception of uniqueness in the minds of consumers and differentiate themselves from the competition.

However, despite the differences, the products produced by these firms are close substitutes for each other. Consumers have a choice between different products that fulfill the same basic need, but they may be willing to pay more for a product they perceive as superior.

In a monopolistic competition market, firms have some degree of market power, which means that they have the ability to influence prices to a certain extent. However, this market structure is characterized by relatively low barriers to entry, which means that new firms can enter the market relatively easily. This keeps prices competitive and prevents any one firm from dominating the market.

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Which record company launched a major promotional campaign behind the first Beatles record they released in America

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The record company that launched a major promotional campaign behind the first Beatles record they released in America was Capitol Records.

Here are some points to explain the campaign and its impact:

1. Capitol Records was the record label that signed the Beatles for distribution in the United States.

2. The first Beatles record that Capitol Records released in America was "I Want to Hold Your Hand" in December 1963.

3. Capitol Records recognized the potential of the Beatles and launched a major promotional campaign to make the band a success in the United States.

4. The promotional campaign included advertising, media appearances, and radio airplay to generate interest in the band and their music.

5. Capitol Records spent a significant amount of money promoting the Beatles and their music in the United States. The promotional campaign was highly successful, and the Beatles became a phenomenon in America.

6. The success of the Beatles in America helped to launch the "British Invasion" of the music industry, with other British bands like the Rolling Stones, the Who, and the Kinks achieving success in the United States.

7. The promotional campaign behind the first Beatles record released by Capitol Records in America played a significant role in the success of the Beatles in the United States and helped to shape the music industry in the 1960s.

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Movies are a significant source of business criticism because a. corporations are seen as powerful, profit-seeking enterprises that have no redeeming values. b. businesses are not greedy. c. corporations represent free enterprise undoomed. d. corporations are depicted as moral.

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Movies are a significant source of business criticism because A. Corporations are seen as powerful, profit-seeking enterprises that have no redeeming values.

In many films, businesses are depicted as entities solely focused on financial gain, leading to negative consequences for individuals, communities, or the environment.

This portrayal taps into societal concerns about corporate greed and ethical practices, leading to increased scrutiny and criticism of businesses. While some corporations may represent free enterprise undoomed (option c) or even be portrayed as moral (option d), these representations are often overshadowed by more negative depictions in the media.

It is important to note that not all businesses are inherently greedy (option b), but the portrayal of corporations in movies often amplifies concerns and creates a sense of distrust. By exploring the consequences of corporate greed and unethical practices, movies can encourage viewers to think critically about the role of businesses in society and demand greater accountability from companies.

However, it's essential to recognize that films are not always an accurate representation of the real world, and the portrayal of corporations in movies should not be taken as a blanket statement about all businesses. Therefore, the correct option is A.

The question was incomplete, Find the full content below:

Movies are a significant source of business criticism because

a. corporations are seen as powerful, profit-seeking enterprises that have no redeeming values.

b. businesses are not greedy.

c. corporations represent free enterprise undoomed.

d. corporations are depicted as moral.

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As described by Mintzberg, a marketing manager who was hired by a manufacturer of plumbing fixtures to operate information booths at more than twenty different international trade shows annually would have the informational role of:

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According to Mintzberg's managerial roles theory, a marketing manager who operates information booths at international trade shows would have the informational role of a "disseminator."

The disseminator role involves collecting, analyzing, and disseminating information to individuals within the organization who need it. In this case, the marketing manager is responsible for collecting and analyzing information related to the plumbing fixtures industry at international trade shows. They then disseminate this information to individuals within the organization, such as product designers and manufacturing engineers, who need the information to make informed decisions.

By operating information booths at more than twenty different international trade shows annually, the marketing manager is also performing the interpersonal roles of figurehead and liaison by representing the organization and building relationships with other individuals in the industry. However, the primary role in this scenario is the informational role of a disseminator.

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According to the Marshall-Lerner condition, a currency devaluation will be successful in improving a country's trade balance if the

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According to the Marshall-Lerner criterion, devaluation will enhance the trade balance if the absolute value of price elasticity of export and import demand is larger than unity.

