as a growing sector of the u.s. economy, how much did the service sector contribute to the private-sector gross domestic product (gdp) in 2018?

Answers

Answer 1

The service sector contributed to 76.8% to the US private-sector gross domestic product (GDP) in 2018.

Why is the service sector crucial to the American economy?

There are several reasons why the service sector is vital to society, including supplying the general public with necessary services Frequently, the public is served by service industries by way of important services like healthcare, transportation, and education.

In the United States, the service sector increased from producing less than 50% of the nation's gross domestic product (GDP) in 1919 to around 85% of the GDP in 2019. The primary driver of sustainable development is now volunteerism. About 70% of the world's economic output consists of services, and about 40% of all jobs worldwide are supported by these industries.

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Related Questions

what is the common axiom for it professionals? be professional value-added professions know the business understand the profession

Answers

Knowledge is power, according to a prevalent maxim among information technology experts. You can keep ahead of the competition and assure the success of your business by being up to date on the newest technology, trends, and best practices.

professions

Each profession is defined by its tasks. These activities are described in the precise sequence in which they would ordinarily be completed. Occupations in the armed forces Clerical support personnel. Workers in the craft and associated trades. Each profession is defined by its tasks. These activities are described in the precise sequence in which they would ordinarily be completed. Armed forces occupations; Clerical support jobs; Craft and related crafts professions; Elementary occupations; Managers; Plant and machine operators and assemblers; Professionals Service and sales workers

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madison corp. obtains the following information from its actuary. all amounts are as of january 1, year 4 (beginning of the year). projected benefit obligation $5,525,000 fair value of plan assets $5,750,000 unrecognized net loss $750,000 average remaining service period 10 years what is the amount of corridor amortization? $575,000 $175,000 $25,000 $17,500

Answers

Madison corp. obtains the amount of corridor amortization is $ 17, 500

Calculating the problem:

The corridor is    ($5,750,000 × 10%).

                            $ 5,75,000

The amount in excess of corridor  = ($750,000 – 575,000).

                                                               $1,75,000

To calculate the corridor amortization of  = ($175,000 ÷ 10 years).

                                                                      $17,500

How is amortization  expense calculated?

Subtract the residual value of the asset from the original value. Divide this number by the life of the asset. The result is the amount that can be depreciated each year. If the asset has no residual value, simply divide the initial value by its lifetime.

What does Amortization  mean?

Amortization is an accounting technique used to spread the cost of using a non-current asset over the period in which it is expected to provide value. Amortization considers the cost over the life of a long-term asset (such as a computer or vehicle).

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this type of insurance is used to protect a real property owner or lender up to a specified amount against certain types of loss, such as defective or unmarketable title...? extended insurance recordation insurance title insurance homeowner's insurance

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Title insurance is used to protect a real estate owner or lender from certain sorts of loss, such as a flawed or unmarketable title, up to a particular sum.

Define an Insurance.

Insurance is a tool for risk management. When you get insurance, you are protected from unforeseen financial losses. The insurance company pays you or a different individual of your choosing if something negative happens. Without insurance, you can be liable for all expenses if an accident occurs.

Lenders and homebuyers are safeguarded by title insurance, a type of indemnity insurance, from financial loss brought on by issues with a property's title. Lender's title insurance, which the borrower acquires to protect the lender, is the most typical sort of title insurance.

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how should you view your stock purchases? you need stocks in retirement, so be patient stocks award those that remain loyal stocks are a business, so sell without remorse and move on stocks are for fun, so enjoy yourself

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You should view your stock purchases as stocks are a business, so sell without remorse and move on.

What is stock purchase?

A "share" is a relatively small portion of a firm that you purchase when you buy its stock. Stocks are bought by investors who anticipate a rise in the value of the companies. The stock of the business gains value if that occurs. Afterward, a profit might be made on the stock sale.  

You can buy stocks on the broker's website shortly after creating and financing your account. You may increase your savings, shield your money from taxes and inflation, and increase the return on your investments by owning stocks in several different companies. Knowing there are risks is crucial when investing in the stock market.

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The complete question is:

How should you view your stock purchases?

