comment on the launch strategy used by tesla, for both the first launch of the model s and the second launch of the model 3. what was the benefit to tesla of entering the electric car market with the high-priced model s? was the decision to follow-up with the lower priced model 3 a wise one? what are the pros and cons of this launch strategy? is tesla an example of either the classic or high-end disruptive innovation. why?

Answers

Answer 1

Te-sla's launch strategy for both the first launch of the Model S and the second launch of the Model 3 was centered on innovation and luxury.

With the Model S, Tesla focused on creating a high-end electric car that offered superior performance and luxury features. The company marketed the Model S as a premium electric vehicle for early adopters, with a price tag of over $70,000.

For the Model 3, Tesla shifted its focus to a more affordable price point while still maintaining the company's reputation for innovative technology and performance. The Model 3 was marketed as a more accessible electric car for a wider audience, with a starting price of around $35,000.


The benefit to Tesla of entering the electric car market with the high-priced Model S was that the company was able to establish itself as a leader in the electric car industry. By creating a luxury electric car with superior performance, Tesla was able to attract a niche market of early adopters who were willing to pay a premium price for an innovative product. This helped Tesla to establish its brand as a premium electric car manufacturer and created a perception of exclusivity and luxury that has helped the company to maintain its premium reputation.

The decision to follow up with the lower-priced Model 3 was a wise one because it allowed Tesla to expand its customer base and reach a wider audience. By offering an electric car at a more affordable price point, Tesla was able to attract a larger market of consumers who may not have been able to afford the higher price of the Model S. This helped to democratize electric cars and make them more accessible to the general public, which has been one of Tesla's key goals from the beginning.

The pros of Tesla's launch strategy are that it allowed the company to establish itself as a leader in the electric car industry, maintain its premium reputation, and expand its customer base. The cons are that the high price point of the Model S may have limited its appeal to a niche market, and the company may have missed out on potential customers who were interested in electric cars but could not afford the high price.

Tesla is an example of a high-end disruptive innovation because it disrupted the traditional automotive industry with its innovative technology and premium electric cars. The company created a new market for electric cars by offering a luxury product that was not previously available, and it has continued to disrupt the industry by expanding its product line and making electric cars more accessible to a wider audience.

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Related Questions

The inefficiency of a sales tax on a good is ultimately the result of the:.

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The inefficiency of a sales tax on a good is ultimately the result of several factors. First, a sales tax increases the price of the good, which reduces consumer demand for it. This reduction in demand can lead to a decrease in sales, which can have a negative impact on businesses that sell the product. Additionally, a sales tax can create a disincentive for businesses to produce and sell the good, which can reduce supply and limit consumer choice.

Another issue with a sales tax is that it can be regressive, meaning it places a greater burden on low-income households. This is because low-income households tend to spend a larger percentage of their income on goods subject to the tax, while higher-income households are more likely to spend a larger portion of their income on items that are exempt from the tax or subject to lower rates.

Overall, the inefficiency of a sales tax on a good is the result of a combination of factors, including reduced consumer demand, a disincentive for businesses to produce and sell the good, regressive impacts on low-income households, and administrative and compliance costs.

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in a health insurance policy, what term describes a situation where a policyowner transfers a portion of his or her rights in an insurance policy to the hospital?

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The term that describes a situation where a policyowner transfers a portion of his or her rights in an insurance policy to the hospital is "assignment". An assignment is a legal transfer of ownership of an insurance policy from the policyowner to another party, such as a hospital. In the context of health insurance, an assignment typically occurs when a hospital agrees to accept a patient's insurance policy as payment for services rendered.

When a policyowner assigns their insurance policy to a hospital, they transfer the right to receive payment for covered medical expenses directly to the hospital. This means that the hospital can bill the insurance company directly for the cost of services provided to the patient, rather than having to bill the patient and wait for them to submit a claim to the insurance company. Assignments can be partial or full, and can be temporary or permanent. In the context of health insurance, assignments are typically used to facilitate payment for expensive medical procedures, such as surgeries or hospital stays, by allowing hospitals to receive payment directly from insurance companies.

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the federal reserve banks are quasi-public banks which means that select an answer and submit. for keyboard navigation, use the up/down arrow keys to select an answer. a they are privately owned but managed in the public interest. b they deal only with banks of foreign nations. c they deal only with commercial banks, and not the public. d they are publicly owned but privately operated.

