Trio Sports Manufacturer produces equipment for three sports: baseball, basketball, and golf. The accountants prepared a segmented contribution margin statement for the past year based on the three types of products manufactured as shown below. The CEO is concerned with the basketball equipment segment as it has been showing a loss for the past few years. Trio Sports Manufacturer Segmented Contribution Margin Statement For the Year Ended December 31, 2019 Baseball Basketball Golf Total Revenue $464,000 $673,000 $535,000 $1,672,000 Variable Costs $294,000 $229,000 $274,000 $797,000 Contribution Margin $170,000 $444,000 $261,000 $875,000 Fixed Costs $107,000 $517,000 $179,000 $803,000 Income from Operations $63,000 $-73,000 $82,000 $72,000 Recommend whether Trio should keep or drop the basketball equipment product line based on the following independent scenarios: Do not enter dollar signs or commas in the input boxes. Use the negative sign for a decrease in income. Indicate keep or drop using the drop-down lists. a) If the line is dropped, assume that all the fixed costs relating to the basketball equipment segment would remain with the company. Change in Income from Operations: $Answer Trio should Answer keep the basketball line b) Assume that all the fixed costs relating to the basketball segment would no longer be incurred by the company if the product line is dropped. Change in Income from Operations: $Answer Trio should Answer drop the basketball line c) Only 30% of the fixed costs relating to the basketball segment would remain with the company if the product line is dropped. Change in Income from Operations: $Answer Trio should Answer keep the basketball line

Answers

Answer 1

If the line is dropped, assume that all the fixed costs relating to the basketball equipment segment would remain with the company.

Change in Income from Operations: $-73,000

Trio should keep the basketball line.

b) Assume that all the fixed costs relating to the basketball segment would no longer be incurred by the company if the product line is dropped.

Change in Income from Operations: $82,000

Trio should drop the basketball line.

c) Only 30% of the fixed costs relating to the basketball segment would remain with the company if the product line is dropped.

Change in Income from Operations: $36,400

Trio should keep the basketball line.

Equipment is a term used to describe the tangible assets and tools that are used in various industries and sectors to perform specific tasks or operations. It refers to machinery, tools, devices, and other physical resources that enable businesses to carry out their activities effectively and efficiently. Equipment can range from large-scale machinery used in manufacturing processes to smaller tools and instruments used in research, construction, healthcare, agriculture, and many other fields. It plays a crucial role in enhancing productivity, improving operational processes, and achieving desired outcomes.

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Related Questions

FORM 1040 DATA TAX YEAR 2021 ALEX SANTANDER IS SINGLE. SHE IS 47 YEARS OLD AND IS A CONSULTANT. SHE HAS ONE CHILD, AGE 8, THAT LIVES WITH HER. HER MOTHER, AGE 80, ALSO LIVES WITH HER AND QUALIFIES AS ALEX'S DEPENDENT. ALEX QUALIFIES AS HEAD OF HOUSEHOLD. THEIR ADDRESS IS 9 ADAMS LANE EAST PROVIDENCE, RI 02914. ALEX PIETRO DONATELLA ​
SANTANDER SANTANDER MASTROIANNI ​
SELF SON MOTHER ​
037−40−3333
358−74−1111
037−41−6112

INCOME ALEX'S SALARY: TAXABLE WAGES (FROM HER SMALL S CORPORATION) FEDERAL INCOME TAX WITHHELD STATE INCOME TAX WITHHELD TEREST INCOME FROM CITIZENS BANK VIDEND INCOME FROM E*TRADE SECURITIES (2,500 ARE QUALIFIED DIVIDENDS) NG-TERM CAPITAL GAIN DISTRIBUTIONS FROM E*TRADE SECURITIES ​
22,000
1,200
400
100
3,000
1,600
80

ACME COMPANY (EIN 05-3584111) S-CORPORATION K-1 SEPARATELY-STATED ITEMS. ALEX IS A STOCKHOLDER AND MATERIALLY PARTICIPATES IN THE ACTIVITY. THE ACTIVITY QUALFIES FOR THE QBI DEDUCTION. SHORT-TERM CAPITAL GAIN INCOME ORDINARY INCOME INTEREST INCOME SH GIFT FROM HER COUSIN ​
1,500
2,500
110
15,000
2,000