It is predicated on the notion that if the total of the price elasticities of demand for the country's exports and imports is larger than one, a depreciation of the currency (a decline in the exchange rate) will result in an improvement in the balance of trade.  

Yes, devaluation aids in boosting exports because goods become comparatively less expensive for foreign consumers as domestic currency's value declines relative to other currencies. Devaluation contributes to closing the trade gap.

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Asset A has an expected return of 16% and a standard deviation of 24%. The risk-free rate is 10%. What is the reward-to-variability ratio

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The reward-to-variability ratio, also known as the Sharpe ratio, is a measure of the excess return (return above the risk-free rate) per unit of risk (standard deviation).

Reward-to-Variability Ratio = (Expected Return - Risk-Free Rate) / Standard Deviation

In this case, the expected return is 16%, the risk-free rate is 10%, and the standard deviation is 24%. Plugging these values into the formula:

Reward-to-Variability Ratio = (16% - 10%) / 24%

                                = 6% / 24%

                                = 0.25

Therefore, the reward-to-variability ratio for Asset A is 0.25 or 25%.

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Blue Spruce Corp. retires its $1216000 face value bonds at 105 on January 1, following the payment of annual interest. The carrying value of the bonds at the redemption date is $1261540. The entry to record the redemption will include a

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Answer:

The entry to record the redemption of bonds will include the following:

Debit Bonds Payable for the face value of the bonds: $1,216,000

Debit Premium on Bonds Payable for the excess of carrying value over face value: $40,540

Credit Cash for the amount paid to retire the bonds: $1,277,800

Explanation:

When a company retires its bonds before the maturity date, it must pay the bondholders the face value of the bonds plus any remaining premium on the bonds. In this case, Blue Spruce Corp. retired its bonds at 105, which means that it paid 105% of the face value of the bonds. The carrying value of the bonds at the redemption date is $1,261,540, which is higher than the face value of the bonds.

To record the redemption of the bonds, the company debits Bonds Payable for the face value of the bonds, which is $1,216,000. It also debits Premium on Bonds Payable for the excess of carrying value over face value, which is $40,540. The Premium on Bonds Payable account has a credit balance, and it represents the amount by which the carrying value of the bonds exceeds their face value. Finally, the company credits Cash for the amount paid to retire the bonds, which is $1,277,800.

The entry to record the redemption of Blue Spruce Corp.'s $1216000 face value bonds at 105 on January 1 would include a debit to Bonds Payable for the face value of the bonds, a credit to Cash for the amount paid for the redemption (which would be the face value of the bonds multiplied by 105%), and a credit to Gain on Bond Redemption for the difference between the carrying value of the bonds and the amount paid for the redemption.

The carrying value of the bonds at the redemption date is $1261540, which is higher than the amount paid for the redemption. This means that Blue Spruce Corp. will have a gain on the bond redemption. The Gain on Bond Redemption account is a temporary account that will be closed out to Retained Earnings at the end of the accounting period.

It's important to note that the annual interest payment that was made prior to the redemption will also need to be recorded separately. This will include a debit to Interest Expense for the amount of interest accrued up until the redemption date, and a credit to Cash for the actual payment made to bondholders.

Overall, the entry to record the redemption of Blue Spruce Corp.'s bonds will involve multiple accounts and will need to accurately reflect the financial impact of the transaction on the company's balance sheet and income statement.

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__________ is an ethical concern involving behaviorally targeted ads that follow online users even as they move to other websites.

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Online tracking is an ethical concern involving behaviorally targeted ads that follow online users even as they move to other websites. Advertisers get benefited from this in terms of effectiveness of the campaign.

The use of ads that follow users online as they visit and switch between different websites raises ethical questions about online tracking. Cookies and web beacons are the types of tracking tools that are used to track how the internet is being used and find out what the users like and dislike.

Users raise questions about privacy and surveillance even though these ads may target a very limited group of people. Users are unaware of how their information is used or shared. They can be afraid and worried about being tracked and watched. Whether online tracking is an appropriate way to use personal information has become a matter of debate.

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_____ describes how people act when buying products to use directly or indirectly to produce other products.