You need stocks in retirement, so be patient

Stocks award those that remain loyal

Stocks are a business, so sell without remorse and move on

Stocks are for fun, so enjoy yourself

if you're running a video action campaign to drive more conversions in a simple and cost-effective way in a single automated campaign, what extension should you add to your campaign if your goal is to drive online sales?

Answers

Extensions to be added to drive online sales are -
1. Lead Forms
2. Location
3. Product Feeds
4. Site Links

G Ads is G's online advertising program. Through G advertisements, you can create online advertisements to reach people exactly when they're interested in the products and services that you offer.

G Promotions is an item that you can use to advance your business, assist with selling items or administrations, bring issues to light, and increment traffic to your site.

G advertisements accounts are managed online, so you can create and change your ad campaign at any time, including your advertisements text, settings, and budget.

There's no minimum spending commitment, and you set and control your own budget. You choose where your ad appears, set a budget that's comfortable for you, and easily measure the impact of your advertisements.

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how can the fed increase banks' holdings of reserves and potentially lower the money supply?

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In order to encourage banks to borrow more money, the Fed can lower the interest rate it charges if it wishes to provide them with more reserves. Instead, it can raise its rate and convince the banks to cut back on borrowing to absorb reserves.

How might the Fed encourage banks to maintain more reserves, potentially reducing the amount of money in circulation?

The necessary reserve ratio can be altered by the Fed to affect the money supply. Banks' ability to boost the money supply will be further constrained if the Fed raises the reserve ratio because doing so will result in a smaller basic deposit multiplier.

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Which of the following is least likely to be an audit objective for debt?
(1) Determine the existence of recorded debt.
(2) Establish the completeness of recorded debt.
(3) Determine that the client has rights to receive
proceeds relating to the redemption of debt.
(4) Determine that the valuation of debt is in accordance with generally accepted accounting principles.

Answers

Determine that the client has rights to receive proceeds relating to the redemption of debt is least likely to be an audit objective for debt.

Why is it crucial for auditors to ascertain whether the customer is abiding by debt provisions?

Due to the potential impact of a breach of such debt provisions on the total recorded current obligations, evaluation of client compliance with debt provisions is likely crucial to an audit. The auditor is most likely to receive information on shares issued and outstanding via a transfer agent or a registar.

The achievement of operational goals and objectives is another area in which auditors check that engagement objectives align with those of the organization. Information integrity and dependability. protection of assets.

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ash company reported sales of $470,000 for year 1, $520,000 for year 2, and $570,000 for year 3. using year 1 as the base year, what is the revenue trend percent for years 2 and 3?

Answers

The revenue trend percent for year 2 and year 3 is 110.6% and 121.3%. Sales growth over time is represented by revenue growth. It is employed to gauge how quickly a company is growing.

If a business made $75 billion in revenue in 2008 and $100 billion in revenue in 2009, its revenue increased by about ($100 billion/$75 billion)-1 =%33.

Increases in revenue are measured as a percent increase from a particular beginning point. In order to calculate revenue growth, you must first subtract the revenue from the prior period from the current period's revenue and then divide the result by the revenue from the prior period.

In the given question,

                        Revenue trend in year 1 = $470,000 = 100%

                        Revenue trend in year 2 = $520,000/$470,000 = 110.6%

                        Revenue trend in year 3 = $570,000/$470,000 = 121.3%

Therefore, 110.6% and 121.3% are the required solutions.

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nathan is working on the operating budgets for his company. he has already done the sales and production budgets, and he is now working on the direct materials, direct labor, and manufacturing overhead budgets. he decides to do the direct labor budget first, then the manufacturing overhead budget, then the direct materials budget. do you think this is an appropriate way to prepare the budgets? why or why not? yes, because the direct materials budget depends on the direct labor and manufacturing overhead budgets so it should always be prepared last. no, because the manufacturing overhead budget depends on the direct materials budget so the direct materials budget should be prepared second. no, because the direct labor budget depends on the direct materials budget so the direct materials budget should be prepared first. yes, because the manufacturing overhead budget depends on the direct labor budget but none of the other budgets depend on the direct materials budget.

Answers

Last statement: yes, because the manufacturing overhead budget depends on the direct labor budget but none of the other budgets depend on the direct materials budget

What is a budget for manufacturing overhead?

