let's say you want to adjust the market cap

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Answer 1

What is the way to adjust the market cap? you can add the financials then subtract the financials.

What is the benefit adjust the market cap?

Market capitalization is often used to determine the size of a company and assess a company's financial performance relative to other companies of various sizes. When it comes to investments, companies with larger market capitalizations are often safer investments as they generally represent more established companies with longer operating histories. This allows investors to value companies based on their generally perceived value. The higher the value, the "bigger" the company.

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Related Questions

a policy should state that if employees violate a company policy or any law using company technologies, the company will protect them, and the company is liable for the employee's actions. true false

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The correct statement is : A policy state that if employees violate a company policy or any law using company technologies, the company will not protect them, and the company is will not be liable for the employee's actions.

The given statement is False.

Liable refers to having (prison) duty for some thing or a person: The law holds mother and father responsible if a infant does now not attend faculty.

A celebration is liable while they are held legally liable for some thing. in contrast to in crook instances, where a defendant may be discovered responsible, a defendant in a civil case dangers best liability.

Susceptible to do some thing probably to do some thing we're all liable to make mistakes when we are tired. The bridge is liable to fall apart at any second. prone to something possibly to be suffering from some thing synonym susceptible you are greater vulnerable to harm in case you exercise once in a while.

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If the Fed wanted to increase the money supply, it would make open market a. purchases and lower the discount rate b. sales and lower the discount rate. c. purchases and raise the discount rate. d. sales and raise the discount rate. To decrease the money supply,

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If the Fed wanted to increase the money supply, it would make open market purchases and lower the discount rate

increase in the monetary base has two impacts: it lowers interest rates which attract investment, and it places more cash in the pockets of consumers, who makes them better and stimulates consuming. By reducing the reserve minimum capital requirements, which enable them to lend extra money, the Fed may enhance the monetary supply. The Fed can decrease the supply of money by increasing the deposit requirements for banks, on the other hand. In a discounted future cash flow (DCF) analysis, the interest interest rate that is used to compute the expected cash flows flows. This assists in establishing whether future financial flows out of an investment or project will be value beyond the capital spending required to back the investment or project.

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the digby company has just purchased $40,900,000 of plant and equipment that has an estimated useful life of 15 years. suppose at the end of 15 years this plant and equipment can be salvaged for $4,090,000 (1/10th of its original cost). what will be the book value of this purchase (excluding all other plant and equipment) after its first year of use? use generally accepted (fasb) accounting principles.

Answers

The book value of this purchase (excluding all other plant and equipment) after its first year of use will be $33,538,000.

Depreciation Expense = (Cost - Salvage Value) / Useful Life =($40,900,000 - $4,090,000) / 15 years = $36,810,000 / 15 years = $2,454,000. Accumulated Depreciation = Depreciation Expense x 3 years = $2,454,000 x 3 = $7,362,000.

Cost = $40,900,000; Less: Accumulated Depreciation = 7,362,000. So, the net book value = $33,538,000.

Property, Plant, and Equipment is a category of long-term assets that is virtually entirely made up of depreciable items. The cost of them will be shown in the balance less the accumulated depreciation.

Generally Accepted Accounting Principles, or GAAP, are guidelines that cover all the specifics, intricacies, and legalities of corporate and business accounting. GAAP serves as the cornerstone for the Financial Accounting Standards Board's (FASB) extensive collection of authorized accounting practices.

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many u.s. companies that rely on china for production are rethinking their production strategies. the integration and coordination of logistics, purchasing, operations, and market channel activities from raw materials to the end customer is known as

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The integration and coordination of  purchasing, logistics, operations, and market channel activities from raw materials to the end customer is known as supply chain management.

Supply chain management (SCM) that comprises all the procedures that convert raw materials into finished commodities,which is the central administration of the movement of goods and services.

Companies may reduce unnecessary expenses and deliver goods to customers more quickly and effectively by optimising the supply chain. Systems for managing the supply chain efficiently reduces the costs, waste, and manufacturing cycle time.

