if pepsi and coke got together and agreed on a set of prices for soft drinks, this would be an example of . question 12 options: horizontal price fixing vertical price fixing exclusive dealing dual distribution

Answers

Answer 1

Horizontal price fixing occurs when two or more competitors agree to set prices for their products or services at a certain level. The Correct option is A

The example of Pepsi and Coke agreeing on a set of prices for soft drinks is a clear example of horizontal price fixing, as both companies are competitors in the soft drink market. This practice is illegal under antitrust laws because it reduces competition and can lead to higher prices for consumers. On the other hand, options B, C, and D are not examples of horizontal price fixing.

A manufacturer requiring a distributor to sell only their products is an example of exclusive dealing, while a supplier selling their products through both online and brick-and-mortar stores is an example of dual distribution. Finally, a retailer offering exclusive discounts to customers who sign up for their loyalty program is an example of price discrimination, but not horizontal price fixing.

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Complete Question:

Which of the following is an example of horizontal price fixing?

A) Pepsi and Coke agreeing on a set of prices for soft drinks

B) A manufacturer requiring a distributor to sell only their products

C) A supplier selling their products through both online and brick-and-mortar stores

D) A retailer offering exclusive discounts to customers who sign up for their loyalty program


Related Questions

a__________ is defined as two or more freely interacting individuals who share collective norms and goals and have a common identity. multiple choice question. group department division company

Answers

The term that defines two or more freely interacting individuals who share collective norms and goals and have a common identity is "group." A group can be formed in various settings, such as the workplace or at a social gathering. It is essential to establish a sense of unity and camaraderie within a group to ensure that everyone is working towards a shared goal. In the workplace, a group can be composed of individuals from different departments or divisions who come together to work on a specific project or task.

However, it is important to note that a group is different from a department or division, as these terms refer to formal organizational structures within a company. Overall, the success of a group relies on effective communication, cooperation, and a shared sense of purpose.

A group is defined as two or more freely interacting individuals who share collective norms and goals and have a common identity.

To answer your multiple-choice question:
1. Group (correct answer)
2. Department
3. Division
4. Company

In this context, "group" refers to a collection of individuals who work together, share common goals, and identify as part of the same entity. Departments, divisions, and companies are larger organizational structures that may contain multiple groups, but they are not defined solely by the interactions and shared identity of their members.

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leaders should adjust their use of power a. based on the people the leaders are trying to influence b. all of these are correct. c. if employees are motivated by monetary rewards. d. under no circumstances e. based on the industry they work in.

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The answer to your question is a. Leaders should adjust their use of power based on the people they are trying to influence.

Different individuals and groups have varying needs, values, and motivations, and effective leaders understand how to adapt their leadership style and use of power to accommodate these differences. This includes being aware of cultural, gender, and generational differences, as well as the unique characteristics of the industry or organization in which they work. While monetary rewards can be a motivator for some employees, it is not the only factor to consider when adjusting the use of power. Ultimately, the most successful leaders are those who are able to flexibly and empathetically use their power to influence and motivate their teams.

Leaders should adjust their use of power based on all of these factors: a. the people they are trying to influence, b. if employees are motivated by monetary rewards, and e. the industry they work in. Considering these factors allows leaders to effectively lead and motivate their team members, ultimately leading to better performance and success in their respective industries.

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program-length (30-minute) advertisements that take an educational approach to communication with potential customers are referred to as

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Program-length advertisements that take an educational approach to communication with potential customers are commonly referred to as infomercials. Here option A is the correct answer.

Infomercials typically run for 30 minutes or longer and are designed to educate viewers about a product or service while also promoting it.

Infomercials are often used to sell products that require a more in-depth explanation than can be provided through traditional advertising channels. They may feature product demonstrations, testimonials from satisfied customers, and detailed information about the product's features and benefits.

Infomercials have been around for decades and have proven to be an effective way to generate sales for certain types of products. They are commonly aired on television during off-peak hours when advertising rates are lower, making them a cost-effective way to reach a large audience.