All production expenses excluding direct materials and direct labour are included in the manufacturing overhead budget. The data from this budget is added to the master budget's cost of goods sold line item.

The sum of all expenditures in this budget is translated into a per-unit overhead allocation, from which the cost of the final finished products inventory is calculated and which is then shown on the budgeted balance sheet. Given that it may include a significant fraction of a company's overall spending, this budget's information is among the most crucial of the several departmental budget models.

Usually, this budget is submitted either monthly or quarterly.

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all things equal, the market expects rates to in a recession. if the market suddenly expected a recession next year, investors will rush to buy debt securities, which will cause the yield curve to become .

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Inverted Yield Curve:

Long-term interest rates are lower than short-term interest rates, as shown by an inverted yield curve.

The yield falls off as the maturity date gets further away when the yield curve is inverted.

The inverted curve, also known as a negative yield curve, has historically been a good predictor of recessions.

The yield curve illustrates yields on comparable bonds with a range of maturities.

When short-term debt instruments with the same credit risk profile have greater yields than long-term instruments, the yield curve is inverted.

An unusual yield curve that is inverted indicates that bond investors anticipate a drop in longer-term interest rates, which are often linked to recessions.

The yield curve illustrates yields on comparable bonds with a range of maturities. It is often referred to as the interest rate term structure.

For instance, the U.S. Treasury releases daily yields on Treasury bills and bonds, which are graphed as curves.

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a. calculate the repricing gap and the impact on net interest income of a 1 percent increase in interest rates for each position. b. calculate the impact on net interest income on each of the above situations assuming a 1 percent decrease in interest rates. c. what conclusion can you draw about the repricing gap model from these results?

Answers

The foundation of the repricing gap concept is the idea that a bank's exposure to interest rate risk results from the fact that interest-earning assets and interest-bearing obligations have different sensitivity levels to changes in market rates.

The net interest income goal variable, which is used to estimate the impact of potential changes in market rates, can be regarded as an income variable in the repricing gap model (NII). The computations for the given questions are as under:

a) Position 1 Repricing gap = Rate sensitive assets - Rate sensitive

                                              liabilities

                                            = 200 - 100

                                            = 100 million

   Net Interest income = Position 1 Repricing gap * Interest

                                     = 100*1%

                                     = 1 million

  Position 2 Repricing gap = Rate sensitive assets - Rate sensitive

                                               liabilities

                                             = 100 - 150

                                             = -50 million

  Net Interest income = Position 1 Repricing gap * Interest

                                    = -50*1%

                                    = -0.5 million

  Position 2 Repricing gap = Rate sensitive assets - Rate sensitive

                                               liabilities

                                             = 150 - 140

                                             = 10 million

 Net Interest income = Position 1 Repricing gap * Interest

                                   = 10*1%

                                   = 0.1 million

b) In case of 1% drop in interest rate,

Net Interest income position 1 = Position 1 Repricing gap * - Interest

                                                  = 100*-1%

                                                  = -1 million

Net Interest income position 2 = Position 1 Repricing gap * - Interest

                                                   = -50*-1%

                                                   = 0.5 million

Net Interest income position 3 = Position 1 Repricing gap * - Interest

                                                   = 10*- 1%

                                                   = - 0.1 million

c) When there is a positive repricing gap, there is a positive net interest income with an increase in interest rates and a negative net interest income with a fall in interest rates.

When there is a negative repricing gap, there is a negative interest income with an increase in interest rates and a positive interest income with a fall in interest rates.

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Complete question:

Consider the following balance sheet positions for a financial institution: • Rate-sensitive assets = $200 million. Rate-sensitive liabilities = $100 million • Rate-sensitive assets = $100 million. Rate-sensitive liabilities = $150 million • Rate-sensitive assets = $150 million. Rate-sensitive liabilities = $140 million.

a. Calculate the repricing gap and the impact on net interest income of a 1 percent increase in interest rates for each position.

b. Calculate the impact on net interest income on each of the above situations assuming a 1 percent decrease in interest rates.

c. What conclusion can you draw about the repricing model from these results?