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The correct answer is a) they are privately owned but managed in the public interest. The Federal Reserve Banks are technically owned by member banks, which are private institutions, but they are also subject to significant government oversight and regulation. Their primary purpose is to serve as a central bank for the United States, overseeing monetary policy and providing financial services to commercial banks.

However, their ultimate goal is to promote the public interest by maintaining a stable and secure financial system, controlling inflation, and promoting economic growth. So while the Federal Reserve Banks do have private ownership, they operate primarily for the benefit of the public.


The Federal Reserve Banks are quasi-public banks, which means that they are privately owned but managed in the public interest (option A). This structure allows them to operate independently within the government framework while also serving the broader public's financial needs.

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A classified balance sheet:
a) Measures a company's ability to pay its bills on time.
b) Organizes assets and liabilities into important subgroups.
c) Presents revenues, expenses, and net income.
d) Reports operating, investing, and financing activities.
e) Reports the effect of profit and withdrawals on owner's capital.

Answers

A classified balance sheet is a financial statement that organizes a company's assets and liabilities into important subgroups. option (b)

Assets are typically categorized as current assets, such as cash and accounts receivable, and long-term assets, such as property and equipment. Liabilities are typically classified as current liabilities, such as accounts payable and short-term debt, and long-term liabilities, such as long-term debt and pension obligations.

By organizing assets and liabilities into subgroups, a classified balance sheet provides a clearer picture of a company's financial position and helps users of financial statements to assess a company's liquidity, solvency, and overall financial health.

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assume gator specialty products conducted a product portfolio analysis and found that its t-shirt line was a cash cow. which of the following would be a reasonable strategy for gator specialty?

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Answer to the question would be that a reasonable strategy for Gator Specialty would be to continue to invest in and maintain its t-shirt line as a cash cow.

This would involve allocating resources towards maintaining and improving the quality and marketing of the product, while potentially looking for opportunities to expand into related markets or product lines.

Cash cows are products that have a high market share in a low-growth market. They generate significant revenue and profits for the company with relatively low investment or risk. Therefore, it makes sense for Gator Specialty to continue to focus on this product line and use the profits generated to support other areas of the business that may require more investment or have higher growth potential.

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What does it mean when a firm’s performance on one of the dimensions of service quality is above the highest point in the zone of tolerance?.

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When a firm's performance on one of the dimensions of service quality is above the highest point in the zone of tolerance, it means that the firm is exceeding customer expectations in that particular dimension.

The Zone of Tolerance is a range within which customers are willing to accept variations in service quality. This zone is defined by two boundaries: the desired level of service (i.e., what customers expect) and the adequate level of service (i.e., the minimum acceptable level). When a firm's performance exceeds the highest point of this zone, it implies that the service provided goes beyond the customers' expectations, leading to increased customer satisfaction.



1. Identify the specific dimension of service quality (e.g., reliability, responsiveness, assurance, empathy, or tangibles).
2. Determine the desired level of service (what customers expect) and the adequate level of service (minimum acceptable level) for that dimension.
3. Assess the firm's performance in that dimension by gathering customer feedback, monitoring service delivery, or conducting service audits.
4. Compare the firm's performance with the zone of tolerance boundaries. If the performance is above the highest point, the firm is exceeding customer expectations.

In conclusion, achieving a performance above the highest point in the zone of tolerance signifies that the firm has successfully managed to deliver service quality beyond customers' expectations in a specific dimension. This can result in positive outcomes such as increased customer satisfaction, loyalty, and a stronger competitive advantage in the market. However, it is essential for the firm to maintain consistency in exceeding expectations across all dimensions of service quality to ensure overall customer satisfaction and sustainable business growth.

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banana corporation pays for 40% of its raw materials purchases in the month of purchase and 60% in the following month. if the budgeted cost of raw materials purchases in july is $256,550 and in august is $278,050, then in august the total budgeted cash disbursements for raw materials purchases is closest to:

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The total budgeted cost outlays for raw material purchases are close to $265,150.

A budgeted cost is a projected future cost that the organization hopes to cause. All in all, it is an expected cost that the administration hopes to bring about later on in view of projected incomes and sales.

