When supply falls what happens to quantity demanded in equilibrium?

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Answer 1

When the supply curve falls then the prices of goods or products quantity is rises and increase in the demanded equilibrium.

The supply curve is the relationship between the curve of price of products or services to the supplied the products or services in a given period of time. The supply curve indicates the profit of the company.

A decrease in the supply will cause of the price of the products or services increase then the demanded curve decreases. If the demanded curve of product is higher than the supply curve then the resultant shift is higher than the supply curve.

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Related Questions

Based on the following information, compute cash flows from financing activities. (Input the amount as positive value.) $ Purchase of short-term investments Dividends paid Interest paid Additional short-term borrowing from bank 500 700 300 1,200 Cash provided by financing activities

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To compute cash flows from financing activities, we need to identify the cash inflows and outflows related to financing activities.


Cash flows from financing activities represent the cash inflows and outflows related to the company's financing sources, such as issuing or repaying debt, issuing or buying back shares, and paying dividends. These activities can have a significant impact on a company's financial position and liquidity.
Short-term investments, dividends paid, and interest paid are not considered financing activities because they do not involve raising or repaying funds from external sources. Instead, they are related to the company's investments and operations.

In this scenario, the only financing activity identified is additional short-term borrowing from the bank. This activity results in a cash inflow of $1,200. The purchase of short-term investments, dividends paid, and interest paid are not considered financing activities. Instead, they fall under investing and operating activities.
Therefore, the cash provided by financing activities is $1,200.

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The total price of purchasing a basket of goods in the United Kingdom over four years is Year 1 = 940, Year 2 = 970, Year 3 = 1000, and Year 4 = 1070. Calculate two price indices, one using Year 1 as the base year (set equal to 100) and the other using Year 4 as the base year (set equal to 100). Then, calculate the inflation rate based on the first price index. If you had used the other price index, would you get a different inflation rate?

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Using Year 1 as the base year, the price index for Year 2 is 103.19, for Year 3 is 106.38, and for Year 4 is 113.83. The inflation rate based on this price index is approximately 3.19%. If Year 4 were used as the base year, the inflation rate would be different.

To calculate the price indices, we will use the formula: Price Index = (Price in Given Year / Price in Base Year) * 100.

Using Year 1 as the base year:

- Price Index for Year 1 = (940 / 940) * 100 = 100

- Price Index for Year 2 = (970 / 940) * 100 = 103.19

- Price Index for Year 3 = (1000 / 940) * 100 = 106.38

- Price Index for Year 4 = (1070 / 940) * 100 = 113.83

Using Year 4 as the base year:

- Price Index for Year 1 = (940 / 1070) * 100 = 87.85

- Price Index for Year 2 = (970 / 1070) * 100 = 90.65

- Price Index for Year 3 = (1000 / 1070) * 100 = 93.46

- Price Index for Year 4 = (1070 / 1070) * 100 = 100

To calculate the inflation rate based on the first price index, we will use the formula: Inflation Rate = ((Price Index Current Year - Price Index Previous Year) / Price Index Previous Year) * 100.

- Inflation Rate = ((103.19 - 100) / 100) * 100 = 3.19%

If we had used the other price index (Year 4 as the base year), we would get a different inflation rate because the reference point for comparison would change. The inflation rate would be calculated based on the percentage change between the price indices using Year 4 as the base year.

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a firm that does an analysis of competitor's products in order to incorporate those features into its own offerings is using what approach?

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A firm that does an analysis of competitor's products in order to incorporate those features into its own offerings using Benchmarking approach.

The option (B) is correct.

Benchmarking is the methodology where a firm examines and looks at its own items, cycles, or execution against those of its rivals or industry pioneers. The objective is to distinguish best practices, imaginative highlights, or effective procedures utilized by contenders and integrate them into the company's own contributions to acquire an upper hand.

By benchmarking, an organization can evaluate its exhibition comparative with its rivals, gain from its assets, and carry out enhancements or changes in its items or cycles in like manner.

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This question is not complete, Here I am attaching the complete question:

A firm that does an analysis of competitor's products in order to incorporate those features into its own offerings is using what approach?

a. Outsourcing

b. Benchmarking

c. Collusion

d. Six Sigma

e. Acceptance sampling

1. how many days will your m&ms last? the day you open the bag is day

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This is a great question, and the answer depends on several factors. Generally speaking, M&M's have a shelf life of around one year. However, once you open the bag, the clock starts ticking. The exact number of days your M&M's will last after opening will depend on factors such as the humidity and temperature where you store them.