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The term you are looking for is "industrial buying behavior". It refers to the actions and decision-making processes that organizations undertake when purchasing goods and services for their production and operation needs.

Industrial buyers often have different motivations and considerations than individual consumers, such as the need for cost-effectiveness, efficiency, and quality control in their supply chain. They also often engage in more complex and formal procurement processes, such as issuing requests for proposals and negotiating contracts.

Understanding industrial buying behavior is essential for businesses that aim to market and sell their products to other organizations.

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Acting on empathy can be counterproductive. B) Ethical economics is defined by character. C) Ethical economics is still possible. D) People fear losses more than they hope for gains

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Acting on empathy can sometimes be counterproductive because it may lead to unintended consequences or enable dependency. However, this does not mean that empathy should be ignored. Rather, ethical economics should be guided by character and principles that prioritize the well-being of all individuals involved.

Ethical economics, on the other hand, is defined by character, meaning that it focuses on the moral principles and values that guide individuals and organizations in their economic decision-making processes. In this sense, ethical economics emphasizes the importance of honesty, fairness, and responsibility.

In summary, while empathy-driven actions can sometimes be counterproductive, ethical economics, which is defined by character, is still possible. However, the fact that people fear losses more than they hope for gains should be considered when developing economic policies and strategies.

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Suppose the year 2000 is our base year. In the year 2000 apples cost $4 and oranges cost $5. In Farmland 200 apples were produced in the year 2000 and 300 oranges. In the year 2022 350 apples were produced in Farmland and those apples sold for $5 each. 500 oranges were produced in Farm Land and those oranges sold for $6 each. What is the level of REAL GDP in 2022

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The level of REAL GDP in 2022 is $3,900. To calculate the level of REAL GDP in 2022, we need to first calculate the nominal GDP in 2022 using the current year's prices.

Nominal GDP in 2022 = (Quantity of Apples in 2022 x Price of Apples in 2022) + (Quantity of Oranges in 2022 x Price of Oranges in 2022)
Nominal GDP in 2022 = (350 x $5) + (500 x $6)
Nominal GDP in 2022 = $2,750 + $3,000
Nominal GDP in 2022 = $5,750

Now, to calculate the REAL GDP in 2022, we need to adjust the nominal GDP to account for inflation. We can do this by using the base year prices.

Real GDP in 2022 = (Quantity of Apples in 2022 x Price of Apples in 2000) + (Quantity of Oranges in 2022 x Price of Oranges in 2000)
Real GDP in 2022 = (350 x $4) + (500 x $5)
Real GDP in 2022 = $1,400 + $2,500
Real GDP in 2022 = $3,900

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Our organization provides us with the resources we need to complete our team projects and has a generous bonus system if we exceed standards and meet deadlines. Which characteristic of team excellence is our organization displaying

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The characteristic of team excellence that your organization is displaying is "providing necessary resources and incentives". By providing the resources needed to complete team projects and offering a generous bonus system for meeting standards and deadlines, your organization is showing its commitment to supporting and motivating its teams.

This demonstrates an understanding that teamwork requires more than just individuals working together; it also requires the necessary resources and incentives to foster collaboration, creativity, and productivity. This characteristic is essential for achieving team excellence, as it enables teams to achieve their goals efficiently and effectively, while also fostering a positive work environment that values teamwork and collaboration.


the organization is displaying the characteristic of team excellence known as "supportive organizational context." This characteristic refers to an organization providing necessary resources, incentives, and support to help teams successfully complete their projects. In your organization's case, they offer the resources needed for team projects and a generous bonus system for exceeding standards and meeting deadlines. This supportive context encourages team excellence by motivating team members to work together efficiently and effectively to achieve their goals.

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The _____ summarizes the income a company has earned and the expenses incurred to earn the income. Multiple Choice Trial Balance Statement of Cash Flows Profit and Loss Statement Balance Sheet

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The Profit and Loss (P&L) Statement summarizes the income a company has earned and the expenses incurred to earn the income.

The Profit and Loss (P&L) Statement, commonly known as the Income Statement, is a financial statement that summarises revenue earned and expenses incurred for a given time period.