A just-in-time supply chain, where the retail sales automatically transfer replenishment requests to manufacturers, has become the industry standard.

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assume that one year ago you bought 100 shares of a mutual fund for $13.50 per share, you received a $0.42 per-share capital gain distribution during the past 12 months, and the market value of the fund is now $17. calculate the total return for this investment if you were to sell it now.

Answers

The total return for this investment is $392.

The total return from investment is the distinction between the deals that continue at current market esteem in addition to the capital addition less buy (venture) costs.

Explanation:

Number of shares of mutual fund = 100

The per share price = $13.50

per-share capital gain = $0.42

the market value of the fund = $17

The total returns for 100 shares=( current value+ capital gain - purchase price) * 100

($17 + $0.42 + $13.50)*100

3.92*100 =392

Total sales (If sold) = ($17 * 100) = 1700

Total capital gain = ($0.42 * 100) = 42

Purchase cost = ( $13.50 * 100) = 1350

Total returns = ( $1700 +$ 42 - $392) = $392

return on investment= ($392*100/$1,350) =29.04%

The total returns can also be expressed as a percentage as;

($392*100/$1,350) =29.04%

Subsequently, the all-out returns acknowledged from the acquisition of the common asset are $392, or 29.04% of the investment cost.

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you buy one share of stock at $100, and a second share at $150, and a third share at $200. you then sell the stock for $150, the current market price. under average cost basis, what was your unrealized gain?

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You buy one share of stock at $100, and a second share at $150, and a third share at $200. you then sell the stock for $150, the current market price under average cost basis, your unrealized gain was zero.

The unrealized gain  refers to an increase in the value of an asset, such as a stock position or a commodity like gold, that has yet to be sold for cash. As such an unrealized gain is one that takes place on paper, as it has yet to be realized.

The value unrealized gain in portfolio can fluctuate constantly, which one asset going up in value or another one going down.

If one share of stock at $100, and a second share at $150, and a third share at $200. Then sum of $100, $150 and $200 divided by 3 then average value is $150 then zero unrealized gain.

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the following demand and supply diagram represents the market for routine outpatient appointments with a primary care physician. d1 shows the annual demand for a typical patient when he or she has no insurance and must pay the entire price of the appointment out of pocket. d2 shows how the typical patient responds to the price when he or she has to pay only 50% out of pocket, with the rest covered by medical insurance. how does this relate to the chapter?

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This demand and supply diagram relates to the chapter by illustrating how the demand for a product or service changes in response to changes in price.

In this case, the demand for routine outpatient appointments with a primary care physician changes when the patient's out-of-pocket cost is reduced. With no insurance, the annual demand for a typical patient is represented by D1. But when the patient has to pay only 50% out of pocket, the demand for the appointment increases to D2. This shows how price changes can affect the demand for a product or service, in this case healthcare services.

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in which of the following instances do the industry-low industry-average and industry-high values

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When the location where the company has production activities has company reject rates for branded footwear that are only 1.5% lower than the industry average.

Sector averages are frequently used as benchmarks or tools to help businesses compare their performance to others in the industry and assess their financial success. It aids in decision-making and is a useful tool for investors and business managers. It displays data from different corporate organizations that operate in various sectors of the economy and provide unique goods and services. Industry averages are a beneficial tool for some people and businesses since they provide a middle level of performance for all other rivals. It may be useful for an individual or organization to compare their own data figure to those averages in order to make decisions and forecasts about potential outcomes. Investors, for instance, assess an organization's level of risk and potential for future growth by comparing its financial statistics to those of the industry as a whole. To make decisions and conduct in-depth analysis, these variables all play a role. In order to gather the necessary data, surveys or a variety of websites with expert statistics can be used, as people are more likely to use the internet to do so. Industry averages can also be used to compare phrases like average incomes, unemployment rates, click-through rates, and other terms connected to the industrial sector.

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gretchen is preparing a sales presentation for the executive team. what organizational structure is she most likely to use?

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The type of organizational structure used when Gretchen is preparing a sales presentation for the executive team is problem-solution.