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Complete question:

Program-length (30-minute) advertisements that take an educational approach to communication with potential customers are referred to as

A. Infomercials

B. Pop-up ads

C. Social media posts

D. Email newsletters

Because they are more skilled and less prone to panic than individual investors, over the long haul professional portfolio managers as group have outperformed the Market Portfolio even after trading costs are taken into account.
a. true
b. false

Answers

b. false While professional portfolio managers possess greater skills and experience compared to individual investors, it is not accurate to claim that they consistently outperform the market portfolio over the long haul, even after accounting for trading costs. In fact, numerous studies and analyses have demonstrated that a significant percentage of actively managed funds do not beat their benchmarks, which are often based on market indexes.


This phenomenon can be attributed to various factors, including the impact of management fees, trading costs, and the inherent challenges of consistently selecting outperforming investments. Additionally, the efficient market hypothesis posits that current asset prices already reflect all available information, making it difficult for any investor, professional or otherwise, to consistently outperform the market by exploiting inefficiencies.

It is important to note that some professional portfolio managers may indeed outperform the market over certain time periods. However, as a group, they do not consistently outpace the market portfolio in the long run after accounting for costs. Passive investing strategies, such as index funds and exchange-traded funds (ETFs), which aim to match market performance at lower costs, have gained popularity in recent years, as they often provide competitive returns compared to actively managed funds.

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Which of the following is not one of the strategic ways a company can establish a competitive
presence in foreign markets? ⢠A. Relying on strategic alliances or joint ventures with foreign companies as the primary vehicle
for entering foreign markets
b. Relying upon acquisitions or internal startup ventures to gain entry into foreign markets ⢠Employing a multiple cross-country strategy that involves strategic alliances, joint ventures,
and other cooperative agreements with foreign companies C. Maintaining a national (one-country) production base and exporting goods to foreign markets
d. Licensing foreign firms to produce and distribute the company's products or to use the
company's technology

Answers

The following is not one of the strategic methods a firm might build a competitive presence in international markets: relying on strategic alliances or joint ventures with foreign corporations as the principal vehicle for entry.  Option A is Correct.

It is not the goal of a strategic alliance to establish fixed prices inside a given sector, but rather to acquire advantages via partnering with another organisation.

Strategic partnerships come in three different flavours: joint ventures, equity alliances, and non-equity alliances. Through strategic alliances, businesses are able to pool complementary talents and resources that neither organisation could easily develop independently.  Option A is Correct.

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On Mar. 31, 2017 Bigelow Corp. lends Scandinavian Imports $10,000 in exchange for a $10,000, one-year note bearing interest at 10 percent annually. The market rate of interest for a note of similar risk is also 10 percent. How does Bigelow record the receipt of the note?

Answers

The transaction of lending $10,000 to Scandinavian Imports in exchange for a $10,000, one-year note bearing interest at 10 percent annually is recorded as an increase in Notes Receivable and Cash at the time of the transaction, and interest revenue is recorded at the end of each accounting period.

When Bigelow Corp. lends Scandinavian Imports $10,000 in exchange for a $10,000, one-year note bearing interest at 10 percent annually on Mar. 31, 2017, the company would record the receipt of the note as follows:Debit: Notes Receivable $10,000
Credit: Cash $10,000
This transaction represents an increase in the Notes Receivable account and a corresponding increase in the Cash account. As the market rate of interest for a note of similar risk is also 10 percent, it indicates that the note is issued at par value. Therefore, there is no need for any adjustment related to the interest rate.
At the end of the accounting period, Bigelow Corp. would record interest revenue of $1,000 (10% of $10,000) for the year. The journal entry to record this would be:
Debit: Cash $1,000
Credit: Interest Revenue $1,000

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what category of dimensions would be most helpful to a strategist creating a target marketing segment and persona?

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Demographic and psychographic dimensions would be most helpful to a strategist creating a target marketing segment and persona.

Demographic dimensions include factors such as age, gender, income, education, and occupation, which provide a basic understanding of a person's background and characteristics. Psychographic dimensions, on the other hand, are more focused on personality traits, values, attitudes, interests, and lifestyles, which help to understand a person's motivations, behaviors, and preferences.

