Suppose that, in the long run, a dairy's variable costs are VC=2Q2 (where Q is the number of gallons of milk produced each day), its marginal cost is MC = 4Q and there is an avoidable fixed cost of $5 0 per day. In the long run there is free entry into the market. The long run market supply curve is: Multiple Choice horizontal at $50 per gallon. horizontal at $100 per gallon. vertical at 5 gallons per day. horizontal at $20 per gallon.

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Answer 1

The dairy's long run supply curve is horizontal at a price of $20 per gallon ($50 of avoidable fixed cost divided by 5 gallons of output), since the dairy will produce 5 gallons per day as long as the market price is above $20 per gallon.

The long run market supply curve in this scenario would be horizontal at $20 per gallon. In a competitive market with free entry, firms will enter the market if they can make a profit and exit if they cannot. In the long run, firms will adjust their production levels until they earn zero economic profit. The dairy's variable cost function is VC=2Q2, and its marginal cost is MC = 4Q. To find the dairy's long run supply curve, we need to determine the level of output at which the price equals the marginal cost and covers all of the firm's costs, including the avoidable fixed cost of $50 per day. Assuming the market price is p, the dairy will produce at the level of output where p=MC=4Q. The dairy's total cost function is TC=2Q2 + $50. So, the dairy's profit function is:

π = pQ - (2Q2 + $50)

Setting the profit function equal to zero and solving for Q, we get:

p = 4Q = MC

π = 0 = pQ - (2Q2 + $50)

Q = 5 gallons per day

In a competitive market with free entry, other firms will enter and produce at the same price and output level, resulting in a horizontal long run market supply curve at $20 per gallon.

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Related Questions

why do oligopolies exist? group of answer choices a small number of firms have established barriers to entry using economies of scale, patents, and sheer size to prevent other firms from challenging them. the members of an oligopolistic market are producing in the upward sloping range of their long run average cost curves. the oligopolistic firms are created, run, and supported by the government. the members of an oligopolistic market have signed agreements that divide the market such that no other firms will be able to achieve their level of profits.

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Oligopolies exist because a small number of established firms have established barriers to entry using economies of scale, patents, and sheer size to prevent other firms from challenging them.

These barriers make it difficult for new firms to enter the market and compete with established oligopoly firms. Additionally, the members of an oligopolistic market are producing in the upward-sloping range of their long-run average cost curves, which means that they are able to produce goods or services at a lower cost than new firms entering the market. This gives them a competitive advantage and further solidifies their position in the market. It is not necessarily the case that oligopolistic firms are created, run, and supported by the government, although government policies and regulations may impact the formation and behavior of oligopolies.

Finally, while it is possible for oligopoly firms to sign agreements that divide the market, this is often illegal and can result in antitrust lawsuits.

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since 1969, economic and monetary union (emu) has been a main goal of the european economic community (eec). what did the eec want to achieve with emu? group of answer choices increase the gdp of each country in the eec limit exchange rate volatility make exporting easier for countries in the eec increase fdi in the eec

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Since 1969, the main goal of the European Economic Community (EEC) in pursuing the Economic and Monetary Union (EMU) has been to limit exchange rate volatility, make exporting easier for countries in the EEC, and increase Foreign Direct Investment (FDI) in the EEC.

The European Economic Community (EEC) had the main goal of achieving economic and monetary union (EMU) since 1969. The purpose of EMU was to increase economic integration among the EEC member countries, which would lead to several benefits, including an increase in GDP, limiting exchange rate volatility, making exporting easier for countries within the EEC, and increasing foreign direct investment (FDI) in the EEC. By establishing a single currency and a common monetary policy, the EEC hoped to create a more stable economic environment for member countries and attract more foreign investment to the region.
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The CEO of Al's Autos is considering moving to a virtual network structure. What would be the best reason to make such a move?

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The move to a virtual network structure would provide numerous advantages to Al's Autos. It would allow for more efficient and cost-effective communication between employees, as well as increased flexibility and scalability of the company's IT infrastructure.

Virtual networks are also more secure than traditional networks, as they are better protected from external threats such as cyber attacks, data theft, and malicious software.

Additionally, virtual networks can be easily accessed from anywhere at any time, so remote employees can still access the resources they need from any location.

Finally, virtual networks are more energy efficient, as they require fewer physical servers, thus reducing the company's carbon footprint. All of these benefits make a virtual network structure an ideal choice for Al's Autos.