The Profit and Loss Statement gives important information about a company's profitability and financial performance.

The P&L Statement's Components:

The profit and loss statement is broken into two sections: income and costs. Revenue covers all of the company's income, such as sales revenue, interest income, and other income.

Expenses cover all expenditures incurred by the company, such as cost of products sold, salaries and wages, depreciation, and interest.

Calculating Net Income:

Net income is calculated by subtracting total expenses from total revenue on the profit and loss statement. A positive net income implies that the company made a profit during the time, whereas a negative net income shows that the company lost money.

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Capitalizing on Low-Cost Labor. Some MNCs establish a manufacturing facility where there is a relatively low cost of labor, but they sometimes close the facility later when the cost advantage dissipates. Why do you think the relative cost advantage of these countries is reduced over time

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The relative cost advantage of countries with low labor costs can be reduced over time due to several factors:

1. Wage Increases: As countries with low-cost labor develop and grow economically, wages tend to increase over time. As workers demand higher wages and better working conditions, the cost advantage of employing labor in those countries diminishes. This can be attributed to factors such as improving standards of living, labor market dynamics, labor unions, and government policies.

2. Skill Upgrades: Over time, workers in countries with low-cost labor may acquire new skills and expertise, increasing their productivity and value. As the workforce becomes more skilled, the wage differential between low-cost labor countries and other countries may narrow. This can happen through investments in education and training, technological advancements, and knowledge transfer from multinational companies operating in those countries.

3. Market Forces: Market forces such as globalization and competition can also impact the relative cost advantage of low-cost labor countries. As multinational companies establish manufacturing facilities in these countries and take advantage of the initial cost savings, it can attract other competitors to enter the market. Increased competition among companies can lead to wage inflation as workers have more bargaining power, thereby reducing the cost advantage.

4. Exchange Rates: Changes in exchange rates can affect the relative cost advantage of low-cost labor countries. If the currency of a low-cost labor country appreciates against the currencies of countries where the multinational companies sell their products, it can erode the cost advantage. This is because the increased value of the local currency makes the products more expensive when exported, reducing the competitiveness of the manufacturing facility.

5. Government Policies and Regulations: Changes in government policies and regulations can also impact the relative cost advantage of low-cost labor countries. For example, governments may introduce labor laws or minimum wage requirements that increase labor costs. Additionally, changes in tax policies, trade agreements, or political instability can also affect the attractiveness of operating in a particular country.

Overall, the relative cost advantage of low-cost labor countries is subject to various factors that can diminish over time. As economies develop, wages rise, skills improve, market dynamics change, exchange rates fluctuate, and government policies evolve, the cost advantage of these countries may reduce, leading multinational companies to reassess their manufacturing strategies and potentially close facilities in search of new cost advantages elsewhere.

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A contractor has $650 worth of electrical material on the shelf in stock for 3 consecutive years. If the money is borrowed at 12% interest rate per year, what does it cost to carry this stock

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To calculate the cost of carrying the electrical material stock for three consecutive years, we need to use the formula for calculating simple interest which is I = PRT, where I is the interest, P is the principal (amount borrowed), R is the interest rate, and T is the time (in years).

In this case, the principal is $650, the interest rate is 12%, and the time is 3 years. Therefore, the interest for the first year is $78 ($650 x 0.12 x 1), for the second year is also $78 ($650 x 0.12 x 1), and for the third year is $78 ($650 x 0.12 x 1). The total interest over the three years is $234 ($78 x 3).

So, to answer the question, it costs $234 in interest to carry the electrical material stock for three consecutive years at a 12% interest rate. This cost should be factored into the contractor's financial planning as part of the overall cost of doing business and maintaining inventory. It is important for the contractor to consider this cost in their pricing strategy for their services to ensure that they are making a profit while also covering the cost of carrying inventory.

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Which of the following items are normally classified as current liabilities for a company that has a one-year operating cycle? (You may select more than one answer. Single click the box with the question mark to produce a check mark for a correct answer and double click the box with the question mark to empty the box for a wrong answer.)

Interest payable due upon note maturity in 2 years.