What is Problem-Solution Organizational Structure?

One type of organizational structure that can be used in companies is problem-solution. These problems can be used when looking for a solution to solving a problem. When companies use problems to solutions, the workforce will describe the problems being faced by the company and provide alternative options as solutions to these problems. One of the many activities carried out in companies that use problem-solutions is the activity of making presentations to the executive team to describe achievements and problems in the company.

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the balanced scorecard relies on four processes to bind short-term activities to long-term objectives. what are they?

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The balanced scorecard relies on four processes to bind short-term activities to long-term objectives - Translating the vision, Communicating and linking, Business planning, Feedback and learning.

What is a balanced scorecard?

A strategic management performance indicator known as the balanced scorecard (BSC) is used to identify and enhance various internal business activities and the results they have on the outside world. Balanced scorecards are a widespread tool used by businesses in the United States, the United Kingdom, Japan, and Europe to measure and provide feedback to organisations. In order to provide quantitative results, data collecting is essential because managers and executives must acquire and analyse the data. The decision-making of company personnel for the future of their organisations can be improved with the help of this knowledge.

The balanced scorecard was initially developed by business leader and theorist Dr. David Norton and accounting professor Dr. Robert Kaplan. It was initially published in 1992 in the Harvard Business Review article "The Balanced Scorecard—Measures That Drive Performance."

The 4 activities are:

1.  Translating the vision

2. Communicating and linking

3. Business planning

4. Feedback and learning

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While virtually all time series exhibit a____ random component, not all time series exhibit other components.

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The complete statement is "While virtually all-time series exhibit a random​ component, not all time series exhibit other components. "

What is a virtually all-time series exhibit?

Generally, A time series is a collection of observations of discrete data points that are generated over the course of time by performing several measurements.

For the purposes of a time series, an example would be to compute the total amount of retail sales for each individual month of the year.

This is because the measurement of sales revenue is properly defined and done on a consistent basis at periods that are all the same distance apart. The data known as time series are distinguished from those that are gathered seldom or just once.

A time series observation may be broken down into three distinct components: the trend, which refers to the overall long-term direction; the seasonal, which refers to the systematic, calendar-related movements; and the irregular, which refers to the outliers.

A time series is a collection of data points that have been cataloged chronologically. This concept originates from the field of mathematics.

A time series is often defined as a sequence that was recorded at a number of different moments in time that is uniformly spaced out from one another.

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question 1 an online gardening magazine wants to understand why its subscriber numbers have been increasing. a data analyst discovers that significantly more people subscribe when the magazine has its annual 50%-off sale. this is an example of what?

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The correct answer is: Analyzing customer buying behaviors.

What is data analysis?

Data analysis is the process of examining, cleaning, transforming, and modeling data with the goal of discovering useful information, drawing conclusions, and supporting f. There are multiple aspects and approaches to data analysis, including different techniques with different names and used in different economic, scientific and social science disciplines. In today's business world, data analytics play a role in helping organizations make more scientific decisions and operate more effectively.

Data mining is a specialized data analysis technique that focuses on statistical modeling and knowledge discovery for prediction rather than purely descriptive purposes, and business intelligence relies heavily on aggregation and is primarily focused on business information.

Therefore, The correct answer is: Analyzing customer buying behaviors.

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refer to scenario 19-5. why might an economist be skeptical of jason's discrimination complaint? a. even if customers dislike jason because he's not helpful, if the store operates in a competitive market the store will pay jason the same as other workers. b. through antitrust laws, discriminating firms can be penalized with large fees. c. discrimination leads to profit maximization. d. differences in wages alone do not by themselves prove discrimination.

Answers

In a competitive market, employers pay employees based on their value to the firm. This is why might an economist be skeptical of Jason's discrimination complaint.

What is competitive market?

In response to customer demand for products and services, a competitive market develops. Due to the rivalry created by this market system, firms must assess their costs of production, pricing policies, and product output.

Perfect competition, as well as competitive markets, aim to factor in both the buyer and the supplier equally and develop strategies based on the market's current supply and demand. We define competitive marketplaces, describe their traits, and explain their functions and distinctions in this article.