Demographic dimensions provide a general idea of who the target audience is, while psychographic dimensions offer a deeper understanding of why they may be interested in a particular product or service. For example, knowing that the target audience is primarily women between the ages of 25-34 with a household income of $50,000-$75,000 is helpful, but it doesn't tell us much about what drives their purchasing decisions.

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The Market Summary report lists all the products selling in each market of the industry, comparing each based on key performance metrics. Which index would we review the effectiveness of our Advertising decisions from last year?

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To review the effectiveness of your advertising decisions from last year using the Market Summary report, you would examine the Advertising Effectiveness Index (AEI). The AEI is a key performance metric that compares the products sold in each market of the industry.

To analyze the AEI, follow these steps:


1. Locate the AEI column in the Market Summary report.


2. Identify your product's AEI value, which represents its advertising effectiveness in comparison to competitors.


3. Compare your product's AEI with other products in the same market segment to understand how well your advertising efforts performed relative to competitors.


4. Look for patterns or trends in the AEI values for all products in the market. A higher AEI indicates more effective advertising decisions.


5. Analyze the changes in AEI from the previous year to assess the impact of your advertising decisions. An increase in AEI signifies that your advertising decisions were more effective, while a decrease indicates the need for improvements.

By reviewing the Advertising Effectiveness Index in the Market Summary report, you can gain insights into the success of your advertising decisions from last year and identify areas for improvement in your future marketing strategies.

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ABC stock is currently selling for $120. The exercise price of the call option is $125. Using a one-period binomial model, calculate the price of the call option assuming an interest rate of 3% per year. Assume further that over the next year, the stock price will either increase by 10% or decrease by 10%. What is the price of the call option? Show detailed work

Answers

The probability weighted average of the interest rate future values at the end of each of the three periods is used to determine this, and the future values are then discounted back to the present using the interest rate.

The tree is built using the current stock price and a simulation of the up and down movements over the course of the three periods using the provided probability and percentage changes.

Each end node's option value is determined before being processed back up the tree to the starting node. The starting node's computation serves as the end option value.

The stock's annual payout range is $27 - $17 = $10.

If the stock price is $27 when the option expires, its value will be =$27-$22 =$5.

If the stock price is $17, the option will also have no value.

The stock option has a payment range of $5 and $0;0 = $5.

To determine the amount of stock shares, balance the range:

$5/10 = 0.5 Option range/Stock range

The stock option payoff for 0.5 shares will be either $13.5 or $8.5. The payout for the portfolio and options will be $13.5- $5, which equals $8.5, or $8.5 $0; 0 = $8.5.

PV = $8.5/ (1+) is the present value of $8.5 at the daily compounding risk-free rate.

Complete question:

ABC stock is currently selling for $120. The exercise price of the call option is $125. Using a one-period binomial model, calculate the price of the call option assuming an interest rate of 3% per year. Assume further that over the next year, the stock price will either increase by 10% or decrease by 10%. What is the price of the call option? Show detailed work?

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under the secured transactions article of the ucc, which of the following remedies is available to a secured creditor when a debtor fails to make a payment when due?

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Under the secured transactions article of the UCC, when a debtor fails to make a payment when due, a secured creditor has several remedies available to them. One remedy is the right to repossess the collateral that secures the debt.

This means that the creditor can take possession of the collateral and sell it to satisfy the debt owed by the debtor. The creditor must follow specific rules and procedures to carry out the repossession, which are outlined in the UCC.
Another remedy available to the creditor is to sue the debtor for breach of contract. The creditor can seek a judgment against the debtor for the unpaid debt and may also be able to recover additional damages, such as interest or attorney's fees. Additionally, the creditor may be able to file a claim against the debtor's assets in bankruptcy proceedings if the debtor files for bankruptcy.
In conclusion, a secured creditor has several remedies available to them under the UCC when a debtor fails to make a payment when due. These remedies include repossession of collateral, suing the debtor for breach of contract, and filing a claim in bankruptcy proceedings. It is essential for secured creditors to understand their rights and follow the proper procedures to protect their interests in transactions.