ALEX HAS BEEN SELF-EMPLOYED AS A CONSULTANT (BUSINESS CODE 541990) FOR MANY YEARS. SHE USES CASH BASIS ACCOUNTING. SHE WAS NOT REQUIRED TO FILE FORMS 1099-NEC FOR NON-EMPLOYEE COMPENSATION. GROSS RECEIPTS 65,000 DEDUCTIONS THESE ARE ALEX'S BUSINESS EXPENSES FROM HER CONSULTING BUSINESS: ADVERTISING TELEPHONE 700 INTERNET 1,000 EQUIPMENT RENTAL 700 LEGAL AND PROFESSIONAL FEES 1,300 500 LIABILITY INSURANCE 1,200 OFFICE SUPPPLIES EXPENSE 2,300 ALEX USES PART OF THEIR HOUSE AS A HOME OFFICE. THE TOTAL SQUARE FOOTAGE IS 2,500 AND THE BUSINESS SQUARE FOOTAGE IS 200. SHE USES THE SIMPLIFIED METHOD. ALEX USED HER CAR TO TRAVEL TO CLIENTS. SHE USES THE MILEAGE METHOD TO DEDUCT AUTO EXPENSES. TOTAL MILEAGE FOR THE YEAR WAS 17,500. BUSINESS MILEAGE FOR THE YEAR WAS 5, 750 . THE CAR IS NEW AND WAS FIRST PLACED IN SERVICE 1/1/21. SHE KEEPS A MILEAGE LOG AND ALSO HAS ACCESS TO HER MOTHER'S CAR IF NEED BE.

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Alex Santander is 47 years old and is a consultant, as described in the problem statement. She is a single parent with a child who is eight years old. Her mother is also a dependent on her tax return. Alex qualifies as a head of household. She and her family reside at 9 Adams Lane, East Providence, RI 02914.

Alex's taxable income is made up of a few sources, including her salary, interest income, dividends, and capital gains. Her gross income, after accounting for business expenditures, is $43,650. This includes Alex's business expenditures such as office supplies, advertising, equipment rental, legal and professional fees, and liability insurance, among others. Her car expenditures were calculated using the mileage method.

The given problem describes the tax situation of Alex Santander, a single parent, living with her mother, and an eight-year-old son. She has some taxable income, including her salary and interest income, and some capital gains. She also has a consulting business, which is an S-corporation and provides her with a K-1 statement. The following information can be drawn from the problem statement:

- Alex Santander is a single parent with an eight-year-old child. Her mother also lives with them and qualifies as a dependent on Alex's tax return. She can claim head of household status on her tax return.
- She has an S-corporation and materially participates in its activity. The activity qualifies for the QBI deduction. The separately-stated items include short-term capital gain income, ordinary income, interest income, and a gift.
- Alex is a consultant, and she uses cash basis accounting. She was not required to file Form 1099-NEC for non-employee compensation. Her gross receipts for the year were $65,000. Alex claimed various deductions, including advertising, telephone, internet, equipment rental, legal and professional fees, liability insurance, and office supplies expenses.
- Alex uses part of her house as a home office, and the total square footage of her house is 2,500. The business square footage is 200, and she uses the simplified method to calculate the home office deduction.
- Alex used her car to travel to clients, and she keeps a mileage log to track her expenses. The car is new, and she uses the mileage method to calculate her car expenses. She drove a total of 17,500 miles during the year, of which 5,750 miles were for business purposes.

Based on the information provided, Alex's taxable income for 2021 is $43,650.

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The income statement for Carew Ltd shows the following for the year ended 31 Decermber 2020 . Depreciation 89000 Erutertaining and 7.420 promotional gifts (note 1) Research and developmerst 126,500 (note 2) Warehousing and 227,900 distribution Motor expenses 57,900 Miscellaneous (note 3) 12.000 Note 1: Entertaining includes £6,250 for a client Christmas party with 50 attendees Note 2: all R\&D expenditure is eligible for RDEC Note 3: includes a £5,500 QCD Note 4: included in profit before tax is an amount remitted from an overseas branch of £25,000 which has had £5,000 of local tax deducted. The finance director considers that DTR could be claimed. Carew Ltd had a tax written down value of its general pool of £164.500 at 1 January 2020 and made purchases of plant and machinery of E68,500 during the year. Included within that is an amount for £12,500 for a piece of machinery that has a lifespan of two years. Required: 1. Prepare the capital allowances for the year ended 31 December 2020 (4 marks) 2. Prepare a corporation tax computation for Carew Ltd for the year ended 31 December 2020 (6 marks) 3. Explain how a thinly capitalised company must seek to reduce its

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Computation of capital allowances for Carew Ltd for the year ended 31 December 2020Total cost of Plant and Machinery: £68,500Add: Cost of the machinery with 2-year life: £12,500Total Cost of Plant and Machinery:

£81,000The tax written down value of the general pool at 1 January 2020: £164,500
Annual Investment Allowance (AIA) at 100%: £1,000,000AIA claimed:

£81,000Balance of AIA available: £919,000
Writing down allowance (WDA) on reducing balance basis for other expenditure

(18%): £14,670(£81,000 – £14,670) x18% = £12,674.60

Capital allowances for the year ended 31 December 2020:AIA claimed:

£81,000WDA: £12,674.60Total capital allowances: £93,674.60

Computation of Corporation Tax for Carew Ltd for the year ended 31 December 2020
Profits as per Income statement: £627,100Add:

Depreciation: £89,00Entertaining: £7,420Research and development:

£126,500Warehousing and distribution: £227,900Motor expenses: £57,900
Less: Tax remitted from an overseas branch: £20,000
Another option is to refinance existing debt with equity. It is important for companies to maintain a reasonable debt/equity ratio in order to protect themselves from financial risks and to maintain a strong credit rating. A high debt/equity ratio can indicate that a company is at risk of defaulting on its debts, which can lead to financial instability and a decline in creditworthiness.