george and jerry are competitors in a local market. each is trying to decide if it is better to advertise on tv, on radio, or not at all. if they both advertise on tv, each will earn a profit of $3,000. if they both advertise on radio, each will earn a profit of $5,000. if neither advertises at all, each will earn a profit of $10,000. if one advertises on tv and the other advertises on radio, then the one advertising on tv will earn $4,000 and the other will earn $2,000. if one advertises on tv and the other does not advertise, then the one advertising on tv will earn $8,000 and the other will earn $5,000. if one advertises on radio and the other does not advertise, then the one advertising on radio will earn $9,000 and the other will earn $6,000. if both follow their dominant strategy, then george will a. advertise on tv and earn $8,000. b. advertise on tv and earn $3,000. c. advertise on radio and earn $5,000. d. not advertise and earn $10,00

Answers

Option D).Not advertise and earn $10,000

According to the scenario, everyone would make a profit of $10,000 even if they didn't promote at all.

How does advertising work?

Ads that offer endorsements, provide information, or are persuasive are the three basic forms of advertising used in political public relations.

This is how news is usually distributed, whether it's by print, radio, television, or another medium.

Keep in mind that the three primary forms of advertising used in political PR are informational, persuasive, and endorsement-based.

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auto inc. has come up with a new series of ads to promote the use of seat belts. it has also invested in various billboards across new york city and chicago for the same purpose. this campaign is an example of

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The statement claims that this campaign is an example of advocacy advertising.

Investment: what is it?

The investments are purchase made in the anticipation of profit or capital growth. The term "appreciation" refers to a rise in a stock's worth over time. When someone makes an investment, they don't intend to use it right immediately; rather, they aim to utilize it to grow their wealth in the future.

Why is investment crucial to our economy?

Investment increases the capital stock, and the amount of capital that is accessible to that of an economy is a key factor in determining its productivity. Investment supports economic expansion in this way.

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what is the gross development profit (nearest percentage) for a going in cap rate of 10% and an exit cap rate of 8%?

Answers

The gross development profit (nearest percentage) for a going in cap rate of 10% and an exit cap rate of 8% will be (10%/8%)-1 = 50%

What is gross development profit?

Gross Development Profit The cost of development is compared to the sales of the finished properties to determine value. The entire profit value is then converted into percentage terms. The estimated pre-income tax profit margin, which is normally between 15 and 25 percent, is calculated as the expected going-in cap rate divided by the expected going-out cap rate, minus. The second version of this formula is a more conventional method for determining the financial viability of a real estate development project since it helps to highlight the developer's profit so that an evaluation of the project's viability can be made at the onset.

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the management of lee corporation is considering a project that would require an investment of $400,000 and would last for 8 years. the annual net operating income from the project would be $140,000, which includes depreciation of $43,000. the salvage value of the project's assets at the end of the project would be $56,000. the payback period of the project is closest to: a. 2.2 years b. 2.9 years c. 3.5 years d. 4.1 years

Answers

The payback period of the project is closest to 2.9 years. This can be calculated using the following formula:

Payback Period = Investment / Annual Net Operating Income

Payback Period = 400,000 / (140,000 - 43,000)

Payback Period = 2.86 years (or 2.9 years rounded up)

Payback period is defined as the number of years required to recover the original cash investment. In other words, it is the period of time at the end of which a machine, facility, or other investment has produced sufficient net revenue to recover its investment costs.

Once the cumulative cash flow is positive—the payback year—the cost of the investment is divided by the annual cash flow to get the payback period. Typically, the payback period is indicated in years.

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8. assume that cane normally produces and sells 60,000 betas and 80,000 alphas per year. if cane discontinues the beta product line, its sales representatives could increase sales of alpha by 15,000 units. what is the financial advantage (disadvantage) of discontinuing the beta product line?

Answers

The financial drawback of ending the beta product line is the anticipated rise in total earnings.

A group of related products offered by the same business and marketed under a single brand name is referred to as a product line. To help consumers identify between different product lines, businesses advertise a wide range of product lines under numerous brand names. Product line is a marketing term for the separate sale of a number of related products. Expansion, relocation, and shrinking of product lines are among the decisions that affect them. Over the course of the product's existence, the marketing executive will make a number of decisions affecting the product line. The financial drawback of ending the beta product line is the anticipated rise in total earnings. A group of connected items supplied by the same business and marketed under a single brand name is referred to as a product line.

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Which one of the following is representative of typical cash flows from operating activities?