Multiple factors determine market pricing and, hence, market supply in a completely competitive market. Because independent price adjustments might result in a loss in sales, competitive market producers in this structure are price-takers who accept the market price.

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assume there are two digital cable tv companies operating in this market. if they are able to collude on the quantity of subscriptions that will be sold and on the price that will be charged for subscriptions, then their agreement will stipulate that a. each firm will charge a price of $120 and each firm will sell 3,000 subscriptions. b. each firm will charge a price of $90 and each firm will sell 4,500 subscriptions. c. each firm will charge a price of $90 and each firm will sell 9,000 subscriptions. d. each firm will charge a price of $150 and each firm will sell 1,500 subscriptions.

Answers

Thee quantity of subscriptions that will be sold and on the price that will be charged for subscriptions,Each firm will charge a price of $90 and each firm will sell 4,500 subscriptions. Option B.

Firms achieve monopoly results. When there is an agreement between companies on the amount of production and the price at which they will sell their products. Lower than a monopoly market and lower than a perfectly competitive market. A group of companies acting together to maximize their common interests is called an a. monopolistic competitive industry.

One of the tenets of game theory is that firms always have a single dominant strategy. A Nash equilibrium occurs when each firm in the industry chooses the best strategy given the strategies chosen by its competitors. Profit maximization is a short-term or long-term process by which a firm can determine the levels of prices inputs and outputs that yield the best possible overall profit.

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find the break-even point for the firm whose cost function c and revenue function r are given. (round your answers to the nearest whole number.)

Answers

The break-even point for the firm whose cost function c and revenue function r are 166.67 .

Calculating the point:

The break even point is given when the cost is equal to the revenue.

Thus, R(x)=C(x)

 270x  =   90x+30000

      180x=30000

Thus, x= 30000/180

            = 166.67

Hence, y=270 × 166.67

               =45000

​​​​​​(x,y) = (166.67,45000)

Break even point:

In economics, business, and cost accounting, the "break-even point" is the point at which total costs and revenue are equal, or "even." Even though opportunity costs have been paid and capital has received the risk-adjusted, expected return, there is no net loss or gain and one has "broken even." The point at which the company's total revenue and expenses are equal is known as the breakeven point. This indicates that there is no profit at the breakeven point; It's just zero net.

The impact of the break even point:

The equal the initial investment point will increment by any of the accompanying: a rise in the total amount of the firm's fixed costs and expenses. an increase in the variable costs and expenses per unit. a decrease in the selling prices charged by the company.

Question is incomplete Missing part is given below:

find the break-even point for the firm whose cost function c and revenue function r are given:

C(x) = 90x + 30,000

R(x) = 270x

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What is one output of enterprise strategy formulation?

Portfolio Governance
Portfolio Budgets
Portfolio Vision
Portfolio Canvas

Answers

The answer is portfolio budgets.

spruce pine mfg. co. has total fixed costs of $300,000 a year. the owner estimates that average variable costs for its product will be about $30 next year. the selling price to wholesalers will be $50. the break-even point is

Answers

The product's owner anticipates that the typical variable cost will be around $30 in the upcoming year. $50 will be the sale price to merchants. 15,000 units are needed to break even.

What exactly does a firm sell?

Any exchange in which cash is traded for a product or service is a sale. The vendor tries to "sell" the buyer on the advantages of their offer during such a sales negotiation.

How crucial is marketing in the corporate world?

The development of consumer loyalty and trust in businesses is significantly influenced by sales. The key factors that influence a customer's decision to refer your business to a relative or friend or to provide a positive honest website of your goods or services include trust and loyalty.

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Refer to Exhibit 5-6. Between Year 1 and Year 2, the general level of prices increased by approximately: a. 33.3 percent. b.133.3 percent. c. 66.7 percent d. 16.7 percent

Answers

Between Year 1 and Year 2, the general level of prices increased by approximately 33.3 %.

Option A is correct.