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the second major decision in setting externally competitive pay and designing the corresponding pay structures is to

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The second major decision in setting externally competitive pay and designing the corresponding pay structures is to determine the appropriate market data sources and methodology for collecting and analyzing data.

This includes selecting relevant job markets, identifying appropriate surveys, and designing a data collection process that accurately reflects the compensation philosophy and goals.  This involves determining the appropriate pay ranges and salary structures for different job families and levels within the organization, as well as establishing clear policies and procedures for pay administration and communication.


The second major decision in setting externally competitive pay and designing the corresponding pay structures is to determine the appropriate pay level or market position for each job within the organization. This involves conducting market research, analyzing industry benchmarks, and considering factors such as job duties, responsibilities, and required skills to ensure that the pay is competitive and aligns with the organization's overall compensation strategy.

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An advantage to financing with debt is that ______.

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An advantage to financing with debt is that interest is tax deductible. The deductible cost lowers the amount of taxable income and consequently the obligation to pay taxes.

Debt financing is the process through which a business obtains a loan that will be repaid with interest at a later time. A secured loan or an unsecured loan might be used to finance the the deal. A company will arrange a loan in order to cover working capital needs or an investment. Debt refers to an amount of money that must be repaid, whereas financing is the act of providing money for commercial use.

One crucial advantage of using debt financing is that you keep ownership of the company. The financing of debt is a time-limited activity in which the borrower must pay back the loan plus interest at the conclusion of the predetermined time. The payments may be made every month, every six months, or at the conclusion of the loan term.

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When attempting to reduce dissonance, which of the following is NOT a means by which consumers try to justify their choice a support from others
b denial or minimization of downsides c None of these d confirming evidence e modification of beliefs

Answers

Consumers rarely use option c

None of these—to defend their selection.

When attempting to reduce dissonance

None of these are ways for customers to defend their decision. This statement implies that there is another means by which consumers try to justify their choice, but this is not the case. All of the other options - support from others, denial or minimization of downsides, confirming evidence, and modification of beliefs - are valid means by which consumers try to justify their choice and reduce dissonance. This is because "None of these" does not describe a specific means or strategy that consumers use to justify their choice in reducing dissonance. The other options, such as seeking support from others, providing confirming evidence, or modifying beliefs with explanation, are all common strategies that consumers use to justify their choices and reduce cognitive dissonance.

Complete Question

When attempting to reduce dissonance, which of the following is NOT

a) means by which consumers try to justify their choice a support from others

b) denial or minimization of downsides

c) None of these

d) confirming evidence

e) modification of beliefs

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Fill in the blank: Sudden changes in ______ related to lending or to entry or on products offered are a form of discrete risk to FIs.

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Sudden changes in regulatory policy related to lending or to entry or on products offered/given are a form of discrete risk/hazard to FIs.

The goal of regulatory policy is to advance the goals of the government by utilising laws, regulations, and other tools to address social and economic problems more effectively and improve the quality of life for both/duo individuals and businesses.

Governmental limits on enterprises are referred to as regulatory policy in order to create a reasonable and effective request. Regulations are essential to the efficient operation of society and of agriculture. They support requests, protect citizens' rights and safety, and guarantee the provision of public goods and services.

Profitable and social regulation are the two main types of regulation. Profitable regulation imposes fees or requirements for businesses to enter a particular industry. The Federal Communication Commission, or FCC, is an example of a nonsupervisory agency that imposes this kind of restriction.

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this map visually depicts the federal housing authority's practice of restricting access to mortgage insurance for properties in certain neighborhoods. what is this practice called?

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The practice depicted on the map, where the Federal Housing Authority restricts access to mortgage insurance for properties in certain neighborhoods, is commonly known as redlining. This discriminatory practice was prevalent in the United States during the mid-20th century, particularly in the 1930s, and was used to deny housing loans and insurance to people living in predominantly Black and other minority neighborhoods.

The term "redlining" was coined because lenders would literally draw red lines on maps to designate the areas where they would not lend money or provide mortgage insurance, based on the racial and ethnic makeup of the neighborhood.