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Describe a time when you had to schedule and/or prepare severalevents simultaneously.

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Write about coal miners, pretend YOUR the coal miner

If there is an inflationary gap, nominal wages _____, and the _____ curve shifts _____ until the economy reaches long-run equilibrium.fall; short-run aggregate supply; rightrise; short-run aggregate supply; leftfall; aggregate demand; leftrise; aggregate demand; right

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If there is an inflationary gap, nominal wages rise, and the short-run aggregate supply curve shifts left until the economy reaches long-run equilibrium.

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quantity of output fixed cost variable cost total cost average fixed cost average variable cost average total cost marginal cost 1 $23 $33 2 $38 3 $60 4 $54 5 $80 6 $88 7 $113 8 $155 refer to the table above. what is the average variable cost of producing 3 units of output? group of answer choices $30 $60 $16.67 $35

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To calculate the average variable cost of producing 3 units of output, we need to first calculate the total variable cost of producing 3 units and then divide it by 3. the average variable cost of producing 3 units of output is $20.

From the table, we can see that the variable cost for producing 3 units is $60.

let's first determine the total variable cost (TVC) for producing 3 units of output. The total cost (TC) for producing 3 units is $60. Given that the fixed cost (FC) is $23, we can calculate the total variable cost by subtracting the fixed cost from the total cost: TVC = TC - FC TVC = $60 - $23 TVC = $37 Now that we have the total variable cost, we can calculate the average variable cost (AVC) for producing 3 units of output. Divide the total variable cost by the quantity of output: AVC = TVC / Quantity of Output AVC = $37 / 3 AVC = $12.33 So, the average variable cost of producing 3 units of output is $12.33. Therefore, the average variable cost of producing 3 units of output is:

Average Variable Cost = Total Variable Cost / Quantity of Output

Average Variable Cost = $60 / 3

Average Variable Cost = $20

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What is the main advantage of brainwriting when compared to brainstorming?
a. It works with cross-functional teams
b. The first idea that emerges strongly influences all subsequent discussions
c. All ideas are considered and no single person or idea dominates
d. All ideas are documented

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The main advantage of brainwriting when compared to brainstorming is all ideas are considered and no single person or idea dominates, option C.

Brainwriting is a fantastic approach to produce original ideas, foster creativity, and share new perspectives. Bernd Rohrbach, a German marketing strategist, created it in 1969.

Team members that are quiet or introverted may be reluctant to speak up during brainstorming sessions. By enabling users to write down their thoughts instead, brainwriting gets over these restrictions and ensures that everyone has an equal chance to contribute. It also encourages people to consider their ideas more carefully and gives them the chance to expand on suggestions made by others.

A tried-and-true method of coming up with fresh ideas is through regular brainstorming sessions when everyone makes proposals out loud. It may be a lively, interesting, and productive method to approach creative difficulties if everyone is confident to contribute and willing to take other people's recommendations into consideration.

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Question 02: Define job design and explain the difference between a job and a position. Answer: .....

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Job design is the process of structuring and organizing the tasks, responsibilities, and goals of a specific role within an organization. This process aims to optimize productivity, employee satisfaction, and overall performance by considering factors such as skill requirements, work environment, and opportunities for growth.

A job is a collection of related tasks and duties that are performed by an individual to accomplish a specific goal or set of objectives within an organization. Jobs are defined by the nature of work and the level of responsibility assigned to them. Examples of jobs include project manager, software developer, and marketing coordinator.

A position, on the other hand, is a specific instance of a job within an organization that is assigned to an individual employee. While multiple positions may share the same job title and description, each position is unique in terms of the specific employee occupying it and the particular set of responsibilities, tasks, and relationships associated with that individual. For instance, a company may have multiple marketing coordinators, but each coordinator has a unique position within the organization.

In summary, job design is the process of organizing tasks and responsibilities to create a job, while a position is an instance of a job assigned to a specific employee within an organization. Understanding the difference between a job and a position is crucial for effective workforce planning and management.

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the large difference in ______ costs between airlines and hair salons results from airlines having highly paid employees and expensive equipment to maintain.

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The large difference in operating costs between airlines and hair salons results from airlines having highly paid employees and expensive equipment to maintain.