It lets you know how much cash you hope to pay out over a particular period and incorporates things like work and utility expenses.

Thusly, Catano Organization pays 40% of its natural substance buys in the long stretch of procurement and 60% soon after. On the off chance that the planned expense of natural substance buys in July is $256,550 and $278,050 in August,

Cash disbursements:

From July= 256,550 × 0.60 = 153,930

From August= 278,050 × 0.4 = 111,220

Total= $265,150.

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the own-price elasticity of demand for oranges at the farm level is -0.3. suppose that an unexpected freeze occurs resulting in a 6% drop in orange production. what is the resulting impact on orange prices?

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necessary percentage increase in price would be 9%. This means that if the original price of oranges was $1.00 per pound, the new price would be $1.09 per pound.

The given information suggests that the own-price elasticity of demand for oranges at the farm level is -0.3. This means that a 1% increase in the price of oranges leads to a 0.3% decrease in the quantity demanded of oranges. Similarly, a 1% decrease in the price of oranges would lead to a 0.3% increase in the quantity demanded of oranges.Now, suppose that due to an unexpected freeze, there is a 6% drop in orange production. This means that the supply of oranges has decreased, while the demand remains the same. According to the law of supply and demand, a decrease in supply while the demand remains constant would lead to an increase in the price of oranges.To determine the magnitude of this price increase, we need to understand the concept of elasticity of supply. The elasticity of supply is the degree of responsiveness of the quantity supplied to a change in price. If the supply is relatively elastic, then a change in price would lead to a larger change in the quantity supplied. On the other hand, if the supply is relatively inelastic, then a change in price would lead to a smaller change in the quantity supplied.In the case of oranges, the elasticity of supply is likely to be relatively inelastic in the short run, as the production of oranges cannot be increased quickly due to the time required for planting, growing, and harvesting. Therefore, we can assume that the supply of oranges is relatively inelastic, which means that a 6% drop in production would lead to a smaller percentage change in the quantity supplied.In conclusion, the unexpected freeze that led to a 6% drop in orange production would result in a 9% increase in orange prices if the elasticity of demand for oranges is -0.3 and the elasticity of supply for oranges is -0.1. However, it is important to note that these elasticities may vary depending on the specific circumstances, and the actual impact on orange prices may differ from the estimated impact.

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when a gain results from the sale of section 1245 property, how does the taxpayer determine the amount that should be taxed as ordinary income? multiple choice question. the gain is allocated to ordinary income based on the profit percentage of the sale. the lesser of the recognized gain or the accumulated depreciation on the asset is ordinary income. the total amount of accumulated depreciation on the asset is recaptured as ordinary income. the current year's depreciation is recaptured as ordinary income

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The current year's depreciation is recaptured as ordinary income taxpayer determine the amount that should be taxed as ordinary income.

A taxpayer is a person or entity (such as a business) who is required to pay a tax. Modern taxpayers may have an identification number, which is a reference number issued by the government to individuals or businesses. The phrase "taxpayer" often refers to someone who pays taxes.

In taxes, a taxpayer is known as an Assessee, and he or she is obligated to pay tax to the government directly or indirectly based on the nature and amount of income received in the previous year. The taxpayer is also expected to pay taxes to the government through specific channels/methods. A taxpayer is a person or entity (such as a business) who is required to pay a tax.

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initially, the exchange rate between south korean won and mexican pesos is in equilibrium. then, there is an increase in supply of mexican pesos. as a result of an increase in supply of mexican pesos, what happens to south korea's currency in relation to mexico's currency? there will be a depreciation in south korean won. no change in south korean won. an appreciation in south korean won. also, as a result of an increase in supply of mexican pesos, what happens to mexico's currency in relation to south korea's currency? there will be a depreciation in mexican pesos. no change in mexican pesos. an appreciation in mexican pesos.

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In contrast, the excess-supply of pesos will create an increased demand for South Korean won in the market for foreign-exchange.

When there is an increase in supply of Mexican pesos, the equilibrium in the market for Mexican pesos will shift to the right, meaning that the supply of pesos will exceed the demand for pesos.

This excess-supply of pesos will cause the value of the Mexican peso to decrease relative to the South Korean won. This means that there will be a depreciation in Mexican pesos in relation to South Korean won.