General level of price:

A hypothetical measure of overall prices for some set of goods and services in an economy or monetary union over a given period, normalized in relation to some base set, is the general price level. Typically, a daily price index, typically the Daily CPI, is used to approximate the general price level.

What decides the general cost level?

The consumer price index (CPI) is the most frequently used price level index. The price level is looked at using a "basket of goods" method, which looks at all of the consumer-based goods and services. The index that measures the basket of goods rises as a result of changes in the aggregate price over time.

What drives the overall price level up?

There are two primary drivers of expansion: cost-push and demand-pull. Both are liable for a general ascent in costs in an economy, however each works diversely to come down on costs. When consumers' demand drives up prices, demand-pull conditions occur, whereas cost-push conditions occur when supply costs drive up prices.

Question is incomplete .Missing parts are :

Nominal GDP

GDP Year (billions)      deflator

Year 1            600       100.0

Year 2              1,000      133.3

Refer to Exhibit 5-6. Between Year 1 and Year 2, the general level of prices increased by approximately:

a. 33.3 percent.

b. 16.7 percent.

c. 133.3 percent.

d. 66.7 percent.

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a hospital has not insured itself for malpractice claims with a third-party insurer. which of the following statements best expresses the general rule regarding the reporting of liabilities for malpractice claims on the face of the balance sheet? select one: a. they should be reported only to the extent that judgments and settlements are due and payable. b. they should be reported if it is highly likely that the disputes ultimately will be resolved in favor of the claimants. c. outstanding claims should be described in the notes to the statements; adjudicated and settled claims should be reported if they have not been paid d. they should be reported if it is probable that a loss has been incurred and the amount of the loss can be reasonably estimated.

Answers

They should be reported if a loss is likely to have occurred and the amount of the loss may be fairly anticipated expresses the general rule regarding the reporting of liabilities for malpractice claims on the face of the balance sheet.

How should malpractice claims be handled?

Entities must recognize liability for the projected total expenses of medical malpractice at the time the occurrence possibly leading to a claim occurs, according to FASB ASC 954-450-25-2. An estimate of this type should be collected as a gross sum, not reduced by prospective insurance reimbursements. Recognizing that you are an imperfect human being who will make mistakes will help you lessen your chances of causing injury and being successfully sued. Begin with effective risk management, based on the old adage of the four Cs: compassion, communication, competence, and charting.

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Suppose that the U.S. textile industry is competitive, and there is no international trade in textiles. In long-run equilibrium, the price per unit of cloth is $30. a. Describe the equilibrium using graphs for the entire market and for an individual producer. Now suppose that textile producers in other countries are willing to sell large quantities of cloth in the United States for only $25 per unit. b. Assuming that U.S. textile producers have large fixed costs, what is the short-run effect of these imports on the quantity produced by an individual producer? What is the short-run effect on profits? Illustrate your answer with a graph. c. What is the long-run effect on the number of U.S. firms in the industry?

Answers

Trade is a crucial idea for the growth of the economy because it enables nations and organizations to generate income via the sale and purchase of commodities and services. The many norms are created by the country to imply a smooth trading process between the nation.

Price level = $30

According to the above graph, the company is creating q units of output because, at the output level, marginal cost reduces marginal income, with the bottom point denoting profit maximization.

Long-term production yields no economic return for the company, therefore average revenue and average total cost are equal to the firm's output level.

Marginal Cost

Price level = $30

In the short term of production function, textile products are purchased from other nations for $25, which causes decreases in the amount produced by the particular manufacturer.

c) The company will experience losses in the current fiscal year as a result of the product's price decline. The firm will continue to operate over the long term with the participation of fixed costs, and the number decreases consistently until a supplier lowers the supply of product and price.

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how can a positive relationship between the expected return on a security and its beta be justified? multiple choice question. because the risk-free rate is equal to zero because the value of beta is always positive because the difference between the return on the market and the risk-free rate is likely to be positive because the difference between the return on the market and the risk-free rate is likely to be negative

Answers

How can a positive relationship between the expected return on a security and its beta be justified Because the difference between the return on the market and the risk-free rate is likely to be positive.