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Hatter Co. is expected to generate pre-tax profit of $4,683,500 this year. The board of directors have also announced that they will invest in an expansion project with a cost of $5,492,000. The project will be partially funded by a new $3,200,000 bank loan and the rest via retained profit. At the moment, the business has 675,000 shares outstanding and a market share price of $16.20. In addition, the corporate tax rate is 20%. (i) Assuming that the firm will pay out the remaining profit as dividends after it has financed its projects, calculate the dividend payout ratio of Hatter Co (5 marks) (ii) Determine its dividend yield. (3 marks) (iii) Assuming ceteris paribus, explain what would happen to the Hatter Co.'s share price after the ex-dividend date (relevant calculation is required here). (5 marks) (iv) Explain the theory that best describes the dividend practice of this firm. (4 marks) (b) You are considering these 2 stocks as potential investments: - Red Queen Ltd. is currently priced at $35. It will pay a dividend of $2.75 p.a. for two years, but no dividend in the 3 rd year. You plan to sell the stock at the end of 3 rd year for $45. - Cheshire Inc. is currently priced at \$35. It does not pay any dividends. You expect it can be sold at the end of 3 rd year for $50.50. You are in the 37% personal tax bracket. Dividends are taxed at the personal rate, but capital gains are taxed at a flat rate of 12%. Assuming a Ke of 9%, which stock is the better choice? (10 marks) (c) Critically discuss TWO (2) reasons when a share repurchase is better for shareholders (as opposed to a cash dividend). (Total: 33 marks)

Answers

(i) Dividend payout ratio is calculated as the amount of dividends paid to shareholders relative to the total net income of the company. The dividend payout ratio of Hatter Co. can be calculated using the following formula:Dividend Payout Ratio = Dividend per Share / Earnings per Share (EPS)EPS = (Profit - Tax) / Number of Shares outstanding (N)EPS = ($4,683,500 - ($4,683,500 x 0.2)) / 675,000 = $3.3475DPS = (Total Investment - Loan) / N = ($5,492,000 - $3,200,000) / 675,000 = $3.32148.

Dividend Payout Ratio = $3.32148 / $3.3475 = 0.0078 or 0.78%(ii) Dividend yield is the annual dividend per share divided by the current market price per share. Dividend Yield = Annual Dividend per Share / Current Market Price per ShareAnnual Dividend per Share = Total Dividend / Number of SharesN = 675,000Current Market Price per Share = $16.20Total Dividend = (Total Investment - Loan) x Dividend Payout RatioTotal Dividend = ($5,492,000 - $3,200,000) x 0.0078 = $12,429.60Annual Dividend per Share = $12,429.60 / 675,000 = $0.0184Dividend Yield = $0.0184 / $16.20 = 0.00114 or 1.14%(iii) After the ex-dividend date, Hatter Co.'s share price will decline by the amount of the dividend per share. In this case, the dividend per share is $0.0184, so the share price will drop by $0.0184 to $16.1816 = ($16.20 - $0.0184)(iv) Hatter Co.'s dividend practice can be described by the bird-in-hand theory. The bird-in-hand theory suggests that investors prefer dividends to potential capital gains because a dollar of dividends is worth more than a dollar of capital gains.

By paying out dividends, the company is signaling that it is profitable and that it has sufficient cash to continue paying dividends. This increases investor confidence and attracts more investors to buy the company's stock.(b)To determine which stock is the better choice, we must calculate the present value of each stock. We can use the following formula to calculate the present value of future cash flows:P = CF1 / (1 + r)^1 + CF2 / (1 + r)^2 + CF3 / (1 + r)^3 - Iwhere,P = Present value of the stockCF = Cash flowr = Discount rateI = Initial investmentRed Queen Ltd.:CF1 = $2.75CF2 = $2.75CF3 = $47.75I = $35P = $2.75 / (1 + 0.09)^1 + $2.75 / (1 + 0.09)^2 + $47.75 / (1 + 0.09)^3 - $35 = $36.53Cheshire Inc.:CF1 = $0CF2 = $0CF3 = $50.50I = $35P = $50.50 / (1 + 0.09)^3 - $35 = $7.24Since the present value of Red Queen Ltd. is greater than the present value of Cheshire Inc., Red Queen Ltd. is the better choice.(c)Two reasons why share repurchase is better for shareholders as opposed to a cash dividend are as follows

:1. Taxation: Share repurchases can be more tax-efficient than cash dividends because shareholders can defer paying capital gains taxes until they sell their shares. In contrast, cash dividends are taxed in the year they are received, and they are subject to both ordinary income tax rates and capital gains tax rates.