If you store them in a cool, dry place, they may last several weeks or even a few months. However, if you expose them to heat or humidity, they may start to melt or become stale much more quickly. It's important to keep them in an airtight container to prevent moisture from getting in. So, to answer your question, the day you open the bag is day one, and the number of days they will last will depend on the factors mentioned above. It's always best to check for any signs of spoilage, such as a strange smell or off-color, before consuming them.
Hi there! To answer your question about how many days your M&Ms will last, I will need more information, such as the total number of M&Ms in the bag and how many M&Ms you consume per day. Once I have this information, I can provide a step-by-step explanation on how to calculate the number of days the M&Ms will last.

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time weighted total returns should be used to make comparisons with indexes.True/False

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The statement is true. Time weighted total returns should be used to make comparisons with indexes because they provide an accurate measure of the performance of a portfolio manager.

Time weighted total returns account for the effect of timing on investment returns, which is important when comparing portfolio returns to an index. The time weighted return is calculated by determining the growth rate of a hypothetical investment in the portfolio over a specific period of time, assuming that all cash flows are invested at the beginning of the period.

This approach eliminates the bias of cash flows that may occur at different times and provides a consistent measure of performance over time.

Comparing a portfolio's time weighted return to an index's return allows investors to evaluate the effectiveness of a portfolio manager in generating returns. If the portfolio manager's time weighted return is higher than the index's return, it indicates that the manager has outperformed the market.

On the other hand, if the portfolio manager's time weighted return is lower than the index's return, it indicates that the manager has underperformed the market. Therefore, time weighted total returns are essential for accurate performance measurement and comparison with indexes.

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True. Time-weighted total returns are the most accurate way to compare the performance of an investment portfolio with an index. This method takes into account the impact of the timing of cash inflows and outflows on investment returns. It measures the performance of the investment manager, while eliminating the impact of external factors such as market movements or cash flows.

Comparing returns using a different method, such as simple total returns, can distort the performance of the portfolio, especially if there have been significant cash inflows or outflows during the period. This can make it difficult to accurately assess the performance of the manager relative to the benchmark.

Overall, using time-weighted total returns to make comparisons with indexes is essential for effective portfolio analysis and management. It allows investors to identify strengths and weaknesses in their portfolios, and make informed decisions about allocation and risk management.

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if a firm has substantial market power, it must be operating in an industry that would be classified as

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If a firm has substantial market power, it would be operating in an industry classified as monopolistic or oligopolistic.

Market power refers to a firm's ability to influence market conditions, including pricing and output levels, independently of competitive forces. When a firm has substantial market power, it means that it possesses a significant degree of control over its market and can potentially affect market outcomes. In the context of industry classification, firms with substantial market power are typically found in monopolistic or oligopolistic industries. A monopolistic industry is characterized by a single firm dominating the market, thereby having the ability to set prices and control output levels. On the other hand, an oligopolistic industry consists of a small number of large firms that collectively hold a significant market share, allowing them to influence market conditions.

In both monopolistic and oligopolistic industries, barriers to entry and competition are typically higher compared to more competitive markets such as perfect competition or monopolistic competition. This enables firms with substantial market power to maintain their dominance and exercise control over market outcomes.

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construction loans have a lower level of risk than permanent loans true false

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False. Construction loans carry higher risk than permanent loans.

Construction loan risk factors?

False. Construction loans typically carry a higher level of risk compared to permanent loans. Here's why:

Complexity: Construction loans are more complex than permanent loans because they involve financing the construction of a property from the ground up. This complexity introduces various risks, such as delays, cost overruns, and construction quality issues.Uncertainty: During the construction phase, there is greater uncertainty regarding the final value of the property. Market conditions, unforeseen circumstances, and construction challenges can impact the property's value and profitability. This uncertainty increases the risk associated with construction loans.Collateral: Construction loans often rely on the future value of the property as collateral. Since the property does not exist at the time of loan approval, the lender's collateral is the construction project itself, which is considered riskier than a completed property. If the project encounters difficulties or fails, the lender may face challenges in recovering their investment.Cash flow: Construction loans typically have interest-only payments during the construction phase, which means the borrower needs to cover the interest expenses without generating income from the property. This cash flow burden increases the risk for both the borrower and the lender, as it relies on the borrower's ability to complete the project successfully and secure long-term financing.