Multiple Choice

Proceeds from collecting the principal amounts of loans.

Repayment of principals on loans.

Proceeds from the issuance of bonds and notes payable.

Payments by a merchandiser to acquire equity securities of other companies.

Receipts of cash sales.

Answers

Receipts of cash sales is representative of typical cash flows from operating activities.

What Is Cash Flow From Operating Activities (CFO)?

The amount of money a business earns from ongoing, routine business operations, such as producing and selling products or offering clients a service, is known as cash flow from operating activities (CFO). It is shown as the first portion of the cash flow statement for a corporation.

Investment income and expense are not included in cash flow from operational activities or long-term capital expenditures. CFO, also known as operating cash flow (OCF) or net cash from operating activities, focuses exclusively on the core business.

The indirect method and the direct method are both ways to show cash from operating activities on a cash flow statement.

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Product planners need to think about products and services on three levels:
- each level adds more customer value
- CORE CUSTOMER VALUE
- ACTUAL PRODUCT
- AUGMENTED PRODUCT

Answers

Correct option is CORE CUSTOMER VALUE. It is the most basic level that addresses the question.

1. Core Benefit

The essential need that the customer is able to satisfy when they purchase the goods is the core benefit.

It's crucial to consider the main benefit from the customers' point of view. Asking yourself, "Fundamentally, why is the client buying this product?" is the simplest method to accomplish this.

2. Actual Product

The features and design of the product are what make it what it is. Products generally have a ton of features but few core benefits (benefits that the client actually receives).

3. Augmented Product

Any non-physical components of the product are the augmented product. The augmented product typically comes with things like a warranty and customer service. The augmented product can be a crucial tool for customizing your offering to satisfy particular customers' needs.

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Complete question -

Product planners need to think about products and services on three levels. Each level adds more customer value. Which one of the following is the most basic level that addresses the question, “What is the buyer really buying?”

A. Actual product

B. Augmented product

C. CORE CUSTOMER VALUE

D. Co-branding

if a foreign supplier sells a good in another country at a cheaper price than it sells the good in its home market, the a. foreign supplier will gain a monopoly in the foreign market. b. consumers in the receiving country will be harmed by the dumping of the good into its domestic market. c. usual implications of the law of comparative advantage with trade restrictions do not hold in this case, particularly if the low-cost supplier is subsidized by a foreign government. d. consumers in the receiving country can gain from buying the foreign-produced good if it is cheaper than the cost of producing the good domestically.

Answers

Dumping occurs when a country or company exports the product at a price that is lower in  foreign importing market than  price in the exporter's domestic market.

A company may be organized in various ways for tax and monetary legal responsibility functions depending on the company law of its jurisdiction.

There are 3 not unusual varieties of companies—sole proprietorship, partnership, and business enterprise—and each comes with its very own set of blessings and downsides.

Typically recognized forms of agencies like, private agencies and Public agencies are defined based totally on a number of individuals (shareholders). In any company, besides OPC, the membership can be held by way of any man or woman or even a frame corporate.

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the united widget workers and generico, inc. have been unable to agree to a labor contract. they have agreed to bring michael in to serve as an independent third party to facilitate negotiation. they have not, however, given michael the power to make binding decisions. michael will play the role of

Answers

U.S. Widget Defective widgets are a concern in manufacturing. Each day, workers produce tens of thousands of them, many of which are flawed. Workers at United have access to training,

What inquiries should one make when purchasing a manufacturing firm?

I've put up a list of inquiries every buyer need to be making before purchasing a manufacturing firm as an M&A expert who only sells inside the manufacturing sectors.

How should a manufacturing process be managed?

Taking care of each stage of the manufacturing process is part of overseeing it. Additionally, the inventory that will be used has to be closely monitored by the factory supervisor. Step 1: Keep track of the various manufacturing stages and determine if the workforce generated enough goods.

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what term refers to a ranked group within a hierarchically stratified society whose membership is defined primarily in terms of wealth, occupation, or other economic criteria?

Answers

Caste is a term that refers to a ranked group within a hierarchically stratified society whose membership is defined primarily in terms of wealth, occupation, or other economic criteria.