This increased demand will cause the value of South Korean won to appreciate relative to Mexican pesos.

Therefore, there will be an appreciation in South Korean won in relation to Mexican pesos.

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Psychic rewards that an entrepreneur might receive include(check all that apply):A.stock options.B.the pride of self-accomplishment.C.being one's own boss.D.status within the community

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Psychic rewards refer to the non-monetary benefits that an entrepreneur can receive from starting and running their own business. Option B,C,D

These rewards are often intangible and personal in nature, and can vary from person to person. Some common psychic rewards that entrepreneurs might receive include:

The pride of self-accomplishment: Starting and growing a successful business can be a challenging and rewarding experience. Many entrepreneurs feel a sense of pride and accomplishment from building something from scratch and seeing it thrive.

Being one's own boss: Many entrepreneurs are motivated by the desire to be in control of their own destiny. Being your own boss can provide a sense of autonomy and freedom that can be difficult to achieve in a traditional job.

Status within the community: Successful entrepreneurs are often seen as leaders and innovators within their communities. This can provide a sense of status and recognition that can be personally fulfilling.

While stock options are a potential financial reward that entrepreneurs might receive, they are not typically considered a psychic reward. Overall, the psychic rewards of entrepreneurship can be a powerful motivator for those looking to start their own business. So correct Option is B,C,D.

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Which of the following is NOT true regarding period order quantity method (POQ) of lot
sizing?
A) The time interval of inventory coverage is constant.
B) POQ is better suited to lumpy demand than EOQ.
C) POQ and EOQ will try to order the same number of times per year.
D) The order quantity is constant.
E) POQ is derived directly from the EOQ.

Answers

Option d: Regarding the period order quantity method (POQ) of lot sizing, it is FALSE that the order quantity is constant.

A set number of units that must be ordered over a predetermined period of time is known as the period order quantity. When the use of supplies or raw materials is predictable and consistent, this strategy is employed. A master purchase order agreement allows the purchasing team to easily arrange for the delivery of certain amounts at predetermined intervals.

The purchasing staff tracks the supplier's ability to deliver as of a certain date and time, as well as the number of units supplied against the overall amount authorised under the relevant master purchase order, as soon as they are received. One of the simplest and least expensive ways to place a purchase is through this method.

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on october 1, 2021, iona ford co. issued stock options for 300,000 shares to a division manager. the options have an estimated fair value of $3 each. to provide additional incentive for managerial achievement, the options are not exercisable unless divisional revenue increases by 6% in three years. ford initially estimates that it is probable the goal will be achieved. after one year, ford estimates that it is not probable that divisional revenue will increase by 5% in three years. in 2022, ford will:

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In 2022, Iona Ford Co. will need to re-evaluate the probability of achieving the revenue increase goal in order to determine if the stock options should be reclassified as a liability and if any adjustments need to be made to the estimated fair value of the options.

When Iona Ford Co. initially issued the stock options, they believed it was probable that the divisional revenue would increase by 6% in three years. However, after one year, they determined that it is not probable that the goal will be achieved due to a lower estimated increase in revenue. As a result, they will need to re-evaluate the probability of achieving the goal at the end of year two and year three. If it is still not probable that the goal will be achieved, then the stock options may need to be reclassified as a liability on the balance sheet and any adjustments to the estimated fair value will need to be made.

1. On October 1, 2021, Ford granted stock options for $900,000 for 300,000 shares with a fair value estimated at $3 each.

2. The options are contingent upon a 6% increase in divisional revenue over three years, which Ford initially estimated as probable.

3. Ford would have recorded the stock option compensation expense in 2021, spreading the total value ($900,000) over the vesting period (3 years). In this case, Ford would have recorded an expense of $300,000 in 2021.

4. One year later, Ford reevaluates the likelihood and concludes that it is unlikely that the divisional revenue will rise by 6% during the following three years.

5. Due to this change in probability, Ford will reverse the stock option compensation expense recorded in 2021. In 2022, Ford will credit the stock option compensation expense by $300,000 to reverse the initial expense, and no further expenses related to these options will be recorded.