Permanent loans, on the other hand, are provided for properties that are already completed and have an established value and income stream. These loans generally involve less uncertainty and risk since the property has a track record, making them comparatively less risky than construction loans.

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All of the following are demand-oriented approaches to selecting an approximate price level except odd-even. yield management. customary. bundle. prestige.

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Prestige pricing is a demand-oriented approach to selecting an approximate price level. It is a strategy used by companies to charge a higher price for their products or services to create a perception of quality and exclusivity in the minds of their target customers. The correct option is D.

Unlike other demand-oriented approaches like yield management, customary, and bundle pricing, prestige pricing focuses on positioning a brand as a high-end, luxury option. This strategy is often used by luxury brands, fashion labels, and high-end restaurants to appeal to a specific customer demographic that values quality, exclusivity, and status symbols.

Prestige pricing is effective when a brand has established itself as a leader in the market, and its customers are willing to pay a premium for its products or services. However, this strategy can be risky for companies that are new to the market or have not established a strong brand identity. It can also backfire if customers perceive the price as unreasonable or unjustified.

In summary, prestige pricing is a demand-oriented approach to pricing that is focused on creating a perception of exclusivity and luxury by charging a higher price than the market rate. It is a strategy that is best used by established brands with a strong brand identity and customer base that values exclusivity and status symbols. The correct option is D.

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Suppose Ontario is deciding whether to enact a new tax. If the tax is enacted, it will bring in $700 million in revenue. But it could also hurt the economy. The chance of harm to the economy is small, just 1/5. But it would cost the country $1, 200 million in lost earnings. (The $700 million in revenue would still be gained, partially offsetting this loss.) Treat gains as positive and losses as negative. suppose conducting the study would cost $5,000. will the government conduct the study? (assume they make decisions by maximizing expected monetary value.)

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The EMV of enacting the tax is negative, the government should not conduct the study and should not enact the tax. By doing so, they would be risking a potential loss of $100 million.

To determine whether the government will conduct the study, we need to calculate the expected monetary value (EMV) of the decision to enact the new tax. The EMV is calculated by multiplying the probability of each possible outcome by its corresponding monetary value and adding up these values.

In this case, the two possible outcomes are: 1) Enacting the tax brings in $700 million in revenue, with a small chance of harm to the economy costing $1,200 million in lost earnings; or 2) Not enacting the tax, which would cost the government nothing.

To calculate the probability of each outcome, we need to consider the chance of harm to the economy, which is 1/5 or 0.2. Therefore, the probability of the first outcome (enacting the tax and potentially harming the economy) is 0.2, while the probability of the second outcome (not enacting the tax) is 0.8.

Next, we need to calculate the monetary value of each outcome. The first outcome would bring in $700 million in revenue, but also potentially cost $1,200 million in lost earnings.

So, the net monetary value of the first outcome is $700 million - $1,200 million = -$500 million. The second outcome would cost the government nothing, so its monetary value is 0.

Finally, we can calculate the EMV of the decision to enact the tax by multiplying the probability of each outcome by its monetary value and adding up these values.

EMV = (0.2 x -$500 million) + (0.8 x $0) = -$100 million

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The overall EMV of not conducting the study is higher, the government will not conduct the study if it makes decisions by maximizing expected monetary value.

To determine whether the government will conduct the study, we need to compare the expected monetary value (EMV) of conducting the study versus not conducting it.

If the study is conducted, there are two possible outcomes:

The tax is enacted, and the economy is not harmed, resulting in a net gain of $700 million in revenue.

The tax is enacted, and the economy is harmed, resulting in a net loss of $500 million ($700 million revenue minus $1,200 million lost earnings).

The probability of outcome 1 is 4/5 (1 - 1/5), and the probability of outcome 2 is 1/5. Therefore, the expected monetary value of enacting the tax if the study is conducted is:

(4/5 x $700 million) + (1/5 x -$500 million) = $540 million

If the study is not conducted, the expected monetary value of enacting the tax is simply $700 million.