Note payable due in 4 years.

Note payable due in 9 years.

FICA—Social Security Taxes Payable due in 40 days.

Portion of long-term note due in 1 month.

Employee Federal Income Taxes Payable due in 30 days.

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Liabilities are obligations that a company owes to its creditors or suppliers. These liabilities are considered short-term and are listed on the balance sheet under the current liabilities section.

For a company that has a one-year operating cycle, the following items are normally classified as current liabilities:
1. FICA—Social Security Taxes Payable due in 40 days.
2. Portion of long-term note due in 1 month.
3. Employee Federal Income Taxes Payable due in 30 days.
Items that are not classified as current liabilities include:
1. Interest payable due upon note maturity in 2 years.
2. Note payable due in 4 years.
3. Note payable due in 9 years.
It is important for a company to accurately classify its liabilities, as this affects its financial statements and financial ratios. By correctly identifying current liabilities, a company can better manage its cash flow and ensure that it has sufficient funds to meet its obligations. In summary, for a company with a one-year operating cycle, FICA—Social Security Taxes Payable due in 40 days, portion of long-term note due in 1 month, and employee federal income taxes payable due in 30 days are classified as current liabilities. The other items listed are not classified as current liabilities.

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All sales are on credit. Customer amounts on account are collected 60% in the month of sale and 40% in the following month. How much cash will Paradise receive in November

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Paradise will receive cash for the 40% of the customer amounts on account that are collected in November.

Since all sales are on credit, Paradise receives payments from customers over a period of time. According to the given information, 60% of the customer amounts on account are collected in the month of sale, which means that 40% of the amounts are collected in the following month. Therefore, in November, Paradise will receive cash for the 40% of the customer amounts on account that were sold in the previous month.

Assuming "S" represents the sales amount for each month, the main answer will be 0.6S(November) + 0.4S(October).

1. Collect 60% of November sales: 0.6 x S(November)

2. Collect 40% of October sales: 0.4 x S(October)

3. Add both amounts to find the total cash received in November: 0.6S(November) + 0.4S(October)

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The _____ concept holds that achieving organizational goals depends on knowing the needs and wants of target markets and delivering the desired satisfaction better than competitors do.

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The marketing concept holds that achieving organizational goals depends on knowing the needs and wants of target markets and delivering the desired satisfaction better than competitors do.

It is a business philosophy that focuses on identifying and satisfying the needs and wants of target customers through the delivery of superior value, while also achieving the organization's goals. In this approach, customer satisfaction is the key to success, and companies strive to build long-term relationships with their customers by providing high-quality products or services that meet their needs and preferences. The Marketing Concept is a business philosophy that places the customer at the center of all organizational activities.

This concept recognizes that a company's success depends on its ability to understand and meet the needs and wants of its target customers. Therefore, the marketing concept emphasizes the importance of researching and analyzing customer needs and preferences, developing products and services that meet those needs, and delivering superior value to customers.

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When a customer deposits money into a bank in a fractional reserve banking system, what does the bank do with it?

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When a customer deposits money into a bank in a fractional reserve banking system, the bank has a few options on what to do with it. The first thing the bank will do is calculate the reserve requirement that is set by the central bank. The reserve requirement is the amount of money that banks must hold in reserve and cannot lend out. For example, if the reserve requirement is 10%, the bank will have to hold $10 for every $100 deposited and cannot lend out that money.

After calculating the reserve requirement, the bank can use the remaining money to make loans to other customers or invest in assets such as securities. The bank is incentivized to make loans and invest in assets because it can earn interest on those investments, which helps the bank generate profit.
When the bank makes a loan to a customer, the money is then deposited into the borrower's account. This creates a new deposit, which the bank can then use to make additional loans or investments. This process of lending and re-depositing continues, creating a cycle of money creation within the banking system.
Overall, when a customer deposits money into a bank in a fractional reserve banking system, the bank can use it to make loans and investments, which helps the bank generate profit and creates a cycle of money creation within the banking system.

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an annuitant dies during the distribution period. what kind of annuity will return to a a beneficiary the difference between the annuity value and the

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If an annuitant dies during the distribution period, the type of annuity that will return to a beneficiary the difference between the annuity value and the total amount of payments already made is a refund annuity.