What is occupation?Occupation refers to a general term that refers to the field or industry in which you work or the work you are interested in. It can also mean as someone's role within an organization. Listing your occupation in an interview includes the impact on you, your job, your profession, and your career in one answer. Occupation refers to the type of work performed on a job. A job is any task that a particular worker performs in order to perform a job. A profession is a set of activities that are sufficiently similar in terms of the activities performed. If you are completing an internship, gap year, or  apprenticeship, please enter your new job title as your main job.If you are  not working on your gap year, you must declare that you are unemployed. Next, you need to declare your side job as "student".

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assume the following information for a company that produced and sold 10,000 units during year 1. it also produced 15,000 units and sold 12,000 units during year 2, while producing 12,000 units and selling 15,000 units in year 3. per unit per year selling price $ 240 direct materials $ 90 direct labor $ 59 variable manufacturing overhead $ 10 sales commission $ 11 fixed manufacturing overhead $ 450,000 fixed selling and administrative expense $ 150,000 using absorption costing, what is the cost of goods sold for year 3?

Answers

Assume the following or a information company that produced and sold 10,000 units during year 1 .The cost of goods sold for year 3 is 26,40,000

Calculating the problem:

Year 2

Particulars                                                   Amount ($)

Direct Materials                                                 75

Direct Labour                                                          55

Variable Manufacturing overhead                   10

Fixed Overhead (450000/15000)                   30

Total Cost Per Unit                                           170

Units                                                                   3000

Closing Stock Value                                         51000

Year 3:

Particulars                                  Amount ($)

Direct Materials                                   75

Direct Labour                                            55

Variable Manufacturing overhead     10

Fixed Overhead (450000/12000)   37.5

Total Cost Per Unit                            177.5

No. of units Produced                           12000

Total Cost of Units produced             2130000

Add : Opening Stock Value                      510000

Less: Closing Stock Value                            0

Cost of Goods Sold                             2640000

What are expenses?

Overhead costs, often referred to as overhead costs or operating costs, refer to costs associated with running a business that cannot be related to the creation or manufacture of products or services. They are the costs a company incurs to stay in business regardless of its level of success.

Why overheads matter?

Overhead allocation is important because it directly impacts a small business's balance sheet and income statement. These costs will incur no matter what and your accounting system needs to track them. Many accounting systems require you to assign costs to the goods you produce.

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a monopolist faces a demand curve that is group of answer choices the same as the total market demand. horizontal. perfectly inelastic. very stable, not greatly affected by economic changes. relatively elastic.

Answers

The Answer is A. "The same as the total market demand".

Market demand is how much consumers want a product for a given period of time. It is the summation of the total individual's demand curves. The total amount of services and goods that all consumers are willing and able to purchase at a specific price in a marketplace.

Monopolist :

A monopolist is the sole seller and producer of the product in the market, thereby catering to the entire market demand alone. An individual, group, or company that controls the market for a service or good. Monopolists often charge high prices for their goods.

Without competition, monopolies can set prices and keep pricing reliable and consistent for consumers. Monopolies enjoy economies of scale, often able to produce mass quantities at lower costs per unit. Standing alone as a monopoly allows a company to securely invest in innovation without fear of competition.

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Which of these is the measurement of risk for a collection of stocks for an investor ?
A beta
B . efficient market
C . expected return
d. portfolio beta

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d. portfolio beta is the measurement of risk for a collection of stocks for an investor.

According to the proportions of the investments in the portfolio, the beta of a portfolio is the weighted total of the betas of the individual assets.

For instance, if 50% of the capital is invested in stock A, which has a beta of 2.00, and 50% is invested in stock B, which has a beta of 1.00, the portfolio's beta is 1.50.

According to the individual stock betas of the securities that make up a portfolio, portfolio beta describes the relative volatility of a portfolio of individual securities when viewed as a whole.

A portfolio with a beta of 1.05 in relation to the S&P 500 is predicted to increase by 10.5% if the S&P's excess return increases by 10%.

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online solutions, a software company, changed its pay structure from 3,400 job titles and 14 pay grades to a simpler structure with 1,000 jobs and 7 pay grades. the managers were then asked to choose pay levels that were based on the market. this is an example of

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The managers were asked to choose pay levels that were based on the market. This is an example of pay based on market pricing.