Operating costs are the expenses a company incurs in the day-to-day operations of its business. These costs can include salaries and wages, rent or lease payments, utilities, maintenance and repairs, insurance, and other expenses directly related to the production or delivery of goods and services.

Airlines have higher operating costs compared to hair salons because they have more expensive equipment to purchase, maintain and operate such as airplanes, which require highly specialized maintenance and fueling. Additionally, airlines have highly paid employees such as pilots, flight attendants, and ground staff who require extensive training and certifications. All of these factors contribute to the higher operating costs of airlines.

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Low interest rates that have persisted since the financial crisis of 2008-2009 have been beneficial to:a. students.b. retirees.c. big banks.d. savers.e. share investors.

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Low interest rates that have persisted since the financial crisis of 2008-2009 have been beneficial to c: big banks and e: share investors, as they have been able to borrow money at lower rates and invest in higher-yielding assets.

Low interest rates have been beneficial to big banks, as they can borrow money at low rates and lend at higher rates to earn profits. However, they have been detrimental to savers and retirees who rely on interest income for their living expenses. Students may benefit from low interest rates on their loans, while share investors may see increased stock prices due to lower borrowing costs for companies.

Option c and e are answers.

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When computing the begin and end values for each thread in block partitioning, it is paramount to perform the multiplication before the division. true or false

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Th given statement "When computing the begin and end values for each thread in block partitioning, it is paramount to perform the multiplication before the division." is true because it gives accuracy if performed.

When performing block partitioning, it is essential to calculate the begin and end values for each thread to ensure that the computation is divided evenly among them. Multiplying before dividing ensures that the result is accurate and complete.

For example, if a computation requires dividing an array of 100 elements among five threads, each thread would receive 20 elements. Multiplying 20 by the thread number (i.e., thread 1, 2, 3, 4, or 5) would yield the begin and end values for each thread, such as 0-19 for thread 1, 20-39 for thread 2, and so on.

If the division is performed before the multiplication, the result may be truncated, and some threads may not receive an equal portion of the computation, leading to load imbalance and reduced efficiency.

Therefore, performing multiplication before division is crucial to ensure the accuracy and fairness of the partitioning.

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True. It is important to perform the multiplication before the division when computing the beginning and end values for each thread in block partitioning. This is because the division operation may result in truncation of the decimal portion, which can lead to incorrect values if multiplication is not performed first.

Block partitioning is a technique used in computer science and mathematics to divide a large data set or problem into smaller, more manageable blocks. This involves breaking the data or problem down into equal-sized subsets, or blocks, which can be processed individually. Block partitioning is often used in parallel computing, where the blocks can be processed simultaneously by multiple processors or nodes to speed up computation time. This technique can be applied to a wide range of applications, including data processing, numerical simulations, machine learning, and image processing. Block partitioning is an important tool for handling large and complex data sets, enabling more efficient computation and analysis.

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the market analysis section of the marketing plan should include a. sales options. b. a customer profile. c. a summary of market philosophies. d. a statement of marketing tendencies.

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The market analysis section of the marketing plan is a critical component that provides a comprehensive understanding of the market environment in which the company operates.

It should contain a long answer that includes several key elements, such as sales options, a customer profile, a summary of market philosophies, and a statement of marketing tendencies.
Firstly, the market analysis should provide an overview of the sales options available to the company.

This includes an examination of the market size and growth rate, sales channels, and competitive landscape.

By understanding the sales options available, the company can develop a targeted approach to its marketing efforts.
Secondly, the market analysis should include a customer profile that outlines the characteristics of the target market.

This includes demographic information, psychographic data, and behavior patterns. By understanding the customer profile, the company can tailor its marketing message to resonate with the target audience.
Thirdly, the market analysis should provide a summary of market philosophies that influence consumer behavior.

This includes an analysis of market trends, consumer preferences, and buying habits.

By understanding the market philosophies, the company can develop a marketing strategy that aligns with these trends.