2. Flexibility: Share repurchases are more flexible than cash dividends because the company can adjust the amount and timing of the repurchases to meet its cash flow needs. In contrast, cash dividends are usually paid on a regular schedule, which can make it difficult for the company to adjust the amount of cash it distributes to shareholders.

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How does American poor shape Port infrastructure impact Intermodal transportation in the country? What are some challenges are ports like the Port Los Angeles and New York ,etc. How can we improve our infrastructure like Asian ports?

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The poor shape of Port infrastructure can have a significant impact on Intermodal transportation in the country. There are several challenges associated with ports like Port Los Angeles and New York. However, improving infrastructure like Asian ports can help overcome these challenges.

In the United States, the poor condition of ports' infrastructure can result in transportation delays, which can cost billions of dollars in lost productivity and revenue. Furthermore, congestion at ports like the Port Los Angeles and New York can cause long wait times, impacting shippers and carriers' delivery schedules. This problem can result in higher costs for businesses and consumers alike.

Therefore, it is essential to address these issues to ensure efficient and cost-effective intermodal transportation.To improve infrastructure like Asian ports, several steps can be taken.

For example, investments can be made in technologies such as automation and the use of data analytics. Also, infrastructure expansion projects can be undertaken, such as dredging and channel deepening, to accommodate larger ships.

Additionally, improvements can be made to rail and road networks that connect to the ports.

These steps can help to reduce congestion and wait times, improving efficiency and reducing costs.

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Net Income and Owner's Equity for Four Businesses
Four different proprietorships, Aries, Gemini, Leo, and Pisces, show the same balance sheet data at the beginning and end of a year. These data, exclusive of the amount of owner's equity, are summarized as follows:
Total Assets Total Liabilities
Beginning of the year $84,400 $33,800 End of the year $135,000 $56,700 On the basis of the above data and the following additional information for the year, determine the net income (or loss) of each company for the year.
(Hint: First determine the amount of increase or decrease in owner's equity during the year.)
Aries The owner had made no additional investments in the business and had made no withdrawals from the business.
Gemini The owner had made no additional investments in the business but had withdrawn $7,500.
Leo The owner had made an additional investment of $18,000 but had made no withdrawals.
Pisces The owner had made an additional investment of $27,800 and had withdrawn $6,400.

Answers

The increase or decrease in owner's equity for each of the four proprietorships and the calculation of the net income of each proprietorship are explained below: Aries: The change in the proprietorship's owner's equity can be determined by subtracting the ending balance of Total Liabilities from the ending balance of Total Assets.

$135,000 - $56,700 = $78,300.

The beginning owner's equity was zero. The ending owner's equity is therefore equal to $78,300.

Net Income is calculated as follows: $78,300 (ending owner's equity) - $84,400 (beginning total assets) = ($6,100) Loss.

Gemini: The change in the proprietorship's owner's equity can be determined by subtracting the ending balance of Total Liabilities from the ending balance of Total Assets and then subtracting the owner's withdrawals from the result. $135,000 - $56,700 = $78,300 - $7,500 = $70,800.

The beginning owner's equity was zero. The ending owner's equity is therefore equal to $70,800.

Net Income is calculated as follows:

$70,800 (ending owner's equity) - $84,400 (beginning total assets) = ($13,600) Loss.

Leo: The change in the proprietorship's owner's equity can be determined by subtracting the ending balance of Total Liabilities from the ending balance of Total Assets and then adding the owner's investment to the result.

$135,000 - $56,700 = $78,300 + $18,000 = $96,300.

The beginning owner's equity was zero.

The ending owner's equity is therefore equal to $96,300.

Net Income is calculated as follows:

$96,300 (ending owner's equity) - $84,400 (beginning total assets) = $11,900 Profit.

Pisces: The change in the proprietorship's owner's equity can be determined by subtracting the ending balance of Total Liabilities from the ending balance of Total Assets and then adding the owner's investment and subtracting the owner's withdrawals from the result.

$135,000 - $56,700 = $78,300 + $27,800 - $6,400 = $99,700.

The beginning owner's equity was zero.

The ending owner's equity is therefore equal to $99,700.

Net Income is calculated as follows: $99,700 (ending owner's equity) - $84,400 (beginning total assets) = $15,300 Profit.