The practise of assessing external salary survey data to determine the value of jobs as reflected by the data based on the "scope" of the work is known as market pricing (company size, industry type, geography, etc.). The way of valuing work that is used the most now is market pricing. Based on the organization's best estimation of the normal salary rates in the external market place for that job, job rates are determined using this method. To match suitable employment, job descriptions are used.

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examples of product ingredients of the marketing mix include design of the product and trade names, packaging, and warranties. (True or False)

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The product's design, trade names, packaging, and warranties are a few examples of the product ingredients in the marketing mix. The given statement is true.

Define marketing mix.

The four Ps of product, price, place, and promotion have historically been the focus of a fundamental business model known as the "marketing mix." The marketing mix is referred to as the "collection of marketing instruments that the organization utilizes to attain its marketing objectives in the target market."

The four Ps are a "marketing mix" that includes four crucial elements for selling a good or service: product, pricing, place, and promotion. When businesses create marketing plans and strategies to reach their target audience, they frequently consider the four Ps.

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as consumers we can purchase foods that require a low energy input by:

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By choosing grass-fed beef over grain-fed beef, consumers can choose items that require little energy input.

What distinguishes beef from cattle reared on cereals from meat raised on grass?

Due to their diet, calves raised on grains frequently have more marbling and fat that is more whitish in color. Marbling is taken into consideration when determining quality since it considerably enhances the flavor and tenderness of beef. The fat in grass-fed beef is typically more yellow in color, less marbling overall, and leaner.

According to studies, grass-fed beef has higher amounts of total nutrients, phytonutrients, antioxidants, vital fatty acids, vitamins, minerals, protein, and amino acids when compared to animals fed grains.

Grain-finished beef has a smaller carbon footprint since the cattle reach production weight and maturity at a younger age. However, calves fed on grass can help the environment by consuming feed from grasslands that store carbon.

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for a monopolist, when does marginal revenue exceed average revenue? a. when output is greater than the profit-maximizing level of output b. for all levels of output greater than zero c. when output is less than the profit-maximizing level of output d. never

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The Correct option is D. for a monopolist when the never Marginal revenue exceeds average revenue.

Marginal revenue is the growth in revenue that consequences from the sale of one extra unit of output. while marginal revenue can remain constant over a certain degree of output, it follows from the law of diminishing returns and could in the end sluggish down as the output degree will increase. Marginal sales (or marginal gain) is a vital idea in microeconomics that describes the extra overall revenue generated via growing product sales by using 1 unit. To derive the value of marginal sales, it is required to look at the difference among the mixture benefits a firm received from the amount of a good and provider produced closing duration and the contemporary length with one extra unit growth inside the rate of manufacturing.

Marginal revenue is an essential device for financial decision-making within a firm's setting, together with the marginal fees to be considered. earnings maximization requires that a firm produces wherein marginal revenue equals marginal charges. income maximization requires that a firm produces where marginal revenue equals marginal expenses.

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how do large companies organize their engineers? it is organized by functional teams. it is organized by seniority. it varies from company to company. it is organized by product teams.

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It is organized by functional teams. it is organized by seniority. it varies from company to company. it is organized by product teams.

Seniority is the kingdom of being older or positioned in a better position of reputation relative to another person, institution, or company.[1] for instance, one worker may be senior to any other either by role or rank (including a CEO vice a supervisor), or by having extra years served in the corporation (which includes one peer being accorded greater fame over every other because of amount of time in). The term "seniority" can observe to both idea or both simultaneously.

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how has the culture of entrepreneurship and innovation been nurtured at 3m from the era of mcknight through to that of desimone? how has entrepreneurship been institutionalized within the company?

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The 3M’s lifestyle of entrepreneurship and innovation nurtured each via formal and informal trends from the era of McKnight to De Simone. thinking about the development, McKnight created a robust research and improvement base in the course of the years that consists of the lot primary studies Lab, Technical Council, and so forth.

It enabled to build an informal network between technical employees from different divisions and the important studies laboratory for you to leverage product innovation opportunities. The forum additionally accelerated the enterprise overall performance and recognition of 3M round the arena. this is due to the fact the forum had attracted up to 9,500 members from distinct international locations round the arena; therefore it led to a worldwide community for all researchers to proportion thoughts, clear up problems, and leverage era.

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