Market is defined as a regular gathering of people for the purchase and sale of provisions, livestock, and other commodities.

A positive relationship between the expected return on a security and its beta be justified since the difference between them is likely to be positive. In other words, it is the stock's sensitivity to market risk. For instance, if a company's beta is equal to 1.5 the security has 150% of the volatility of the market average. However, if the beta is equal to 1, the expected return on a security is equal to the average market return.

Therefore, the correct option is difference between the return on the market and the risk-free rate is likely to be positive.

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jake has just taken out a 15-year mortgage for $80,000 at an (annual) interest rate of 6% with equal end-of-month payments. how much interest will he pay in the second year of the mortgage? (round to the nearest cent)

Answers

he will pay in the second year of the mortgage:

$9,206.09

How Should Your Monthly Mortgage Payment Be Calculated?

It is advantageous to perform a manual mortgage calculation since you will get knowledge of how various elements interact to effect your monthly rate. These elements include the total amount you borrow from a bank, the loan's interest rate, and how long you have to pay off your mortgage.

The following equation should be used for your mortgage calculator:

M = P [ i(1 + i)^n ] / [ (1 + i)^n – 1].

The breakdown of each of the variables is as follows:

M = Total amount paid each monthP = The entire loan amountI = Your monthly percentage interest rateN = The total number of months in your mortgage repayment schedule.

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sales are $2.55 million in 2020, $2.65 million in 2021, and $2.45 million in 2022. what is the percentage change from 2020 to 2021? what is the percentage change from 2021 to 2022? be sure to indicate whether the percentage change is an increase or a decrease. (round your answers to 1 decimal place.)

Answers

The correct answer is  “80%”. If your sales increase by 20 percent, you can expect your total sales value in the upcoming quarter or year to be $90,000.

We must divide the value change by the original value to determine the percentage change, and we must then multiply the result by 100. Start by dividing the current period's net sales by the prior period's net sales. Next, divide the outcome by the prior period's net sales. To get the % sales growth, multiply the figure by 100. Multiplying the average selling price per good or service by the quantity of those goods or services sold will get the total amount of sales. By multiplying by 100, you can convert your number to a percentage.

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what is a manager's other expense cost per guest for marketing, if sales were $90,000 in a month, 3,000 guests were served, and marketing costs for the month were $1,500? a. $0.30 b. $3.00 c. $0.50 d. $5.00

Answers

If sales were $90,000 in a month, 3,000 guests were served, and marketing costs for the month were $0.50.

advertising and marketing is the process of exploring, growing, and handing over price to satisfy the desires of a target market in phrases of goods and services;[1][2] doubtlessly inclusive of choice of a audience; choice of sure attributes or issues to emphasize in advertising; operation of advertising and marketing campaigns; attendance at trade indicates and public events; design of merchandise and packaging appealing to customers; defining the phrases of sale, together with price, discounts, assurance, and go back coverage; product placement in media or with human beings believed to persuade the buying habits of others; agreements with retailers, wholesale distributors, or resellers; and tries to create awareness of, loyalty to, and high-quality feelings about a emblem.

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which is an example of a market failure? group of answer choices there are not enough tickets available to concerts of extremely popular performers. extensive decreases in the prices of electronic equipment resulted in large numbers of bankruptcies in the computer industry. the price of medical care has risen dramatically as a result of the introduction of sophisticated equipment and techniques. polio shots and chest x-rays provide widespread benefits to the community as a whole as well as to the individuals who get them.

Answers

Due to extensive decreases in the prices of electronic equipment resulted in large numbers of bankruptcies in the computer industry is the example of market failure.

What does Market failure mean

Market failure is an economic concept that describes inefficient resource allocation in a given market. It occurs when the market fails to allocate resources efficiently, resulting in an inefficient outcome. This can happen for a number of reasons, including a lack of competition, externalities, information asymmetry, or government intervention. In other words, market failure occurs when the free market fails to produce the most efficient result due to some underlying cause.

What does Bankruptcies mean?