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the accounting department of a manufacturing company is a(n): multiple choice question. investment center profit center asset center cost center

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Cost center, meaning that the accounting department is primarily responsible for controlling and reducing costs within the company.

While the accounting department may not directly generate revenue, they do play a crucial role in managing financial resources and providing accurate financial information to other departments. In this sense, the accounting department could also be considered an asset center or a profit center, depending on how their contributions are measured and evaluated within the company.

A cost center is a department or unit within an organization that incurs expenses but does not generate profits directly. The accounting department focuses on tracking and managing the company's expenses, making it a cost center.

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quizet the informal sector in the periphery subsidizes products for consumers in the core. group of answer choices true false

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The statement is true that the informal sector in the periphery often produces goods and services at lower costs due to lower labor and production costs.

These products are then sold at a lower price, making them more accessible to consumers in the core. This results in consumers in the core benefiting from cheaper products due to the subsidized costs from the informal sector in the periphery. However, it is important to note that this system can also contribute to perpetuating poverty and inequality in the periphery, as workers in the informal sector may not have access to benefits or protections, and their labor may be undervalued.

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Which of the two following businesses would benefit from using Wi-Fi only tablets rather than spending the extra money for cellular-enabled tablets?

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The two businesses in question are not provided in the prompt. Therefore, it is not possible to determine which business would benefit more from using Wi-Fi only tablets.

However, in general, businesses that operate primarily within the confines of a location with a reliable Wi-Fi network, such as an office or retail store, may benefit from using Wi-Fi only tablets. This is because they do not require a cellular connection and the added expense of a data plan.

On the other hand, businesses that require mobile connectivity and operate outside of areas with reliable Wi-Fi coverage may require cellular-enabled tablets to ensure reliable access to data and information while on the go.

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if people act with rational expectations, an expansionary monetary policy will have what effect? people will anticipate inflation and jump to higher prices without changing output. people will not anticipate inflation but will increase output as nominal prices rise. people will not anticipate inflation but will decrease output as nominal prices drop. people will anticipate inflation and will increase output as prices rise.

Answers

The expansionary monetary policy leads to an increase in output above the full employment level. Rational expectations of the people imply that there will be inflation in the economy.

The effect of expansionary monetary policy is shown in the image attached below:

Short-term interest rates are lowered or the money supply is increased more quickly than normal as a result of expansionary monetary policy. It is implemented by central banks and accomplished through interest rate setting, reserve requirements, and open market activities.

When the benchmark federal funds rate or discount rate is lowered, the minimum reserves needed by banks are lowered, or Treasury bonds are purchased on the open market, the U.S. Federal Reserve is implementing expansionary policies.

Central banks use an expansionary monetary policy to promote economic expansion and fight economic downturns. The Federal Reserve is governed by a group of people in the United States. The Federal Reserve System's governing Board of Governors makes, considers, and votes on new regulations. These economists keep an eye on macroeconomic conditions, make adjustments, and weigh the effects.

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when jamie, a u.s. citizen, purchases a wool jacket made in ireland, the purchase is a. the u.s. import and an irish export. b. the u.s. export and an irish import. c. both the u.s. and irish export. d. both the u.s. and irish import.

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The answer is option A, which means that the purchase made by Jamie is considered a U.S. import and an Irish export.

This is because the jacket was made in Ireland and sold to a buyer in the United States, making it an export from Ireland and an import for the United States.

International trade involves the exchange of goods and services between countries. In this case, the wool jacket made in Ireland is considered a product that is being exported from Ireland to the United States. When Jamie purchases the jacket, it becomes an import for the United States, which means that it is subject to customs duties and other trade regulations.

At the same time, the purchase also represents an export for Ireland, which means that it contributes to the country's economy and balance of trade. The export of goods and services is an essential component of economic growth, as it allows countries to specialize in the production of certain goods and services while importing others that are more efficiently produced elsewhere.

In summary, Jamie's purchase of a wool jacket made in Ireland is a U.S. import and an Irish export, making option A the correct answer. This highlights the importance of international trade and the role it plays in supporting economic growth and development.

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a polisher costs $10,600 and will cost $20,600 a year to operate and maintain. if the discount rate is 13% and the polisher will last for 5 years, what is the equivalent annual cost of the tool?