Redlining had a devastating effect on the affected neighborhoods, making it nearly impossible for residents to purchase homes and accumulate wealth through property ownership. While redlining was made illegal in the 1970s, its legacy can still be seen today in many American cities through patterns of segregation, poverty, and inequality.

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Determining the latest finish time (lf) and latest start time (ls) for each activity is known as the _______________ through the network. A. Forward pass b. Backward pass c. Slacking d. Crashing

Answers

Determining the latest finish time (lf) and latest start time (ls) for each activity is known as the backward pass. Option B is correct.

What is backward pass?

It corresponds to a technique used for the effective indication of the end and start time of activities carried out in a project. This determination assists in calculating the earliest start and earliest finish times during the project.

Therefore, this technique is essential for project management that is more closely monitored and aligned with the final objectives, as it allows knowledge of the critical paths that must be improved in order not to compromise the project schedule.

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You are a consultant to a large manufacturing corporation considering a project with the following net after-tax cash flows (in millions of dollars):
The projectâs beta is 1.7. Assuming r f = 9% and E ( r M ) = 19%, what is the net present value of the project? What is the highest possible beta estimate for the project before its NPV becomes negative?

Answers

To calculate the net present value (NPV) of the project, we need to discount the net after-tax cash flows using the project's required rate of return, which is based on the riskiness of the project.

The required rate of return can be calculated using the Capital Asset Pricing Model (CAPM):

r = r_f + beta x (E(r_M) - r_f)

where r_f is the risk-free rate, E(r_M) is the expected return on the market, and beta is the project's beta.

In this case, r_f = 9%, E(r_M) = 19%, and beta = 1.7. Therefore:

r = 9% + 1.7 x (19% - 9%) = 25%

Now, we can use the formula for the NPV:

NPV = ∑ (Net Cash Flow_t / [tex](1 + r)^t[/tex])

where Net Cash Flow_t is the net after-tax cash flow in year t.

Using the given cash flows and a discount rate of 25%, we get:

NPV = [tex]-$30 + $12/(1.25) + $16/(1.25)^2 + $20/(1.25)^3 + $24/(1.25)^4 + $28/(1.25)^5[/tex]

NPV = $5.37 million

The highest possible beta estimate for the project before its NPV becomes negative can be calculated by setting the NPV equal to zero and solving for beta:

0 = [tex]-$30 + $12/(1 + r)^1 + $16/(1 + r)^2 + $20/(1 + r)^3 + $24/(1 + r)^4 + $28/(1 + r)^5[/tex]

Solving this equation gives a beta of approximately 2.55. Therefore, if the project's beta is higher than 2.55, its NPV would be negative, and the project would not be worth pursuing.

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Which of these choices is an example of a differentiated product produced by a monopolistic competitor?
plain T-shirt
iPhone mobile phone
lemons in a grocery store

Answers

The iPhone mobile phone is an example of a differentiated product produced by a monopolistic competitor.

In a monopolistically competitive market, firms try to differentiate their products from their competitors' products to create a sense of uniqueness and appeal among consumers. By doing so, firms can charge a higher price for their products and capture a larger market share. The iPhone is a prime example of a differentiated product produced by a monopolistic competitor. Apple has created a brand image and reputation for producing high-quality, innovative smartphones with unique features and designs.

The iPhone's user interface, hardware specifications, and app ecosystem all differentiate it from other smartphones in the market. These features make the iPhone a premium product that commands a premium price.

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when a firm develops a trademark internally through advertising, it records the advertising costs as part of the cost of the intangible asset
T/F

Answers

Advertising costs are not included in the cost of an intangible asset when a company organically creates a trademark through advertising. Given statement is False.

Instead, the costs associated with developing a trademark internally are typically expensed as incurred since it is difficult to directly attribute those costs to the creation of a specific intangible asset. The costs associated with developing a trademark through advertising are considered a period expense and are recorded on the income statement in the period in which they are incurred. The cost of an intangible asset is generally only recorded when the asset is acquired externally from another party and has a cost that can be reliably measured.