Now, we need to subtract the cost of the study from each scenario's expected monetary value to determine the overall EMV of conducting the study versus not conducting it.

If the study is conducted, the overall EMV is:

$540 million - $5,000 = $539,995,000

If the study is not conducted, the overall EMV is:

$700 million - $0 = $700 million

Since the overall EMV of not conducting the study is higher, the government will not conduct the study if it makes decisions by maximizing expected monetary value.

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You are non-exempt employee. You are hired to work for 1980 hours during 2020. How many hours you will be paid overtime? 20 hours 220 hours 0 hours 100 hours

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Contracted to work for 1,980 hours, which is equal to the standard work hours expected for 49.5 weeks, you will not work any overtime hours: 0 hours. The correct answer is: C.

As a non-exempt employee hired to work for 1,980 hours during 2020, determining the number of overtime hours you will be paid for depends on understanding the standard work hours and the applicable overtime rules.

In the United States, the standard workweek consists of 40 hours per week. Overtime pay generally applies to any hours worked beyond these 40 hours in a single workweek. To determine the number of weeks worked during 2020, divide the total hours (1,980) by the standard work hours per week (40 hours).

1,980 hours / 40 hours per week = 49.5 weeks

Since there are 52 weeks in a year, you will work for 49.5 weeks out of 52 weeks in 2020. To calculate the total standard hours expected in a year, multiply the standard work hours per week (40) by the number of weeks worked (49.5).

40 hours per week * 49.5 weeks = 1,980 hours

Since you are contracted to work for 1,980 hours, which is equal to the standard hours expected for 49.5 weeks, you will not work any overtime hours. The correct answer is: C.

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COMPLETE QUESTION:

You are non-exempt employee. You are hired to work for 1980 hours during 2020. How many hours you will be paid overtime?

a. 20 hours

b. 220 hours

c. 0 hours

d. 100 hours

Hans supervises an employee who does not dress appropriately. To persuade the employee to change how his or her dress, Hans should choose a communication channel with.
A. High social presence
B. low social presence
C. low social acceptance
D. no Social presence

Answers

In this situation, Hans should choose a communication channel with high social presence.

So, the correct answer is A..

High social presence allows for more personal interaction, making it easier for Hans to effectively convey the importance of dressing appropriately in the workplace.

This approach also promotes a better understanding of the issue and can help the employee feel more comfortable discussing the matter.

By choosing a communication channel with high social presence, Hans can clearly explain the dress code expectations and work collaboratively with the employee to make the necessary adjustments.

Hence the answe of the question is A.

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horizontal alignment refers to the fit of individual human resources with each other. True or False

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The statement horizontal alignment refers to the fit of individual human resources with each other is FALSE because horizontal alignment refers to the fit between different parts or components of an organization

Horizontal alignment refers to the fit of different parts or components within an organization, such as the alignment between different departments or business units. It is often used in the context of strategic management and organizational design to ensure that different parts of the organization are working together effectively towards common goals.

On the other hand, vertical alignment refers to the fit between individual human resources and the broader goals and objectives of the organization. This includes aligning individual performance goals and incentives with the overall strategy of the organization to ensure that everyone is working towards the same objectives.

Therefore, the statement that "horizontal alignment refers to the fit of individual human resources with each other" is incorrect. Instead, horizontal alignment refers to the fit between different parts or components of an organization, while vertical alignment refers to the fit between individual human resources and the broader goals and objectives of the organization.

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the bank tells your client that the maximum loan amount that they can give is $350,000, assuming your client can make a 20% down payment towards the purchase of the property. What is the maximum purchase price your client can pay? What is the maximum down payment your client needs to pay? Show your math

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The answer is, the maximum purchase price is $437,500, the maximum down payment your client needs to pay would be $87,500.

How to find?

To calculate the maximum purchase price, we can use the following formula: Maximum purchase price = Maximum loan amount / (1 - Down payment percentage). So in this case, the maximum purchase price would be $350,000 / (1 - 0.2) = $437,500.

As for the maximum down payment your client needs to pay, this would be 20% of the purchase price. So if the maximum purchase price is $437,500, the maximum down payment your client needs to pay would be $87,500.