Answers

The equivalent annual cost (EAC) of a tool is the annual cost that would provide the same present value as the initial cost of the tool plus the present value of all future costs associated with it. In this case, we have a polisher that costs $10,600 and will cost $20,600 per year to operate and maintain, with a lifespan of 5 years and a discount rate of 13%.

To calculate the EAC, we first need to determine the present value of all the future costs associated with the polisher. We can do this using the formula for present value:

PV = FV / (1 + r)^n

where PV is the present value, FV is the future value, r is the discount rate, and n is the number of periods.

Using this formula, we can calculate the present value of the annual costs for each year:

Year 1: PV = 20,600 / (1 + 0.13)^1 = $18,212.39
Year 2: PV = 20,600 / (1 + 0.13)^2 = $16,136.92
Year 3: PV = 20,600 / (1 + 0.13)^3 = $14,302.49
Year 4: PV = 20,600 / (1 + 0.13)^4 = $12,655.01
Year 5: PV = 20,600 / (1 + 0.13)^5 = $11,162.22

We then add up the present values of all the future costs and add them to the initial cost of the tool:

Total PV of future costs = $72,468.03
Total cost of tool = $10,600

EAC = (Total cost of tool + Total PV of future costs) / annuity factor

The annuity factor is calculated using the formula:

annuity factor = (1 - (1 + r)^-n) / r

where n is the number of periods and r is the discount rate.

Using these values, we can calculate the annuity factor:

annuity factor = (1 - (1 + 0.13)^-5) / 0.13 = 3.6969

Plugging this into the EAC formula, we get:

EAC = ($10,600 + $72,468.03) / 3.6969 = $26,930.69

Therefore, the equivalent annual cost of the polisher is $26,930.69. This means that if we wanted to purchase a new polisher every year for the next five years and cover all the associated costs, it would be equivalent to paying $26,930.69 per year.

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What types of accounts are ""matched"" when the matching concept is used in a discussion of accrual accounting?.

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In the context of accrual accounting, the matching concept refers to the process of matching revenues with the associated expenses incurred in generating those revenues.

One type of account that is matched is revenue accounts with corresponding expense accounts. For example, if a company sells products, the revenue from those sales will be recognized in a revenue account, while the cost of goods sold (COGS) will be recognized in an expense account. The revenue and COGS accounts will be matched to ensure that the expenses related to generating that revenue are recognized in the same period.

In conclusion, when the matching concept is used in accrual accounting, revenue accounts are matched with corresponding expense accounts, prepaid expenses are matched with the period in which the expense is actually incurred, and accrued expenses are matched with the corresponding revenue in the same period.

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the demand for factors of production is known as derived demand because it is: group of answer choices derived from demand for the outputs produced by factors of production. derived from the available supply of factors, such as land, that can be overexploited. not easy to determine and must be derived by a technical (and often complicated) process. derived on the basis of questions posed to residents during the census.

Answers

The term "derived demand" refers to the demand for factors of production, which is based on the demand for the outputs that are produced by those factors.

For example, the demand for labor is derived from the demand for the goods and services that labor produces. This type of demand can be influenced by a number of factors, such as changes in consumer preferences or technology.

It is important to note that some factors of production, such as natural resources like land, can be overexploited if demand is not carefully managed. Therefore, it is crucial to consider the sustainability of resources when determining the level of demand for factors of production. Ultimately, the process of deriving demand for factors of production can be technical and complex, requiring careful analysis and consideration of various factors.
The demand for factors of production is known as derived demand because it is derived from the demand for the outputs produced by factors of production. This means that the demand for these factors (e.g. labor, land, capital) is dependent on the demand for the final goods and services they help create. The term "overexploited" is not relevant in this context, as it refers to the excessive use of a resource. The derived demand concept helps us understand the relationship between input and output markets in an economy.

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Suppose, as sometimes happens, wealth-holders around the world decide they want to buy more United States dollars in order to buy assets (stocks, bonds, real estate, ...) in the U.S., perhaps because the U.S. looks like a safer place than other alternatives in times of trouble.
A. What does that do to the value of the dollar in international currency markets? Explain why.
B. How does the change you cited in part (A) affect U.S. Exports and Imports, all else constant? Explain.