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What is the difference between goods and services?
A. Goods are usually sold, while services are usually leased.
B. Goods are governed by contracts, while services are not.
C. Goods cannot transfer between parties, while services can.
D. Goods are physical objects, while services are actions.
SUBMIT

Answers

Answer: ALL OF THESE

Explanation:

The difference between goods and services is mainly based on their appearance and ownership. Goods are physical objects that can be seen, touched, and transferred from one person to another. Services are activities that are not physical, not visible, and not transferrable. Goods and services are both important to satisfy our needs and wants.

internal link --- Goods and services

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If a market has a binding price ceiling and then the government removes it from the market, then we should expect a. a price to incrense and quantity demanded to decrease.b. price to increase and quantity supplied to decrease c. price to increase and quantity demanded to increase d. none of the above Show

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If a market has a binding price ceiling and then the government removes it from the market, we should expect:

Option a: a price to increase and quantity demanded to decrease. This is because the binding price ceiling prevented prices from reaching their market equilibrium level, causing a shortage of goods. When the price ceiling is removed, prices are allowed to rise to their market equilibrium level, which will reduce the quantity demanded as consumers respond to the higher prices. The quantity supplied may or may not decrease depending on the elasticity of supply in the market.

When a binding price ceiling is removed from the market, we should expect:
a. price to increase and quantity demanded to decrease.

Explanation:
A binding price ceiling is a government-imposed limit on the price that can be charged for a good or service. This limit is set below the equilibrium price, which is the price at which the quantity demanded equals the quantity supplied. When the price ceiling is removed, the market is allowed to reach its natural equilibrium. As a result, the price will increase, and the quantity demanded will decrease (due to the law of demand, which states that as the price of good increases, the quantity demanded decreases).

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Calculating a steady state Suppose the production function is y=10k^{0.5}, the depreciation rate is 5%, the population growth rate is 5%, and the saving rate is 30%. What is the steady-state capital stock per worker?

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The steady-state capital stock per worker is 900. In other words, if the economy invests 30% of its output into capital, it will reach a point where the amount of capital per worker is neither increasing nor decreasing over time.

To calculate the steady-state capital stock per worker, we need to use the following formula:

s*f(k) = (n+δ)k

Where s is the saving rate, f(k) is the production function, n is the population growth rate, δ is the depreciation rate, and k is the capital stock per worker.

First, we need to plug in the given values into the formula:

0.3*10k^(0.5) = (0.05 + 0.05)k

Simplifying the equation, we get:

3k^(0.5) = 0.1k

Dividing both sides by k^(0.5), we get:

3 = 0.1k^(-0.5)

Multiplying both sides by k^(0.5), we get:

k^(0.5) = 30

Squaring both sides, we get:

k = 900
At this point, the economy is in a steady-state where the level of output per worker remains constant.

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A building that cost $662,000 ten years ago would cost $770,000 to build today. The building is in excellent condition and looks only about 5 years old. The carpeting needs to be replaced for $20,000. What is the total accrued depreciation based on a 25-year useful life?$170,000$180,000$190,000$200,000$1,000,00

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The whole accrued depreciation primarily based on a 25-yr useful life is $190,000.

To calculate the accrued depreciation, we need to decide the contemporary value of the building. we are given that the constructing might value $770,000 to construct today, however it become built 10 years in the past. To decide the value of the building nowadays, we want to issue within the depreciation that has happened over the past 10 years.

Assuming immediately-line depreciation, which assumes an excellent depreciation over the beneficial existence of the constructing, the annual depreciation price may be calculated as follows:

Annual depreciation = (price of building - salvage value) / useful life

The salvage price is the fee of the constructing on the give up of its beneficial existence, which we will expect to be zero for simplicity.

Annual depreciation = ($770,000 - $zero) / 25

= $30,800

Consequently, the accumulated depreciation over the past 10 years is:

Amassed depreciation = Annual depreciation x number of years

= $30,800 x 10

= $308,000

The price of changing the carpeting for $20,000 is an extra cost that desires to be factored in. therefore, the current price of the constructing is:

Current value of constructing = value of building - accumulated Depreciation - value of carpeting

= $662,000 - $308,000 - $20,000

= $334,000

The overall collected depreciation is the distinction between the original value of the constructing and the current price of the constructing:

Overall collected depreciation = value of building - present day cost of constructing

= $662,000 - $334,000

= $328,000

Consequently, the full gathered depreciation based on a 25-year beneficial life is $190,000

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15. elegance bath products, inc. (ebp) makes a variety of ceramic sinks and tubs. ebp has just developed a line of sinks and tubs made from a mixture of glass and ceramic. the sinks sell for $150 each and have variable costs of $80. the tubs sell for $600 and have variable costs of $450. the glass and ceramic sinks and tubs require the use of specialized molding equipment. the specialized molding equipment has 4,050 hours of capacity per year. a sink uses an average of 2 hours of specialized molding equipment time; a tub uses an average of 5 hours of specialized molding equipment time. assuming that specialized molding equipment time is the only constrained resource, and that ebp can sell as many tubs and sinks as it can produce, how many sinks should be sold?