It's important to note that this calculation only takes into account the down payment and loan amount, and does not include other factors such as closing costs, property taxes, and insurance.

It's always a good idea to work with a mortgage professional to get a more accurate estimate of your client's maximum purchase price and down payment.

Hence, the answer is the maximum purchase price is $437,500, the maximum down payment your client needs to pay would be $87,500.

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the three components of structured teaching are: schedules, task organization and work/activity systems and routines. T/F

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The three components of structured teaching are: schedules, task organization and work/activity systems and routines. The statement is False.

False. The three components of structured teaching are schedules, physical organization, and visual supports. Structured teaching is an instructional approach commonly used with individuals with autism spectrum disorder or other developmental disabilities.

Schedules refer to the use of visual or written tools to provide a clear outline of daily activities or tasks.

Physical organization involves arranging the environment in a predictable and structured manner to support learning and independence. Visual supports include various visual aids, such as visual schedules, visual task prompts, or visual cues, which help individuals understand expectations and navigate through activities. Together, these components aim to create a structured and organized learning environment for individuals with specific needs.

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a used machine with a purchase price of $38,319, requiring an overhaul costing $8,213, installation costs of $6,937, and special acquisition fees of $21,254, would have a cost basis of

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The cost basis of the used machine would be $74,723.

Based on the information provided, the cost basis of the used machine can be calculated by adding the purchase price, overhaul cost, installation costs, and special acquisition fees. Here's the breakdown:

Purchase price: $38,319
Overhaul cost: $8,213
Installation costs: $6,937
Special acquisition fees: $21,254

Cost basis = $38,319 + $8,213 + $6,937 + $21,254 = $74,723

Therefore, the cost basis of the used machine would be $74,723.

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how does collection policy influence sales, the collection period and the bad-debt loss percentage?

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Collection policy can have a significant impact on sales, the collection period, and the bad-debt loss percentage.

1. **Sales**: Collection policies influence sales by affecting the credit terms offered to customers. Strict collection policies, such as requiring upfront payment or shorter credit periods, may deter potential customers who rely on credit. This can lead to a decrease in sales volume. On the other hand, more lenient collection policies, with longer credit periods or installment options, may attract more customers and increase sales.

2. **Collection Period**: Collection policies directly influence the collection period, which is the average time it takes for the company to receive payments from customers. A strict collection policy with stringent payment terms and rigorous follow-up procedures can help in reducing the collection period. Conversely, a lenient collection policy may result in longer collection periods, as customers may delay payments or default on their obligations.

3. **Bad-Debt Loss Percentage**: The bad-debt loss percentage is the proportion of sales that the company writes off as uncollectible. Collection policies play a crucial role in minimizing bad debts. By implementing effective credit assessment procedures and diligent follow-up on overdue payments, a company can reduce the occurrence of bad debts and lower the bad-debt loss percentage. Stricter collection policies, including timely reminders, penalties for late payments, and debt collection efforts, can contribute to minimizing bad debts.

Overall, a well-designed collection policy balances the need to attract customers and promote sales with the objective of minimizing collection periods and bad-debt losses. It is important for businesses to regularly review and adjust their collection policies to optimize sales, ensure timely cash flow, and mitigate bad-debt risks.

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t/f the uniform commercial code provides that, under certain circumstances, a merchant may be liable on a written contract, even though that merchant has not signed it.

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True. The Uniform Commercial Code (UCC) provides that, under certain circumstances, a merchant may be liable on a written contract, even though that merchant has not signed it.

The UCC is a set of standardized laws that govern commercial transactions in the United States. One of the key provisions of the UCC is known as the "Statute of Frauds," which requires certain contracts to be in writing and signed to be enforceable. However, the UCC also recognizes exceptions to this rule for merchants.

According to the UCC, if a merchant receives a written confirmation of a contract and fails to object to it within a reasonable time, their failure to respond can be seen as an acceptance of the contract. In this case, even if the merchant did not sign the written agreement, they may still be held liable based on their conduct and acceptance of the contract terms. This provision is designed to promote fairness and protect parties who reasonably rely on the actions and communications of merchants.

The Uniform Commercial Code allows for situations where a merchant can be held liable on a written contract even without their signature. If a merchant receives a written confirmation of a contract and does not object within a reasonable time, their acceptance can be inferred from their conduct, thus making them legally bound by the terms of the contract.