With a refund annuity, the annuitant chooses a designated beneficiary who will receive any remaining payments in the event of their death. The beneficiary will receive either a lump sum or the remaining payments until the total value of the annuity has been paid out.

This type of annuity provides a guarantee that the annuitant's beneficiary will receive a return on their investment, even if the annuitant passes away before the full value of the annuity has been paid out.

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Final answer:

A refund life annuity is the type of annuity that guarantees the return of the difference between the annuity value and what the annuitant had received to a designated beneficiary if the annuitant dies during the distribution period.

Explanation:

The type of annuity that will return to a beneficiary the difference between the annuity value and what the annuitant had received prior to their death is referred to as a refund life annuity. This type of annuity ensures that the funds invested do not die with the annuitant. If the annuitant dies during the distribution period, the refund life annuity guarantees that any leftover funds will be returned to a designated beneficiary. The beneficiary will receive the difference between the total amount initially invested in the annuity and what the annuitant received before death.

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If the government imposes a price ceiling of $55 in this market, then total surplus will be a. $187.50. b. $266.67. c. $125.00. d. $250.00.

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The main answer is c. $125.00.  A price ceiling is a government-imposed maximum price that can be charged for a product or service. In this case, the government has set a price ceiling of $55 in the market.

To determine the total surplus at this price, we need to compare the total value that consumers place on the product (measured by their willingness to pay) to the total cost of producing and selling the product (measured by the seller's willingness to sell).

At a price of $55, the quantity demanded is 5 units (as given in the original problem). The individual willingness to pay for each unit is given as follows:

- Buyer 1: $90
- Buyer 2: $70
- Buyer 3: $60
- Buyer 4: $50
- Buyer 5: $40

The total value that consumers place on the 5 units is therefore:

$90 + $70 + $60 + $50 + $40 = $310

Meanwhile, the cost of producing and selling each unit is $30 (as given in the original problem). So the total cost of producing and selling 5 units is:

$30 x 5 = $150

Therefore, the total surplus at a price of $55 is:

$310 - $150 = $160

However, the price ceiling is only $55, so the price cannot be higher than this. As a result, only 3 units will be produced and sold (as given in the original problem).

The individual willingness to pay for these 3 units is:

- Buyer 1: $90
- Buyer 2: $70
- Buyer 3: $60

The total value that consumers place on these 3 units is:

$90 + $70 + $60 = $220

The cost of producing and selling each unit is still $30, so the total cost of producing and selling 3 units is:

$30 x 3 = $90

Therefore, the total surplus at a price of $55 and a quantity of 3 units is:

$220 - $90 = $130

This is the highest total surplus that can be achieved under the price ceiling of $55. Therefore, the main answer is c. $125.00.

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Sheffield Company sells on credits goods that cost $317,500 to Ricard Company for $400,000 on January 2, 2020. The sales price includes an installation fee, which has a standalone selling price of $49,500. The standalone selling price of the goods is $350,500. The installation is considered a separate performance obligation and is expected to take 6 months to complete. (a) Prepare the journal entries (if any) to record the sale on January 2, 2020

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To record the sale on January 2, 2020, the following journal entries need to be prepared:

1. Record the sale of goods:
Accounts Receivable (Ricard Company) - Debit: $400,000
Sales Revenue - Credit: $350,500
Inventory - Debit: $317,500

2. Record the sale of installation service:
Accounts Receivable (Ricard Company) - Debit: $49,500
Installation Revenue - Credit: $49,500

Note: Since the installation service is considered a separate performance obligation, it needs to be recognized as a separate revenue stream. The standalone selling price of the installation service is $49,500, which is recognized as Installation Revenue. The Accounts Receivable (Ricard Company) is debited for both the goods and the installation service, as the sale is on credit.