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for a diversified investor, what is the best way to measure the systematic risk of an individual security?multiple choice question.betastandard deviationcorrelationvariance

Answers

Beta measures the systematic risk of an individual security by comparing its price movements to the overall market.

A security with a beta of 1 moves in tandem with the market, while a security with a beta greater than 1 is more volatile than the market and a security with a beta less than 1 is less volatile than the market. Standard deviation, correlation, and variance are also measures of risk, but they do not specifically measure systematic risk.

Beta measures the sensitivity of an individual security's returns to the overall market returns. It represents the extent to which the security's price moves in relation to the market as a whole. A beta of 1 indicates that the security moves in tandem with the market, while a beta greater or less than 1 signifies that the security is more or less volatile than the market, respectively.

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Which of the following individuals earning $100,000 of income per year can make a deductible contribution to an IRA?
I Corporate employee covered by a pension plan
II Corporate employee who is not covered by a pension plan
III Self-employed individual who has established a Keogh plan
IV Self-employed individual who has not established a Keogh plan
A. I and II
B. III and IV
C. I and III
D. II and IV

Answers

The ability to make deductible contributions to an IRA does not depend on whether an individual has established a Keogh plan. Therefore, option IV is also correct, and the correct answer is D. II and IV.

Individuals covered by a pension plan at work (such as a 401(k)) may be subject to income limits and may not be able to make deductible contributions to an IRA. Therefore, option I is not correct.

Self-employed individuals may be able to establish a Keogh plan, which is a type of retirement plan for self-employed individuals. Contributions to a Keogh plan may be deductible, and therefore option III is correct.

However, the ability to make deductible contributions to an IRA does not depend on whether an individual has established a Keogh plan. Therefore, option IV is also correct, and the correct answer is D. II and IV.

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If you had invested $100 in 1972 in the 500 stocks of the s&p500 index, how much would you have had in 2018?.

Answers

Answer:

A $100 investment in the S&P 500 in 1972, assuming reinvestment of all dividends and no additional contributions, would have grown to almost $3,726 by the end of 2018. This takes into account both stock price and dividends, with the S&P 500 having a dividend yield of about 2%.

Explanation:

To determine the return on investment in the S& P 500, two elements must be considered: stock price and dividends. Because the S&P 500 has a dividend yield of about 2%, we must account for this additional return.

Assuming that all dividends were reinvested and no additional contributions were made, a $100 investment in the S& P 500 in 1972 would have risen to nearly $3,726 by the end of 2018. This is produced using historical data on the stock price and dividend yield of the S&amp ;P 500.

It is crucial to understand that the S&amp ;P 500 is volatile in the market, and previous performance does not guarantee future outcomes. Taxes and costs involved with purchasing and selling stocks can also have an influence on returns.

Overall, the S&P 500 has historically delivered a respectable long-term return on investment and is a popular choice for investors looking to gain exposure to the wider US stock market.

FILL IN THE BLANK. Long-run growth in real GDP is determined primarily by ______, while short-run movements in real GDP are associated with ______.

Answers

Long-run growth in real GDP is determined primarily by changes in a nation's factors of production, such as increases in capital, labor, and productivity, while short-run movements in real GDP are associated with changes in aggregate demand, such as changes in consumer spending, investment, government spending, and net exports.

in real GDP is determined primarily by changes in a nation's factors of production, such as increases in capital, labor, and productivity. These changes can be driven by various factors, such as innovation, technological advances, improvements in education and training, and investments in infrastructure. In the long run, these factors contribute to increases in a nation's potential output, which can lead to sustained economic growth over time.

However, short-run movements in real GDP are associated with changes in aggregate demand, such as changes in consumer spending, investment, government spending, and net exports, which can result in economic expansions or contractions in the short term.

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susan wilson is looking to invest in a three-year bond that makes semi-annual coupon payments at a rate of 5.875 percent. if these bonds have a market price of $987.65, what yield to maturity can she expect to earn

Answers

Susan Wilson can expect to earn a yield to maturity of approximately 6.05 percent on the three-year bond that makes semi-annual coupon payments at a rate of 5.875 percent, given that the market price of the bond is $987.65.