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A five-year bond with a yield of 11% (continuously compounded) pays an 8% coupon at the end of each year.
(a)What is the bond’s price?
(b)What is the bond’s duration?
(c)Use the duration to calculate the effect on the bond’s price of a 0.2% decrease in its yield.
(d)Recalculate the bond’s price on the basis of a 10.8% per annum yield and verify that the result is in agreement with your answer to (c).

Answers

We may use the following calculation to get the bonds price:

Price = (Coupon payment / Yield) x (1 - 1 / (1 + Yield)n) + Par value / (1 + Yield)n, where Coupon payment is the yearly coupon payment, Yield is the yield to maturity, n is the number of years till maturity, and Par value is the face value of the bond.

bond's price valuation is the process of calculating an obligation's fair market value.

Similar to other securities or capital payment instruments, a bond's theoretical fair value is the present value of the stream of cash flows that it is projected to generate.

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The police Snoop and Charlie with the payoff matrix below. If both confess, each gets 5 years in prison as shown in the bottom right-hand corner of the matrix. If neither confesses, the police can convict both of them on a lesser charge, and each gets 2 years as shown in the upper left-hand corner of the matrix. It only one confesses, he will implicate the other prisons. The confessor is rewarded with a 1-year prison sentence, which the other prisons gets 10 years. If Snoop confesses and Charlie does not, we are in the bottom left-handed corner of the matrix. If the roles are reversed we are reversed, we are in the upper right hand corner. Snoop's dominant strategy is to and Charlie's dominant strategy is to A. Box 1. B. Box 2. C. Box 3. D. Box 4. E. There is no equilibrium.

Answers

Based on the provided payoff matrix, Snoop's dominant strategy is to confess, and Charlie's dominant strategy is also to confess.

In the matrix, if Snoop confesses and Charlie does not, Snoop receives a 1-year prison sentence (bottom left corner), which is better than the 2-year sentence if neither confesses (upper left corner). Similarly, if Charlie confesses and Snoop does not, Charlie receives a 1-year prison sentence (upper right corner), which is better than the 2-year sentence if neither confesses.

Since both Snoop and Charlie's dominant strategy is to confess, there is an equilibrium in this scenario. Therefore, the correct answer is:

E. There is no equilibrium.

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According to the BCG matrix, dog products can be sold to other firms, where they are a better fit. True or false

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The statement that according to the BCG matrix, dog products can be sold to other firms, where they are a better fit, is True.

What are dog products ?

Indubitably, according to the BCG matrix, dog products, characterized by low market growth and minimal market share, hold the potential to be vended to other firms where they may find a more fitting niche.

The BCG matrix, a strategic tool employed to assess product portfolios, classifies products into distinct categories based on their relative market share and the growth rate of their respective markets. Within this framework, dog products represent those with feeble growth prospects and a diminutive share of the market.

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The following demand curve (D1) depicts the individual demand for books for a consumer named Bob. Based on this demand curve, if Bob is to purchase 40 books: a. the maximum price he is willing to pay for each book is $40 b.the minimum price he is willing to pay for each book is $15. c. the maximum price he is willing to pay for each book is $15. d. the minimum price he is willing to pay for each book is $40

Answers

The maximum price Bob is willing to pay for each book is $40 when he purchases 40 books.(A)

The demand curve (D1) represents the relationship between the quantity of books Bob wants to buy and the price he is willing to pay.

As the quantity of books increases, the price he is willing to pay decreases. When Bob wants to buy 40 books, we can refer to the demand curve (D1) to find the highest price he is willing to pay.

Since the demand curve shows that the maximum price he is willing to pay for 40 books is $40, we can conclude that this is the correct answer.(A)

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as a product’s susceptibility to loss and damage increases, what happen to its transportation cost?

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As a product's susceptibility to loss and damage increases, its transportation cost tends to increase.

The transportation cost of a product is influenced by various factors, including its susceptibility to loss and damage during transportation. When a product is more prone to loss or damage, additional measures and precautions are often necessary to ensure its safe delivery. These measures can include specialized packaging, handling procedures, insurance coverage, and enhanced security arrangements, all of which contribute to higher transportation costs.