To record the sale on January 2, 2020, you'll need to account for the standalone selling prices of both the goods and the installation fee. Here's a step-by-step explanation of the journal entries you'll need to prepare:

Step 1: Determine the total transaction price
Total transaction price = $400,000

Step 2: Allocate the transaction price to the performance obligations
Goods: ($350,500 / $400,000) x $400,000 = $350,000
Installation: ($49,500 / $400,000) x $400,000 = $50,000

Step 3: Prepare the journal entries on January 2, 2020

Journal Entry 1 - Record the sale of goods:
Debit: Accounts Receivable $350,000
Credit: Sales Revenue $350,000

Journal Entry 2 - Record the cost of goods sold:
Debit: Cost of Goods Sold $317,500
Credit: Inventory $317,500

Journal Entry 3 - Record the installation fee as a performance obligation:
Debit: Accounts Receivable $50,000
Credit: Unearned Installation Revenue $50,000

So, on January 2, 2020, you will need to prepare the three journal entries above to record the sale, cost of goods sold, and the installation fee as a separate performance obligation.

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A math tee shirt business is expected to generate $14,000 in revenue per year for the next 10 years. If the income is reinvested in the business at a rate of 6% per year compounded continuously, determine the future value of this income stream at the end of 10 years.

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The future value of the income stream at the end of 10 years, assuming continuous compounding at a rate of 6% per year, is approximately $25,510.68.

We can use the formula for continuous compounding to determine the future value of the income stream;

A = [tex]Pe^{(rt)}[/tex]

where A is the future value, P is the present value (which is $14,000 in this case), e is Euler's number (approximately 2.71828), r is the annual interest rate (6% or 0.06), and t is the time period (10 years).

Plugging in the values, we get;

A = $14,000 x [tex]e^{(0.06X10)}[/tex]

A = $14,000 x [tex]e^{0.6}[/tex]

A = $14,000 x 1.82212

A = $25,510.68

Therefore, the future value of this income stream at the end of 10 years is $25,510.68.

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if a regular unregulated monopoly started perfectly price discriminating, what would happen to consumer surplus and deadweight loss

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Perfect price discrimination by a monopoly would eliminate consumer surplus and deadweight loss but is not possible or socially optimal. Regulations may be necessary to prevent excessive price discrimination.

If a regular unregulated monopoly started perfectly price discriminating, the consumer surplus would be reduced to zero, and there would be no deadweight loss. This is because perfect price discrimination would allow the monopoly to charge each consumer their maximum willingness to pay, which would eliminate any potential for consumer surplus. Additionally, since there is no deadweight loss, the market would be operating efficiently.

However, in reality, perfect price discrimination is not possible, as it requires the monopoly to have perfect information about each consumer's willingness to pay, which is practically impossible to obtain. In practice, monopolies may engage in some degree of price discrimination, but not perfect price discrimination.

Furthermore, even if a monopoly could achieve perfect price discrimination, it may not be socially optimal. This is because the monopoly would extract all of the consumer surplus, leaving no surplus for consumers, which could lead to a decrease in consumer welfare and potentially harm the overall economy. Therefore, regulations may be necessary to ensure that monopolies do not engage in excessive price discrimination.

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The aggregate demand curve is downward sloping because the relationship between the price level and real GDP is ______.

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The aggregate demand curve is downward sloping because the relationship between the price level and real GDP is inverse.

This means that as the price level increases, the quantity demanded of real GDP decreases, and vice versa. This relationship occurs because at higher price levels, consumers are able to purchase less with their income, leading to a decrease in overall spending and a decrease in real GDP.

Additionally, at higher price levels, exports become more expensive and imports become relatively cheaper, which also reduces the quantity demanded of real GDP. Therefore, the aggregate demand curve is downward sloping due to the inverse relationship between the price level and real GDP.

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________ is a way to bring together complementary skills and assets that neither company could easily develop on its own.

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Strategic partnership is a way to bring together complementary skills and assets that neither company could easily develop on its own.

A strategic partnership is a collaboration between two or more companies to achieve a specific goal by combining their resources and expertise. Through a strategic partnership, each company can leverage the strengths and assets of the other to achieve a mutually beneficial outcome. By working together, companies can gain access to new markets, technologies, and skills that they may not have been able to develop on their own. This type of partnership can be a powerful tool for businesses looking to expand their capabilities and achieve greater success in their respective markets.