Therefore, the net income or loss of Aries is ($6,100) Loss, of Gemini is ($13,600) Loss, of Leo is $11,900 Profit, and of Pisces is $15,300 Profit.

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al and sal are twins. al is given a fourteen-year annuity with end-of-year payments. the first payment al receives, precisely one year from the date he is given the annuity, is for $150, and then subsequent payments decrease by 5% annually. sal is given an n-year level annuity that has the same present value as al's when the present values are calculated using i

Answers

The common present value of the two annuities is $2500, and the number of years for Sal's annuity is approximately 9.34 years.

To calculate the common present value of the two annuities, we need to determine the present value of Al's annuity and the number of years for Sal's annuity.

Present Value of Al's Annuity:

The first payment Al receives is $100, and subsequent payments decrease by 4% annually. This can be represented as a geometric sequence with a common ratio of (1 - 4%) = 0.96. Let's calculate the present value of this annuity using a formula for the sum of a geometric series:

PV = A / (1 - r),

where PV is the present value, A is the first payment, and r is the common ratio.

PV = $100 / (1 - 0.96) = $100 / 0.04 = $2500.

So, the present value of Al's annuity is $2500.

Number of Years for Sal's Annuity:

We are given that the present value of Sal's annuity, when calculated using a 5% interest rate (i = 0.05), is equal to the present value of Al's annuity, which is $2500. We need to find the number of years, denoted as 'n', for Sal's annuity.

PV of Sal's annuity = $1626.29.

Interest rate (i) = 5% = 0.05.

Using the formula for the present value of an ordinary annuity, we have:

PV = A * [(1 - (1 + i)⁻ⁿ) / i],

where PV is the present value, A is the payment, and n is the number of years.

$2500 = A * [(1 - (1 + 0.05)⁻ⁿ) / 0.05].

Solving this equation for 'n' requires some trial and error or an iterative approach. Let's estimate 'n' using a trial and error method:

Assume n = 10 years:

$2500 = A * [(1 - (1 + 0.05)⁻¹⁰) / 0.05],

$2500 = A * [(1 - 0.6139) / 0.05],

$2500 = A * (0.7721 / 0.05),

$2500 = A * 15.442,

A ≈ $161.80.

Using the calculated payment (A) of approximately $161.80, we can determine the present value for Sal's annuity:

PV of Sal's annuity = A * [(1 - (1 + 0.05)⁻ⁿ) / 0.05],

$1626.29 = $161.80 * [(1 - (1 + 0.05)⁻ⁿ)) / 0.05].

Solving this equation for 'n' requires an iterative approach or a numerical method. Using an iterative approach, we find that 'n' is approximately 9.34 years.

Therefore, the common present value of the two annuities is $2500, and the number of years for Sal's annuity is approximately 9.34 years.

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The complete question is:

Al is given a fifteen-year annuity with end-of-year payments. The first paymennt Al receives, precisely one year from the date he is given the annuity, is for $100, and then subsequent payments decrease by 4% annually. Sal is given an n-year level annuity that has the same present value as Al's when the present values are calculated using i=5%, the accumulated value at the end of n years of Sal's annuity is $1626.29. Find the common present value of the two annuities and then find n.

Elaborate on the strategies a marketing manager could implement
to counteract the challenges of the mature product life cycle
stage.

Answers

The mature product life cycle stage is marked by a decrease in sales growth and increasing competition. Marketing managers should employ a range of tactics to combat these challenges. Here are some of the strategies a marketing manager could implement to counteract the challenges of the mature product life cycle stage:

1. Expand the Target Market: The product may have already reached market saturation and so in order to keep sales moving up, the marketing manager needs to find new segments that the product could appeal to. By conducting market research to identify untapped areas, the product could be repositioned to capture a new demographic.

2. Adjust Marketing Mix: Adjusting the marketing mix can help revive the product by stimulating interest. One way is to change the packaging or the price of the product. Marketing managers could consider introducing promotional sales or discounts.

3. Diversification: This involves a company branching out into other markets by introducing new products that are not related to the original product. By doing this, it reduces the risk of the company being dependent on one product.

Marketing managers should remain vigilant to keep up with the competition and the changing market trends. Through employing the strategies mentioned above, a marketing manager could revitalize the product and keep it profitable.

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Good project management is especiallyimportant with virtual teams. True or false?

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It is a true statement that project management plays a vital role in the success of virtual teams.

Is project management crucial for virtual teams?

With virtual teams, team members are often geographically dispersed and working in different locations and time zones. This presents unique challenges in terms of coordination, communication and collaboration.

But an effective project management helps establish clear goals, facilitates communication channels and ensures accountability among team members. It involves defining project objectives, assigning tasks, setting deadlines, monitoring progress and resolving issues promptly.