Products that are fragile, perishable, or have sensitive components are typically more susceptible to loss or damage during transportation. For example, delicate electronic devices, perishable food items, or fragile glassware require careful handling and specialized packaging to minimize the risk of breakage or spoilage.

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Retrieving the correct record when there are identical names of people or businesses is difficult when using a computer database T/F

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True. Retrieving the correct record when there are identical names of people or businesses can be challenging when using a computer database.

This issue is commonly known as "name ambiguity" or "name collision." It occurs when multiple individuals or entities have the same name, making it difficult to uniquely identify and retrieve the correct record.

Computer databases typically rely on unique identifiers, such as a primary key, to distinguish and retrieve records. However, when multiple records share the same name but have different attributes or data, it becomes challenging to accurately locate the intended record solely based on the name.

To mitigate this issue, additional identifying information or criteria may be required, such as addresses, dates of birth, unique identification numbers, or other distinguishing factors. Implementing more robust search algorithms and techniques can also help improve the accuracy of record retrieval in cases of name ambiguity.

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If you are writing about a subject in which the reader recognizes the possibility of getting bad news, it is usually fine to use the:A) direct approach.B) indirect approach.C) bidirectional approach.D) persuasive approach.E) dialectic approach

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If you are writing about a subject in which the reader recognizes the possibility of getting bad news, it is usually fine to use the a) direct approach.

This means that you should be straightforward and honest about the situation, rather than beating around the bush or trying to sugarcoat the message. The direct approach is especially appropriate when you are delivering news that is important, urgent, or sensitive. By being clear and concise, you can help the reader understand the situation and take appropriate action if needed.

However, it is important to consider the reader's emotional state and level of familiarity with the subject matter. In some cases, a more compassionate or diplomatic approach may be necessary. Ultimately, the key is to choose an approach that is appropriate for the situation and the reader's needs.

Therefore, the correct answer is a) direct approach

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What has been the average annual rate of return in real terms for a portfolio of U.S. common stocks between 1900 and 2017?a. Less than 2%b. Between 2% and 5%c. Between 5% and 8%d. Between 8% and 10%e. Greater than 10%

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The average annual rate of return in real terms for a portfolio of U.S. common stocks between 1900 and 2017 was approximately 6.5%. This indicates that investing in U.S. stocks has historically provided an attractive return to investors over the long term.

To calculate the average annual rate of return for a portfolio of U.S. common stocks between 1900 and 2017, we can follow these steps:

Obtain the annual total return data for U.S. common stocks from 1900 to 2017. We can use the data from Ibbotson Associates' "Stocks, Bonds, Bills, and Inflation Yearbook" for this purpose.

Calculate the annual real return for each year by subtracting the inflation rate for that year from the nominal total return.

Calculate the geometric average of the annual real returns over the period from 1900 to 2017 using the following formula:

Average annual real return = (1 + r1) x (1 + r2) x ... x (1 + rn)^(1/n) - 1

where r1, r2, ..., rn are the annual real returns for each year from 1900 to 2017, and n is the number of years in the period.

Convert the average annual real return to a percentage to get the answer.

Using the data from Ibbotson Associates, we can obtain the following results:

The nominal total return for U.S. common stocks from 1900 to 2017 was 9.8% per year on average.

The average inflation rate for the same period was 2.8% per year.

The average annual real return for U.S. common stocks from 1900 to 2017 can be calculated as:

Average annual real return = (1 + (0.098 - 0.028))^117 - 1 = 5.4%

Therefore, the answer is (c) Between 5% and 8%. The average annual real return for a portfolio of U.S. common stocks between 1900 and 2017 was approximately 5.4%.

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In association rue mining, the support of an itemset never exceeds the support of its superset. Select one: True False

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The statement "In association rule mining, the support of an itemset never exceeds the support of its superset" is true.

In association rule mining, the support of an itemset is defined as the proportion of transactions in a dataset that contain the itemset. On the other hand, the support of a superset is the proportion of transactions that contain the superset, which includes the itemset as well as additional items.

It is logically evident that the support of an itemset can never be greater than the support of its superset. This is because the support of a superset includes all the transactions that contain the itemset, plus additional transactions that contain the other items in the superset. Thus, the support of the itemset must be a subset of the support of the superset.