Bankruptcy is the legal process by which a business or individual becomes unable to repay their creditors. It is a court-ordered process in which an individual's or company's assets are liquidated and distributed among creditors in order to pay off debts. Bankruptcies can have serious financial and legal consequences in the long run.

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suppose the predicted weather for monay is 10 indifferent and 60 bad, what are the chances for good weather wednesday

Answers

It is impossible to predict the exact chances of good weather on Wednesday based on the predicted weather conditions on Monday.

Weather forecasting models are based on the analysis of historical data and other factors such as temperature, wind, pressure and humidity. However, these models are not always accurate and can be affected by external factors such as location and other environmental conditions.

As such, the best way to determine the chances of good weather on Wednesday is to review the current weather conditions and forecasts for the day.

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in the balance of payments, which of the following is true of the sum of the capital account balance, the current account balance, and the official reserve transactions account balance? group of answer choices this sum must always be zero, because the sum of all surplus and deficit items associated with cross-border transactions must equal zero. this sum is positive only if the u.s. government operates with a budget deficit. this sum is positive only if the u.s. government operates with a budget surplus. this sum is either positive or negative, depending on whether the sum of all surplus and deficit items associated with cross-border transactions is positive or negative.

Answers

The trade balance and the capital bank balance total are the genuine statements in the balance - of - payments.

What is the straightforward meaning of capital?

A industry and its equipment, trade secrets like patent, or the pecuniary assets of a company or a person are all examples of things that provide value or advantage to their owners and fall within the wide definition of capital.

Briefing :

This sum must always be zero, because the sum of all surplus and deficit items associated with cross-border transactions must equal zero.

The current, capital, and official transactions accounts must sum to zero in total, the balance of payments balances.

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jamble co. reports cash of $40,000, accounts receivable of $60,000, inventory of $150,000, equipment of $350,000, and current liabilities of $100,000. what is jamble's acid-test ratio?

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The correct answer is 2.5. jamble co. reports cash of $40,000, accounts receivable of $60,000, inventory of $150,000, equipment of $350,000, and current liabilities of $100,000

In the same financial period, a vertical analysis occurs when a single line item is compared to a base item. For instance, using total assets as the basis item, we may divide the inventory line on the balance sheet to determine the percentage of inventory. For instance, every number on an income statement is recalculated as a percentage of net sales as a consequence of the vertical analysis of an income statement. Net sales for a corporation of $2 million will be shown as 100% ($2 million divided by $2 million). The current ratio is one of the liquidity ratios. The current ratio takes into account assets and obligations that be settled within a year, and the greater this ratio, the more liquid the organization is.

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according to michael porter's research on the competitive advantage of nations, human, physical, knowledge, capital, and infrastructure resources are all components of a country's: a) factor conditions. b) demand conditions. c) strategy, structure, and rivalry. d) related and supporting industries. e) global conditions.

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According to Michael porter's research on the competitive advantage of nations, human, physical, knowledge, capital, and infrastructure resources are all components of a country's factor conditions. The Option A is correct.

What does factor conditions mean?

Basically, a factor conditions refer to the inputs that allow competition to take place such as human, physical, knowledge, and capital resources as well as the type, quality, and availability of infrastructure.

According to Porter, a country does not inherit these inputs but instead creates the most important factors of production such as skilled human resources or a scientific base.

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5) what risk mitigation or management strategies might the owner consider in trying to ensure the venture remains profitable? (i.e. propose strategies that will correct input(s) that cause npv to go negative). limit your answer to less than 250 words.

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There are four typical methods for reducing risk. These frequently include acceptance, transference, reduction, and avoidance.

Why risk management strategy is very important?

An effective risk management program aids an organization in taking into account all potential risks. The relationship between risks and the potential negative cascading effects on the strategic objectives of an organization are also examined by risk management.

An expected net loss for the company is indicated by a project's calculated NPV being negative ( 0). As a result, and in accordance with the law, the company shouldn't move forward with the project.

Therefore, This indicates that the future income will not be worth more than the initial investment.

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