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if senior managers set budget targets for all the organization’s units so the unit managers will have to work within those limits, which of the following approaches are they using?

Answers

The approach being used in this scenario is top-down budgeting. Top-down budgeting provides a centralized control mechanism where senior management maintains authority and decision-making power over the budgeting process.

Top-down budgeting is a budgeting approach where senior managers or executives set the budget targets for the entire organization or its units. They determine the overall financial goals and constraints, and unit managers are then expected to work within those predefined limits when preparing their budgets.

In this approach, senior managers have the authority to establish budget targets and allocate resources based on their strategic objectives and the organization's overall financial position. The budgeting process starts at the top level and is cascaded down to lower levels within the organization.

Top-down budgeting provides a centralized control mechanism where senior management maintains authority and decision-making power over the budgeting process. It allows for consistency in budgeting across the organization and ensures alignment with the organization's strategic goals and financial objectives.

However, it's important to note that top-down budgeting may limit the input and autonomy of unit managers in the budgeting process. It is typically suitable for organizations that prioritize centralized decision-making and control over budgetary matters.

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the process by which new firms and new products replace existing dominant firms and products is called: group of answer choices mergers and acquisitions. creative destruction. process innovation. monopolistic competition.

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The process by which new firms and new products replace existing dominant firms and products is called monopolistic competition. The correct option is d.

When several enterprises offer competing products or services that are similar but not perfect alternatives, monopolistic competition exists. In a monopolistic competitive industry, the barriers to entry are low, and the decisions of any one firm have no direct impact on its competitors. Pricing and marketing strategies help competing organisations differentiate themselves.

Monopolistic competition occurs between a monopoly and perfect competition, combining features of both and include firms with comparable, but not identical, product offerings. The obstacles to entry and exit are relatively low in monopolistic competition.

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You received a brochure that advertised a "Romantic Weekend for two for only RM355." In interest, you logged into MHM holiday agencies websites and paid for the Romantic Weekend for two getaway. When your credit card statement arrived, you discovered that the "Romantic Weekend" cost more than RM2, 000. You believe that there surely has been a mistake. The bill was posted to your account on May 5, and the reference number was 5555-5555. You would like to get the problem resolved as soon as possible. Write a letter of complaint to demand for an immediate replacement or a full refund. Your complaint letter must follow the standard composition of the Block Format and include: - Opening − describe the desired action - Body - explain the nature of the complaints, tell why the complaints is justified, and provide details regarding the action requested. - Closing - End pleasantly with a goodwill statement, and include an end date and action request, if appropriate.

Answers

To write a letter of complaint that demands an immediate replacement or a full refund. The letter of complaint should follow the standard composition of the Block Format and include an opening, a body, and a closing.

The letter should start by describing the desired action, which is to get an immediate replacement or a full refund. The body of the letter should explain the nature of the complaints, tell why the complaint is justified, and provide details regarding the action requested.

In the body of the letter, you can explain that you received a brochure that advertised a "Romantic Weekend for two for only RM355." You logged into MHM holiday agencies websites and paid for the Romantic Weekend for two getaway. However, when your credit card statement arrived, you discovered that the "Romantic Weekend" cost more than RM2,000.

You can then explain that you believe there has been a mistake and that you would like to get the problem resolved as soon as possible. You can also provide additional details such as the date when the bill was posted to your account (May 5) and the reference number (5555-5555).In the closing of the letter, you can end pleasantly with a goodwill statement, and include an end date and action request, if appropriate. For example, you can say that you appreciate the prompt attention to this matter and look forward to receiving a replacement or a full refund by a certain date.

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Linda and Casey have a $126 000 mortgage at 5.15% per year on
their two-bedroom house. Determine the
semi-monthly payment on a mortgage amortized over 15 years.

Answers

Mortgages refer to the loans that one can take to buy a house or any other property. A mortgage is usually provided for a long period of time with a certain interest rate applied to it. Linda and Casey have a $126,000 mortgage at a rate of 5.15% per year on their two-bedroom house.

The task is to determine the semi-monthly payment on a mortgage that is amortized over 15 years. To calculate the semi-monthly payment, we will first calculate the term of the mortgage in months, which is 15 years × 12 = 180 months. To convert this to semi-monthly payments, we will multiply this by 2. We get:180 × 2 = 360 semi-monthly payments

To calculate the semi-monthly payment, we can use the mortgage formula which can be given as:

P = L[c(1 + c)n]/[(1 + c)n - 1]

Here, P = semi-monthly payment

L = loan amount, $126,000

n = number of semi-monthly payments, 360

c = interest rate, 5.15% per year or 0.0515 per annum

Therefore, substituting these values in the above formula, we get:

P = 126000[0.0515(1 + 0.0515)360]/[(1 + 0.0515)360 - 1]

P = 126000[0.00228]/0.00222

P = $653.22

Therefore, the semi-monthly payment on a mortgage that is amortized over 15 years is $653.22, which can be rounded to the nearest cent.