This property is useful in association rule mining as it enables efficient pruning of itemsets that have low support. If an itemset has low support, its superset must also have low support, and thus there is no need to calculate the association rules for the itemset as it is unlikely to be significant.

In conclusion, the statement "In association rule mining, the support of an itemset never exceeds the support of its superset" is true and is a fundamental property of association rule mining that is useful in efficient pruning of low support itemsets.

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In instances when having a single firm in the market makes sense, governments ________ to minimize negative externalities.
will grant a patent or copyright
require licenses
deregulate industries
hand out subsidies
break down barriers to entry

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In instances when having a single firm in the market makes sense, governments may require licenses to minimize negative externalities.

Licensing allows the government to regulate the entry and operation of businesses in specific industries, ensuring that the single firm operates in a manner that minimizes negative impacts on third parties or society. By setting strict guidelines, standards, and conditions through the licensing process, governments can monitor and control the activities of a single firm, ensuring that it complies with regulations aimed at reducing negative externalities.

This is because licensing can limit the number of firms in a market and ensure that those who operate within it meet certain standards and regulations, ultimately reducing the potential for negative externalities. However, this approach must be carefully balanced with the need to maintain competition and prevent monopolies, which may require the government to also break down barriers to entry or provide subsidies to encourage new firms to enter the market.

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if the promotional budget is limited to $18,400, how many commercial messages should be run on each medium to maximize total audience contact? if your answer is zero enter "0".

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The specific solution to this optimization problem would depend on the details of the advertising campaign .

To determine the optimal allocation of the promotional budget, one would need to consider the cost and reach of each advertising medium, as well as the target audience for the product or service being advertised.

Assuming there are only two advertising mediums available, one approach to solving this problem would be to set up an optimization problem with constraints on the total cost of the advertising campaign and the total number of commercial messages. The objective function would be to maximize the total audience contact, which could be measured in terms of the total number of viewers reached or the total number of impressions generated.

However, the specific solution to this optimization problem would depend on the details of the advertising campaign and the given budget limit of $18,400.

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Calculate the resulting change in GDP for each of the following MPCs when the government decreases taxes by $325 billion (change in taxes equals −$325 billion).a. The marginal propensity to consume (MPC) = 0.2.b. The marginal propensity to consume (MPC) = 0.5.c. The marginal propensity to consume (MPC) = 0.8.

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The resulting change in GDP is -$81.25 billion. The resulting change in GDP is -$162.5 billion. The resulting change in GDP is -$2,600 billion. A higher MPC leads to a greater change in GDP as a result of a tax cut.

When the MPC is 0.2, the resulting change in GDP can be calculated as follows:

Change in GDP = -($325 billion) x (0.2) / (1 - 0.2) = -$81.25 billion

When the MPC is 0.5, the resulting change in GDP can be calculated as follows:

Change in GDP = -($325 billion) x (0.5) / (1 - 0.5) = -$162.5 billion

When the MPC is 0.8, the resulting change in GDP can be calculated as follows:

Change in GDP = -($325 billion) x (0.8) / (1 - 0.8) = -$260 billion

Therefore, the higher the MPC, the greater the resulting change in GDP for a given change in taxes.

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Select the correct answer. Which was a fundamental element of supply-side economics? A. Corporate tax hikes B. Marginal tax cuts C. Economic regulation D. Wage increases.

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The correct answer is B. Marginal tax cuts.

Supply-side economics, also known as trickle-down economics or Reaganomics, is an economic theory that emphasizes the importance of boosting supply and production in order to stimulate economic growth.

One of the fundamental elements of supply-side economics is the implementation of marginal tax cuts. This involves reducing tax rates, particularly on businesses and high-income earners, with the belief that lower taxes will incentivize investment, entrepreneurship, and increased production. The theory suggests that by reducing the tax burden, individuals and businesses will have more disposable income and resources to invest, which in turn can lead to economic expansion and job creation.

The other options listed in the question do not align with the principles of supply-side economics. Corporate tax hikes (option A) would increase the tax burden on businesses, which is contrary to the core tenets of the theory. Economic regulation (option C) involves government intervention and control over markets, which is typically viewed as inhibiting economic growth from a supply-side perspective. Wage increases (option D) focus on the demand side of the economy and labor market dynamics, rather than the supply-side emphasis on reducing tax burdens to stimulate production.

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