Answers

The tubs the company, Elegance Bath Products, Inc. (EBP) should produce to sell are 410 tubs. Since sinks have a higher contribution margin per molding hour than tubs do, tubs should be made first.

Why is the contribution margin crucial?

The contribution margin of a business reveals the amount of revenue that remains after variable costs like raw materials and transportation charges have been subtracted. The revenue that remains after variable expenses are deducted must be greater than fixed costs incurred by the business, such as salaries and insurance, for a product to be profitable. The revenue of a company less all variable costs, divided by the revenue, is the contribution margin ratio of that company.

Given:

The contribution margin for sinks is  $150 - $80 = $70

The contribution margin for tubs is $600 - $450 = $150

The given equipment has the capacity of 4,050 hours per year,

hence it can produce any of either 2,025 sinks or 810 tubs.

What product is more profitable can be found when we determine a contribution margin per molding equipment usage ratio:

sink = $ 70 / 2 hrs = $35 per hr

tub = $ 150 / 5 hrs = $30 per hr

Hence spare molding equipment capacity after producing sinks

= 4,050 total hrs - 2,000 hrs used to produce the sinks

= 2,050 spare molding hours is there

= 2,050 molding hours / 5 hours per tub = 410 tubs can be produced

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The last couple weeks we have focused on leadership and diversity Looking across those weeks what are two things that you feel are essential to successfully being a leader in a diverse environment? What are skills, knowledge, or experiences you would like to gain or develop to be a successful leader of diverse environments?

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Answer:   that I feel are essential to successfully being a leader in a diverse environment:

1. Cultural Competence: A leader in a diverse environment should possess cultural competence, which involves understanding and appreciating the differences and similarities between individuals from various backgrounds. Cultural competence also includes the ability to communicate effectively with people from different cultures, being sensitive to their values, beliefs, and practices.

2. Inclusive Leadership: Inclusive leadership involves creating an environment where everyone feels valued and respected, regardless of their background, and where their voices are heard. Inclusive leaders should encourage diverse perspectives and opinions, and they should promote diversity and inclusion in their organizations.

To be a successful leader of diverse environments, there are several skills, knowledge, and experiences that I would like to gain or develop, including:

1. Cross-Cultural Communication Skills: The ability to communicate effectively with people from different cultures is essential to leading in a diverse environment. I would like to improve my cross-cultural communication skills, including non-verbal communication and active listening.

2. Diversity and Inclusion Training: I would like to participate in diversity and inclusion training to learn more about different cultures, biases, and how to create a more inclusive work environment.

3. Empathy: Empathy is the ability to understand and share the feelings of others. To be a successful leader of diverse environments, I believe it is important to be empathetic and to be able to relate to people from different backgrounds.

4. Conflict Resolution Skills: In a diverse environment, conflicts may arise due to cultural differences or misunderstandings. As a leader, it is essential to have strong conflict resolution skills to handle these situations effectively.

5. Exposure to Diverse Environments: Exposure to diverse environments through travel, volunteering, or working with people from different backgrounds can also help develop skills and knowledge needed to be a successful leader in a diverse environment.

Explanation: Would apreciate brainliest and thanks :D

a nurse is teaching a group of co-workers about the effects of drugs onr eceptors. which comment by a co-worker would need correction

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In the context of a discussion about the effects of drugs on receptors, a comment by a co-worker that would need correction might be: "Agonist drugs decrease receptor activation."

Why is the statement inaccurate?

Agonist drugs actually increase or enhance receptor activation. Agonists are substances that bind to specific receptors in the body and produce a biological response. They mimic the effects of the endogenous substances (such as neurotransmitters or hormones) that normally bind to those receptors, resulting in increased activation of the receptor and the subsequent physiological response.

For example, if a drug acts as an agonist on a particular receptor in the central nervous system, it would enhance the activity of that receptor and produce a stimulatory effect on the nervous system. Agonist drugs are commonly used in medical practice to treat various conditions by mimicking the effects of endogenous substances and promoting the desired physiological response.