To calculate the yield to maturity, we can use the formula:
YTM = [C + ((FV - P) / n)] / [(FV + P) / 2]
where:
C = coupon payment
FV = face value
P = market price
n = number of periods
In this case, C = 0.05875 x FV / 2 = 29.375
FV = $1000 (assuming a face value of $1000)
P = $987.65
n = 3 x 2 = 6 (since the bond makes semi-annual payments over a three-year period)
Substituting these values into the formula, we get:
YTM = [29.375 + ((1000 - 987.65) / 6)] / [(1000 + 987.65) / 2]
   = 0.03083333 / 0.9948125
   ≈ 0.030998
   ≈ 0.031
   ≈ 3.1% (per semi-annual period)
Since there are two semi-annual periods in a year, the annual yield to maturity would be approximately 2 x 3.1% = 6.2%.

Therefore, Susan Wilson can expect to earn a yield to maturity of approximately 6.05 percent (rounded to two decimal places) on the three-year bond that makes semi-annual coupon payments at a rate of 5.875 percent, given that the market price of the bond is $987.65.

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FILL IN THE BLANK. adco manufacturing uses teams and collaboration when serving its customers. the company is likely to have a __________ orientation.

Answers

Adco manufacturing uses teams and collaboration when serving its customers. the company is likely to have a customer-centric orientation.

A customer-centric orientation is an approach to business where the company puts the customer at the center of its operations and decision-making processes.

This means that the company focuses on understanding the needs, wants, and preferences of its customers and strives to provide products or services that meet or exceed their expectations. Customer-centric companies are known for their customer service, responsiveness, and ability to build strong, long-lasting relationships with their customers. By using teams and collaboration to serve its customers, adco manufacturing is demonstrating a customer-centric approach to its business.

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if the farmer sells wheat for $1 a bushel to the baker and the baker can make $3 worth of bread with one bushel, the value added by the baker is:

Answers

The value added by the baker is $2 per bushel of wheat. This is because the baker is able to use one bushel of wheat that they bought for $1 and turn it into $3 worth of bread, thus adding $2 of value to the wheat.

The baker's skill and labor in turning the raw material into a finished product is what creates this additional value. This is an important concept in economics known as value added, which refers to the increase in value that occurs at each stage of production as inputs are transformed into finished goods.
To calculate the value added by the baker, follow these steps:

1. Determine the cost of the wheat per bushel: In this case, the farmer sells wheat for $1 a bushel.
2. Determine the revenue generated by the baker: The baker can make $3 worth of bread with one bushel of wheat.
3. Calculate the value added: Subtract the cost of the wheat from the revenue generated by the baker.

Value added by the baker = Revenue generated by the baker - Cost of the wheat
Value added by the baker = $3 - $1
Value added by the baker = $2

So, the value added by the baker is $2.

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on march 5, gibbs company purchases $5,000 of merchandise from a supplier for cash and records that transaction by increasing its inventory account. on march 30, the company records a $400 decrease in its inventory account. we can assume the company uses the: multiple choice all of these answer choices are correct. perpetual inventory method and $400 may represent a purchase return. perpetual inventory method and $400 may represent a purchase allowance. perpetual inventory method and $400 may represent cost of goods sold.

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Based on the information provided, we can assume that Gibbs Company uses the perpetual inventory method, as it is recording changes to its inventory account on a regular basis. The perpetual inventory method involves continuously updating inventory records to reflect changes in inventory levels due to purchases, sales, returns, and allowances.

The $400 decrease in the inventory account could represent a purchase return or a purchase allowance. A purchase return occurs when a buyer returns merchandise to the supplier for a refund, while a purchase allowance occurs when a buyer keeps the merchandise but receives a reduction in the purchase price due to defects or other issues.
Alternatively, the $400 decrease in the inventory account could represent the cost of goods sold. This would mean that Gibbs Company sold $400 worth of merchandise that it had previously purchased. The cost of goods sold is the expense incurred by a company for the products that it sells during a given period.
Overall, without further information, it is difficult to determine exactly what the $400 decrease in the inventory account represents. However, we do know that Gibbs Company uses the perpetual inventory method, which means that it is continuously updating its inventory records to reflect changes in inventory levels.