A strategic partnership is a way to bring together complementary skills and assets that neither company could easily develop on its own. It allows businesses to share resources, knowledge, and expertise, resulting in mutual benefits and competitive advantages for both parties involved.

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Max is having trouble paying his medical bills even after his health insurance paid for some and he has negotiated his lowest price. What should he do next

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Max can consider reaching out to his medical provider or hospital and explaining his situation. They may be able to offer a payment plan or financial assistance programs to help him cover the remaining costs. He can also look into local community resources or non-profit organizations that provide financial assistance for medical bills.

Additionally, Max can reach out to his insurance company to see if there are any additional benefits or resources available to him. It's important for Max to communicate openly and seek out support in order to address his medical bill concerns.1. Review the medical bills for errors: Double-check the bills to make sure there are no mistakes or duplicate charges. If he finds any discrepancies, he should contact the healthcare provider to resolve them. 2. Set up a payment plan: Max can reach out to the healthcare provider to discuss setting up a payment plan, which will allow him to pay off the remaining balance in smaller, more manageable installments over time.

3. Explore financial assistance programs: Max should research local and national programs that offer financial assistance for medical expenses. Some hospitals and clinics have charitable programs to help those in need, and there are also non-profit organizations that provide support. 4. Consider medical loans or credit options: Max can look into obtaining a medical loan or applying for a medical credit card, which are specifically designed for healthcare expenses. However, he should be cautious and review the interest rates and terms carefully before proceeding. 5. Seek professional advice: If Max is still struggling to manage his medical bills, he may want to consult with a financial advisor or credit counselor who can provide guidance on managing debt and potentially negotiating further with healthcare providers.

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g If we assume that the supply of oil gets interrupted and as a result the price of oil doubles, what would that do in the short-run

Answers

In the short-run, the price increase of oil would lead to an increase in production costs for businesses that rely on oil as an input, such as transportation and manufacturing companies.

If the supply of oil is interrupted and the price of oil doubles, this would have significant short-run effects on the global economy. In the short-run, the price increase of oil would lead to an increase in production costs for businesses that rely on oil as an input, such as transportation and manufacturing companies. This would result in a decrease in profits and an increase in prices for consumers, leading to inflationary pressures. The increase in oil prices would also have a negative impact on the stock market, as investors would become concerned about the profitability of companies that are heavily dependent on oil. This could lead to a decrease in consumer and business confidence, which could further slow down economic growth. Overall, the short-run effects of a doubling of oil prices would likely result in a decrease in economic activity, higher inflation, and increased uncertainty in the global economy.

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For purposes of computing the weighted average number of shares outstanding during the year, a midyear event that must be treated as occurring at the beginning of the year is the:

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For the purpose of computing the weighted average number of shares outstanding during the year, a midyear event that must be treated as occurring at the beginning of the year is the declaration and payment of a stock dividend. The correct option is D.

A stock dividend is an additional distribution of shares to the existing shareholders, which increases the total number of outstanding shares of the company.

When a stock dividend is declared and paid, it has the effect of reducing the value per share but increasing the total number of shares outstanding.

To calculate the weighted average number of shares outstanding during the year, the number of shares outstanding at the beginning of the year is multiplied by the portion of the year those shares were outstanding, plus the number of shares issued or outstanding after the midyear event is multiplied by the portion of the year those shares were outstanding.

Since the declaration and payment of a stock dividend occurs midyear, it must be treated as occurring at the beginning of the year for the purpose of calculating the weighted average number of shares outstanding during the year.

This is because the stock dividend has a retroactive effect on the number of shares outstanding from the beginning of the year.

In summary, the midyear event that must be treated as occurring at the beginning of the year for purposes of computing the weighted average number of shares outstanding during the year is the declaration and payment of a stock dividend, which increases the total number of outstanding shares of the company.

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Complete Question:

For purposes of computing the weighted average number of shares outstanding during the year, a midyear event that must be treated as occurring at the beginning of the year is the?

a. Issuance of stock warrants.

b. Purchase of treasury stock.

c. Sale of additional common stock.

d. Declaration and payment of stock dividend.

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