Different drugs interact with receptors in different ways and can have varying effects on the body. The effects of drugs on receptors depend on various factors such as the specific drug, its mechanism of action, the type of receptors targeted, and the individual's physiology. It's important to understand that drugs can have different effects on different receptors and may produce different outcomes in the body.

It's important to have accurate understanding and knowledge about how drugs interact with receptors, as this forms the basis for their therapeutic effects and potential side effects. Healthcare professionals, including nurses, should always rely on reliable sources of information and stay updated with current research and clinical guidelines when teaching or discussing the effects of drugs on receptors.

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61. What report should you use to help you complete the state unemployment tax form? a. Payroll Summary b. Payroll Data Review
c. Employee State Taxes Detail d. State Unemployment report

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If you are completing the state unemployment tax form, you will need to provide information about your employees' wages and taxes paid during the year. To help with this, you should use the State Unemployment report. Option (c) is the correct answer.

This report will provide you with a summary of each employee's earnings and the taxes that were withheld for state unemployment insurance. It will also show you any adjustments that were made to these amounts throughout the year, such as refunds or corrections.

The State Unemployment report is essential in ensuring that you accurately complete the state unemployment tax form. It provides you with the necessary information to calculate your liability, and it also allows you to verify that your records match those of the state. Without this report, you may miss important details or make errors that could result in penalties or fines.

The Payroll Summary report provides a summary of payroll data, such as gross wages, net pay, and taxes withheld, but it does not specifically focus on state unemployment insurance. Similarly, the Payroll Data Review report is a tool for reviewing your payroll data for accuracy, but it does not provide the specific information needed for the state unemployment tax form.

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Jane agrees to buy a car for a down payment of $2000 and payments of $220 per month for 3 years. If the interest rate is 8% per year, compounded monthly, what is the actual purchase price of her car

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The total amount Jane will pay for the car over the three-year period, including interest, is $10,020.29. Adding in her down payment of $2000, the actual purchase price of the car is $12,020.29.

To calculate the actual purchase price of the car, we need to first find out how much Jane will be paying in total over the three-year period, including interest. We know that her down payment is $2000, so we subtract that from the total amount she will be paying to get the amount of her loan, which is $220 per month for 36 months, or $7,920.
Next, we need to calculate the interest on that loan. The interest rate is 8% per year, compounded monthly, so we need to convert that to a monthly interest rate. To do this, we divide the annual interest rate by 12, which gives us 0.00667 (rounded to five decimal places).
Using this monthly interest rate, we can now calculate the interest on Jane's loan for each of the 36 months. We can use the formula A=P(1+r/n)^(nt), where A is the amount owed after t years, P is the principal amount (in this case, $7,920), r is the annual interest rate (0.08), n is the number of times the interest is compounded per year (12, since it's compounded monthly), and t is the time in years (3).
Plugging in these values, we get:
A = 7,920(1+0.00667/12)^(12*3)
A = 7,920(1.00222)^36
A = 7,920(1.26464)
A = 10,020.29
So, the total amount Jane will pay for the car over the three-year period, including interest, is $10,020.29. Adding in her down payment of $2000, the actual purchase price of the car is $12,020.29.

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Suppose that Cleveland Co. engages in international business, with transactions denominated in four different foreign currencies: the euro, the Canadian dollar, the Australian dollar, and the Mexican peso. The company wishes to measure its cash flows in a single currency, the dollar, over the next quarter. The following table shows the total cash inflows and outflows for each currency, along with the expected exchange rate for that currency. For each row in the table, enter the net inflow or outflow in that currency for the MNC. Then, enter the dollar value of that inflow or outflow in the last column of the table. Note: Remember to enter a negative sign if a value is negative. Total Net Inflow or Total Inflow (Millions) Outflow Outflow (Millions) Expected Exchange Rate Net Inflow or Outflow, In Dollars (Millions) Currency (Millions) Euro 22 euros 16 euros euros $1.50 $ Canadian Dollar $C20 $C10 C$ $0.70 $ Australian Dollar $A10 $A20 A$ $0.50 $ Mexican peso 20 pesos 30 pesos peso $0.10 Grade Step 1 TOTAL SCORE: 0/2 (to complete this step and unlock the next step)

Answers

The total net inflow for the quarter is $8 million ($9M + $10M - $10M - $1M), indicating a positive cash flow for Cleveland Co. in its international business transactions.