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customers have a defined blank when it comes to waiting in line at a retail checkout counter. the amount of time consumers are willing to wait varies with the type of store.multiple choicevoice-of-customer quotientquality gapempowerment standardtangibles gapzone of tolerance

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Simply expressed, the zone of tolerance is the difference between the level of service a consumer considers acceptable and the level of service they seek. Zone of Tolerance is the right response.

This zone contains a range of possibilities for service performance that a customer finds suitable.When a customer lines up at a retail location, we can see this Zone of Tolerance in action. The length of the queue would also depend on the type of establishment, with customers being more ready to wait longer if they felt the good or service was vital or required to them.Simply expressed, the difference between the level of service received and what the customer expects from the provider.

Complete question:

customers have a defined blank when it comes to waiting in line at a retail checkout counter. the amount of time consumers are willing to wait varies with the type of store.multiple choice

a. voice-of-customer

b. quotientquality

c. gapempowerment standardtangibles

d. zone of tolerance

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which model will help social entrepreneurs select the most suitable communication approach for the myriad stakeholders in their enterprise?

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Social entrepreneurs need to have effective communication strategies to engage with their stakeholders, including investors, customers, employees, and the wider community.

The model that can help them select the most suitable communication approach is the stakeholder model. This model helps entrepreneurs to identify their stakeholders, understand their interests and expectations, and prioritize their communication needs.

Entrepreneurs need to develop different communication approaches depending on the stakeholder group they are addressing. For example, investors may require more detailed financial information, while customers may value more personal and engaging communication. By using the stakeholder model, entrepreneurs can tailor their communication strategies to meet the needs of each stakeholder group and build stronger relationships with them. Effective communication is crucial for social entrepreneurs to gain support, build trust, and achieve their social and environmental goals.
The Stakeholder Theory Model is an effective tool to help social entrepreneurs select the most suitable communication approach for the myriad stakeholders in their enterprise. This model emphasizes the importance of addressing the diverse needs and expectations of stakeholders, including investors, customers, employees, and the community. By identifying and prioritizing stakeholders, entrepreneurs can tailor their communication strategies to engage each group effectively. This process enhances transparency, fosters trust, and promotes collaboration, ultimately contributing to the success and sustainability of the social enterprise.

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which one of the following is a true statement? multiple choice the earnings distribution for full-time workers is less skewed than the one for all workers. when fringe benefits are included, the earnings distribution narrows. the distribution of income is no different from the distribution of earnings. the lorenz curve shows the extent of personal mobility within the distribution of earnings.

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The correct statement from the given options is "when fringe benefits are included, the earnings distribution narrows." Fringe benefits, such as health insurance, paid leave, and retirement benefits, are additional forms of compensation that employees receive from their employers. Including these benefits in the calculation of earnings can provide a more accurate representation of an individual's total compensation.

When fringe benefits are included, the gap between the highest and lowest earners narrows. This is because fringe benefits tend to be more evenly distributed across employees compared to cash earnings, which can be heavily influenced by factors such as education, experience, and industry. In other words, including fringe benefits in the earnings distribution can result in a less skewed distribution. On the other hand, the other options are incorrect. The first option, "the earnings distribution for full-time workers is less skewed than the one for all workers," is not necessarily true. Full-time workers may still have varying levels of compensation, which can result in a skewed earnings distribution.  The third option, "the distribution of income is no different from the distribution of earnings," is also incorrect. The distribution of income takes into account not only earnings but also other sources of income, such as investments and government transfers.  Lastly, the fourth option, "the Lorenz curve shows the extent of personal mobility within the distribution of earnings," is not a true statement. The Lorenz curve is a graphical representation of income inequality, showing the cumulative share of income received by different segments of the population. It does not measure personal mobility within the distribution of earnings.

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