Answers

If wealth-holders around the world decide to buy more United States dollars, the demand for the currency will increase. This increased demand for the dollar will make it more valuable compared to other currencies in international currency markets. Therefore, the exchange rate for the dollar will appreciate, meaning that it will be able to buy more units of foreign currencies than before.

This appreciation of the dollar can have both positive and negative impacts on the U.S. economy. On one hand, a stronger dollar can make U.S. assets, such as stocks, bonds, and real estate, more attractive to foreign investors. This could result in an increase in foreign investment and capital inflows into the U.S., which could stimulate economic growth. On the other hand, a stronger dollar can make U.S. exports more expensive, reducing their competitiveness in foreign markets. This could result in a decrease in exports and a widening trade deficit.

Overall, the impact of a stronger dollar on the U.S. economy will depend on the extent to which the benefits of increased foreign investment outweigh the costs of decreased export competitiveness.

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What is the difference between defined benefit plans and defined contribution plans?.

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The main difference between defined benefit plans and defined contribution plans lies in the way retirement benefits are calculated and distributed.

Defined benefit plans guarantee a specific, predetermined monthly payment to retirees based on a formula that considers factors such as salary and years of service. The employer is responsible for funding the plan and bears the investment risk.

Defined contribution plans, on the other hand, do not promise a specific benefit amount upon retirement. Instead, employees contribute a portion of their salary into an individual account, which is then invested. The eventual retirement benefit depends on the investment's performance. In this case, the employee bears the investment risk.

In summary, defined benefit plans offer a guaranteed payout, while defined contribution plans depend on investment performance, with the employee shouldering the risk.

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disruptive technologies force companies to adapt their operations to stay competitive. have entered the market but are not yet regularly used by companies. are difficult to analyze using traditional software tools. may eventually become emerging technologies.

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It is true that disruptive technologies have a significant impact on the operations of companies. These technologies often change the way businesses function, and companies must adapt to these changes to remain competitive.

There are many technologies that have entered the market but are not yet regularly used by companies. These technologies may be in the early stages of development or may not have gained widespread acceptance. For instance, virtual and augmented reality technologies have shown great promise in various industries, but they have not yet been widely adopted due to their high costs and limited applications. Similarly, blockchain technology has been hailed as a potential game-changer in various fields, but its adoption by companies has been slow due to the complexity of the technology and the lack of regulatory frameworks.

In conclusion, disruptive technologies have a significant impact on the operations of companies, and businesses must adapt to stay competitive. Some technologies have entered the market but are not yet regularly used, while others may be difficult to analyze using traditional tools. However, these technologies may eventually become emerging technologies, and companies that are able to adopt them early on may gain a competitive advantage.

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A $1 increase in a call option's exercise price leads to a decrease in the option's value of less than $1 if the call option is not deep in the money. Provide reason/s in the working sheet. True or False

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If the call option is not deep in the money, a $1 rise in the exercise price of a call option results in a loss in the option's value of less than $1. Add your justification(s) in the working sheet. True.

Less than $1 will be deducted from the call price. Only if (i) there was a 100% chance that the call would be exercised and (ii) the interest rates were zero would the change in the call price be $1.

A call option's cost rises as the cost of exercising it falls. This is so that the person who has the call option may sell the underlying at a profit. Call options that have exercise costs greater than the cost of the underlying stock trade at a profit.

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Finch's Garden Supply sells pond kits for $130. These are marked up 30% over cost. What is the markup dollar amount of the pond kits?
A)$30
B)$100
C)$60
D)$40

Answers

The markup dollar amount of the pond kits is $30. Hence, answer (A) is correct.

To calculate the markup dollar amount of the pond kits, we need to first determine the cost of the pond kits. Since we know that the selling price is $130 and the markup is 30% over cost, we can use the following

formula:

Selling price = Cost + Markup

Substituting the given values, we get:

$130 = Cost + 0.30Cost

Simplifying the equation, we get:

$130 = 1.30Cost

Dividing both sides by 1.30, we get:

Cost = $100

Now that we know the cost, we can calculate the markup dollar amount using the formula:

Markup = Selling price - Cost

Substituting the given values, we get:

Markup = $130 - $100

Markup = $30

Therefore, the markup dollar amount of the pond kits is $30. Answer (A) is correct.