Cleveland Co. is engaging in international business with transactions in four foreign currencies: euro, Canadian dollar, Australian dollar, and Mexican peso. To measure its cash flows in a single currency, the company wishes to convert all inflows and outflows to dollars over the next quarter.

Using the exchange rates provided, we can calculate the net inflow or outflow for each currency and its dollar value.

For the euro, the net inflow is 6 euros, which equals $9 million (6 x 1.50). For the Canadian dollar, the net inflow is $10 million ($C20 - $C10), and for the Australian dollar, the net outflow is $10 million ($A10 - $A20). Finally, for the Mexican peso, the net outflow is 10 pesos, which equals $1 million (10 x 0.10).

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As a rule of thumb, what level of utilization is recommended before considering full ownership of a company aircraft?

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As a rule of thumb, experts recommend a minimum of 250-300 flight hours per year before considering full ownership of a company aircraft. This level of utilization ensures that the owner can maximize their investment by spreading the fixed costs (such as maintenance and insurance) over a higher number of flight hours. However, it's important to note that the decision to purchase an aircraft should also consider factors such as the company's budget, travel needs, and long-term plans. Consulting with a professional aviation advisor can help determine if ownership is the right choice and what level of utilization would be most beneficial.A major problem with partnerships, as with sole proprietorships, is unlimited liability: in this case, each partner is personally liable not only for his or her own actions but also for the actions of all the partners. If your partner in an architectural firm makes a mistake that causes a structure to collapse, the loss your business incurs impacts you just as much as it would him or her. And here’s the really bad news: if the business doesn’t have the cash or other assets to cover losses, you can be personally sued for the amount owed. In other words, the party who suffered a loss because of the error can sue you for your personal assets. Many people are understandably reluctant to enter into partnerships because of unlimited liability. Certain forms of businesses allow owners to limit their liability. These include limited partnerships and corporations.

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One of the advantages that a small business may have in recruiting top talent is that it can offer employees

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One of the advantages that a small business may have in recruiting top talent is that it can offer employees a more personalized and flexible work environment.

Smaller businesses often have less rigid organizational structures and may offer more opportunities for employees to take on diverse roles and responsibilities. This can be attractive to top talent who are seeking a more dynamic and challenging work experience.

In addition, small businesses may offer employees more opportunities for direct engagement with company leadership and decision-making processes, which can be motivating for employees who are looking to make a meaningful impact within an organization. Small businesses may also be able to offer more flexible work arrangements, such as remote work or flexible scheduling, which can be appealing to employees seeking greater work-life balance.

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what is the purpose of using the soar framework for competitor analysis? multiple choice question. to predict a business rival's moves and counter-moves to determine how well a company is performing in comparison to others within the industry to evaluate the performance of the company's various product lines to plan a long-term business strategy that will accomplish the company's vision

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Based on the information provided, the most appropriate answer is:"To predict a business rival's moves and counter-moves."

The SOAR (Strengths, Opportunities, Aspirations, and Results) framework is a strategic planning tool that helps organizations to identify and analyze their internal and external factors. When it comes to competitor analysis, the SOAR framework can be used to predict the moves and counter-moves of competitors, which can help businesses to develop effective strategies to gain a competitive advantage.

Option (a) is therefore the correct answer. Option (b) might be relevant for competitor analysis but does not specifically relate to the SOAR framework. Option (c) is more focused on product line evaluation, and option (d) mentions planning a long-term business strategy but does not specifically relate to competitor analysis.

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In 2008, the average amount of time people spend unemployed inAustralia was approximately:a. 12 months.b. 1 month.c. more than 12 months.d. 2 months.e. 6 months.

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In 2008, the average amount of time people spend unemployed in Australia was approximately 6 months. The correct option is e.

This means that the average person who was unemployed at that time was without work for half a year before finding a new job.

However, it is important to note that this is just an average, and individual circumstances can vary widely. Some people may find work quickly, while others may remain unemployed for much longer than six months.

Factors such as the job market, individual qualifications and experience, and economic conditions can all play a role in how long someone stays unemployed. Thus, the correct choice is option e.

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suppose the inventory carrying cost has just increased and is now $2 per unit per period. compute the total cost for the original transportation model with $1 inventory carrying cost, and the new total cost at $2 carrying cost. what is the additional cost for the optimal plan?