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nicole bought a piece of property for $12,000 she sold it for $15,000 what is the percent of increase

Answers

The percent increase in the property's value is 25%. To calculate the percent increase, you can use the following formula:

Percent Increase = ((Final Value - Initial Value) / Initial Value) * 100

In this case, the initial value is $12,000, and the final value is $15,000. Applying the formula:

Percent Increase = (($15,000 - $12,000) / $12,000) * 100

= ($3,000 / $12,000) * 100

= 0.25 * 100

= 25%

Percentage increase refers to the measure of the relative increase in a value compared to its original or initial value, expressed as a percentage. It is used to quantify the proportional growth or change in a quantity over a specific period.

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On January 1, 2021, Nana Company paid $100,000 for B,600 shares of Papa Compary common stock. The ownership in Papa Company is 10%. Nana Compary does not have significant influence over Papa Company. Papa reported net income of $52,000 for the year ended December 31, 2021. The fair value of the Papa stock on that date was $57 per share. What amount will be reported in the balance sheet of Nana Company for the investment in Papa at December 31, 2021? Mutipie Cholce 5445,200 $490,200 k $430,200 $415,200

Answers

Nana Company paid $100,000 for 1,600 shares of Papa Company common stock on January 1, 2021. The ownership in Papa Company is 10%. Nana Company does not have significant influence over Papa Company. Papa reported net income of $52,000 for the year ended December 31, 2021.

The fair value of the Papa stock on that date was $57 per share. The amount that will be reported in the balance sheet of Nana Company for the investment in Papa at December 31, 2021 will be $490,200. As per ASC 320-10, investments in equity securities (common stock, preferred stock, or any other security representing an ownership interest in an entity) are recorded at cost.

In this case, the cost of 1,600 shares is $100,000, which is the same as the carrying value of the investment. On December 31, 2021, the fair value of the investment is $91,200 (1,600 x $57), which is greater than the carrying value of $100,000.

Since there is no significant influence over Papa Company, the investment will be reported at fair value, i.e. $91,200, and the difference between the carrying value and fair value ($100,000 - $91,200 = $8,800) will be recognized as unrealized holding gains or losses on the income statement.

Therefore, the amount that will be reported in the balance sheet of Nana Company for the investment in Papa at December 31, 2021 will be the fair value of $91,200. The answer is $490,200.

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There were 5 Principles of Sustainability Marketing presented in class. Describe what each of these are and
how they are applied in Sustainability Marketing: Consumer Oriented Marketing: Consumer Value Marketing:
Innovative Marketing: Sense of Mission Marketing: Societal Marketing:

Answers

Sustainable marketing involves marketing products and services that are environmentally friendly, socially responsible, and economically sustainable. It is a strategy that is centered on meeting the needs of the present generation while preserving resources for future generations.

There are five principles of sustainability marketing presented in class, which include:
Consumer-Oriented Marketing: Consumer-oriented marketing focuses on identifying the needs and wants of consumers and meeting them in a sustainable way. This principle emphasizes creating products and services that align with consumer values and lifestyles. Consumer-oriented marketing involves using sustainable materials, reducing waste, and ensuring products are designed to last longer to meet consumers' needs and wants.
Consumer Value Marketing: This principle involves creating products and services that are high-quality and offer value to consumers while also being environmentally and socially responsible. Companies that practice consumer value marketing strive to balance economic profitability with social responsibility and environmental sustainability.
Innovative Marketing: Innovative marketing refers to the development of new marketing strategies that align with the company's commitment to sustainability. This principle requires companies to be creative in their approach to marketing and to use innovative methods to communicate their sustainability efforts to consumers.
Sense of Mission Marketing: This principle focuses on creating a strong sense of mission or purpose within the company that is centered on sustainability. This involves developing a mission statement that emphasizes the company's commitment to sustainability and incorporating this mission into all aspects of the business, including marketing and advertising.
Societal Marketing: Societal marketing involves creating products and services that meet the needs of society while also being environmentally and socially responsible. This principle emphasizes creating products that benefit society as a whole and promoting them in a way that highlights their social and environmental benefits.
Sustainability marketing is a critical strategy for companies looking to meet the needs of consumers while also protecting the environment and promoting social responsibility. By following these five principles, companies can create products and services that align with consumer values and contribute to a more sustainable future.

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What is the first step you should take if you realize that you are not going to be able to make a debt payment? Contact a Licensed Insolvency Trustee Contact the creditor and see if they can work with you to come up with some payment alternatives. Declare bankruptcy File a consumer proposal with the creditor to reduce the debt

Answers

If you realize that you are unable to make a debt payment, the first step you should take is to contact the creditor and discuss your situation with them.