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Hi! To find the markup dollar amount of the pond kits sold by Finch's Garden Supply, we need to follow these steps:
1. Determine the selling price: The selling price of each pond kit is $130.
2. Determine the markup percentage: The markup percentage is 30%.

3. Calculate the cost price: Since the selling price is a 30% markup over the cost price, we can represent this as:
  Cost Price * (1 + Markup Percentage) = Selling Price
  Cost Price * (1 + 0.30) = $130
  Cost Price * 1.30 = $130
  Cost Price = $130 / 1.30
  Cost Price = $100

4. Calculate the markup dollar amount: Subtract the cost price from the selling price to find the markup dollar amount.
  Markup Dollar Amount = Selling Price - Cost Price
  Markup Dollar Amount = $130 - $100
  Markup Dollar Amount = $40

So, the markup dollar amount of the pond kits sold by Finch's Garden Supply is $40.

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41. if the cost of yen per dollar changes from 100 to 110 yen per dollar, a. the yen has appreciated against the dollar. b. the dollar has depreciated against the yen. c. the dollar has appreciated against the yen. d. the cost of a yen has increased in terms of dollars.

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If the cost of yen per dollar changes from 100 to 110 yen per dollar, it means that the dollar has depreciated against the yen. Therefore, option (b) is correct.

The exchange rate between two currencies represents the value of one currency in terms of the other. In this case, it takes more dollars to purchase one yen than it did before, indicating that the dollar has lost value relative to the yen.

An appreciation of a currency refers to an increase in its value relative to another currency. In contrast, a depreciation of a currency refers to a decrease in its value relative to another currency.

Exchange rates are affected by many factors, including inflation rates, interest rates, geopolitical events, and government policies. Fluctuations in exchange rates can have significant implications for international trade, investment, and financial markets.

Therefore, option (b) is correct.

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what is the effect on an operation if its manager is able to increase the number of guests served or increase the amount each guest buys?

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If an operation's manager is able to increase the number of guests served or increase the amount each guest buys, it can have a significant impact on the operation's success.

By increasing the number of guests served, the operation can generate more revenue and profits. This can also lead to an increase in customer loyalty and positive word-of-mouth referrals, which can further increase business. Additionally, increasing the amount each guest buys can also lead to higher profits. By offering promotions or incentives, the manager can encourage customers to spend more money during their visit. This can also lead to repeat business as customers may be more likely to return to an operation where they feel they are getting a good value. Overall, the ability of an operation's manager to increase the number of guests served or increase the amount each guest buys can have a positive impact on the operation's profitability and long-term success.

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which of the following possible responses by a customer who is faced with a stockout is the most costly to the firm? multiple choice lose the sale and lose the customer lose the sale lose the sale of one item, but the customer purchases another item customer waits for the item to become available

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Losing the sale and the customer is the most costly response to the firm when a customer is faced with a stockout. This is because not only does the firm lose the immediate sale, but they also lose potential future sales from that customer.

Losing the sale and the customer has a long-term negative impact on the firm's reputation and customer loyalty. The customer may choose to take their business elsewhere and share their negative experience with others, leading to lost potential customers. On the other hand, if the customer waits for the item to become available or purchases another item, the firm still has the opportunity to make a sale and maintain the customer's loyalty.

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the reason cash flow is used in capital budgeting is because question 7 options: a) cash rather than income is used to purchase new machines. b) cash outlays need to be evaluated in terms of the present value of the resultant cash inflows. c) to ignore the tax shield provided from depreciation would ignore the cash flow provided by the machine, which should be reinvested to replace older machines. d) all of these options are true.

Answers

d) all of these options are true. This is because cash flow is crucial in evaluating the feasibility of new investments (a), considering the time value of money (b), and accounting for the tax shield from depreciation (c).The reason cash flow is used in capital budgeting is because cash outlays need to be evaluated in terms of the present value of the resultant cash inflows.

Additionally, to ignore the tax shield provided from depreciation would ignore the cash flow provided by the machine, which should be reinvested to replace older machines

Therefore, the correct answer is option b and c: "cash outlays need to be evaluated in terms of the present value of the resultant cash inflows" and "to ignore the tax shield provided from depreciation would ignore the cash flow provided by the machine, which should be reinvested to replace older machines."

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