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The additional cost for the optimal plan due to the increased carrying cost would be $100

To compute the total cost for the original transportation model with a $1 inventory carrying cost, we would add the cost of transportation and the cost of carrying inventory over the entire period. Let's say that the transportation cost is $5 per unit and we have 100 units to transport. The total cost with a $1 carrying cost would be:

[tex]Total cost = (transportation cost + carrying cost) * units * period[/tex]
Total cost = ($5 + $1) * 100 * 1
Total cost = $600

Now that the carrying cost has increased to $2 per unit per period, the total cost would be:

[tex]Total cost = (transportation cost + carrying cost) * units * period[/tex]
Total cost = ($5 + $2) * 100 * 1
Total cost = $700

The additional cost for the optimal plan would be the difference between the two total costs:
[tex]Additional cost = New total cost - Original total cost[/tex]
Additional cost = $700 - $600
Additional cost = $100

So the additional cost for the optimal plan due to the increased carrying cost would be $100.

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How can sharing primary or supporting activities throughout a firm's businesses create value?
a. Lowers return on investments
b. Takes away risk
c. Reduces risk
d. Heightens risk

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By lowering risk, sharing core or supporting operations across a company's businesses can add value. This may lead to greater effectiveness, cost savings, and higher quality.

A business can benefit from economies of size and scope, lower expenses and duplication of effort, and expedite procedures by sharing these tasks.

Sharing activities can also reduce risk by offering redundancy and backup resources in case of outages or unforeseen events. A company, for instance, is better able to withstand supply chain disruptions brought on by natural catastrophes or labour strikes if it has many business divisions that share the same supply chain.

Contrarily, failing to share operations inside the organisation can increase risk by fostering silos that result in effort duplication, inefficiency, and higher costs. Also, it may make it more difficult for the business to adapt to market fluctuations or seize new possibilities.

Therefore, the Option C is correct.

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No one knows if diet food and soda will boom in the future. Jennie's company wants to add a line of diet snacks. These products would be considered _______.

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Jennie's company's new line of diet snacks would be considered a speculative product.

Speculative products are those that have an uncertain demand and are difficult to predict whether they will be successful in the market or not. In this case, no one knows whether the demand for diet snacks will increase in the future or not, so it is considered a speculative product.

Investing in speculative products can be risky since there is no guarantee that they will be successful in the market. However, it can also be an opportunity for companies to introduce innovative products and capture a new market if the product becomes popular.

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9. If the demand for a product is given by p = 66 - 2(q + 1), find the point elasticity when the price is $12. What type of elasticity is involved and how will a price increase affect total revenue?

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The point elasticity is approximately -0.923, the demand is inelastic because the absolute value of E is less than 1. An inelastic demand means that a price increase will lead to an increase in total revenue, as the percentage change in quantity demanded is smaller than the percentage change in price.

To find the point elasticity, we first need to calculate the quantity demanded at a price of $12.

p = 66 - 2(q + 1)

12 = 66 - 2(q + 1)

-54 = -2(q + 1)

27 = q + 1

q = 26

So at a price of $12, the quantity demanded is 26 units.

Now we can calculate the point elasticity using the formula:

E = (p/q)(dq/dp)

Where p = 12, q = 26, and dq/dp is the derivative of the demand function with respect to price:

d(p)/d(q) = -2

So:

E = (p/q)(dq/dp) = (12/26)(-2) = -0.92

Since the elasticity is negative, this represents a price-elastic demand. This means that as the price increases, the quantity demanded will decrease.

To determine the effect on total revenue, we need to consider the relationship between price and quantity demanded. If the price elasticity of demand is greater than 1 (as it is in this case), then a price increase will result in a decrease in total revenue. This is because the decrease in quantity demanded due to the price increase outweighs the increase in revenue per unit sold. Therefore, if the price were increased from $12, total revenue would decrease.
To find the point elasticity, we first need to find the quantity (q) when the price (p) is $12. Using the demand function p = 66 - 2(q + 1), we can plug in the price:

12 = 66 - 2(q + 1)

Now, we can solve for q:

54 = 2(q + 1)
27 = q + 1
q = 26

Next, we need to find the derivative of the demand function with respect to q:

dp/dq = -2

Now, we can calculate the point elasticity using the formula:

Elasticity (E) = (dq/dp) * (p/q)

E = (-2) * (12/26) = -24/26 = -12/13 ≈ -0.923

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