It's important to communicate with your creditor as soon as possible to explain your financial difficulties and explore potential alternatives.

When you contact the creditor, you can explain your current financial situation and express your inability to make the scheduled payment.

In some cases, the creditor may be willing to work with you to develop a modified payment plan, offer a temporary payment deferral, or provide other alternatives that can help you manage your debt.

It's generally advisable to try resolving the issue directly with the creditor before considering more drastic measures such as declaring bankruptcy or filing a consumer proposal.

These options should typically be considered as a last resort when all other possibilities have been explored and are not feasible.

If you find it challenging to negotiate with your creditor or your financial situation is more complex, you may consider seeking professional advice from a Licensed Insolvency Trustee (formerly known as a bankruptcy trustee).

They are licensed professionals who can provide guidance and help you explore all available options, including bankruptcy or a consumer proposal, based on your specific circumstances.

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In addition to political considerations all of the following reasons for trade restriction except
a. equalizing a nation's balance of payments
b. protecting new and weak industries
c. protecting the health of citizens
d. protecting national security
e. all of the above

Answers

Trade restrictions are the laws and policies of the government or any other authorized organization that restrict or limit the import and export of goods and services between countries.

Political considerations play a significant role in the implementation of trade restrictions. Apart from political considerations, there are various other reasons for trade restrictions. They are as follows:Equalizing a nation's balance of payments: The balance of payments is the accounting of the transactions of a country with other countries.

Countries apply trade restrictions to keep their balance of payments favorable. They want to import less and export more to reduce their trade deficit.

To balance their payments, countries impose tariffs, quotas, and other trade barriers.Protecting new and weak industries: New industries are fragile, and they need protection. They are competing with established players in the international market, which is difficult for them.

They do not have enough capital, skilled labor, and technological advancements to compete with big players. To support new and weak industries, the government provides subsidies, imposes tariffs, quotas, and other trade barriers to protect their industries.Protecting the health of citizens: Trade restrictions are also imposed to protect citizens' health. It involves import restrictions on food, beverages, and other harmful items to protect citizens' health.

For example, countries impose restrictions on the import of tobacco and other harmful drugs to keep their citizens safe.Protecting national security: Countries may apply trade restrictions to protect their national security. For instance, they may ban the export of military goods, nuclear materials, or other items that can be used to make weapons. In conclusion, trade restrictions are applied to provide equal opportunities for local and foreign industries, protect citizens' health, balance payment, and protect national security.

Therefore, the correct answer to the question is option E - all of the above.

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a. Compare and contrast the Principle Based Accounting Standards to Rules Based Accounting Standards (10 marks) b. Various Stakeholders who receive accounting information differ in their informational needs. Discuss Six of these, citing their areas of interest.

Answers

a. Compare and contrast the Principle Based Accounting Standards to Rules Based Accounting Standards.Accounting standards can be divided into two categories: principle-based accounting and rule-based accounting.

The standards that are set up to direct accounting professionals on how to properly report business transactions are known as accounting standards. They are either principle-based or rules-based in nature. The following are the differences between the two types of standards:Rules-Based Accounting Standards: In rule-based accounting, transactions are controlled by detailed rules. These rules are inflexible, which means that each transaction must be handled in accordance with these rules, which means that there is no room for judgement.

Employees are interested in knowing whether a company is making a profit and whether they will be able to keep their jobs.Customers: Customers are interested in knowing whether a company is profitable and whether the prices of goods and services are likely to rise.Suppliers: Suppliers are interested in knowing whether a company is able to pay its debts and whether there are any possible risks that could jeopardize the long-term relationship between the supplier and the organization.

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Retailer K operates 1200 stores, each carrying SKU P. During July, 300 stores reported stockouts of SKU P. Calculate the stockout rate.
(place answer in space below with no % sign, for example, if your answer is 50%, place 50)

Answers

SKU P is carried by 1200 stores operated by retailer K, and during July, 300 stores experienced stock outs of SKU P.

The stock out rate refers to the rate at which a company runs out of stock of a product.

It is calculated as follows:

stock out rate = (number of stock outs / total number of inventory carried) * 100%

Here, the number of stock outs is 300, and the total number of inventory carried is 1200.

So, substituting these values into the formula, we get:

stock out rate = (300/1200) * 100%

= 25%

The stock out rate for SKU P during July is 25%.

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Current Attempt in Progress Grouper Corporation had the following 2020 income statement. The following accounts increased during 2020: Accounts Receivable $14,000, tnventory $10,000 : Accounts Payable $12,000. Prepare the cash flows from operating activities section of Grouper's 2020 statement of cash flows using the indirect method. (Show amounts that decrease cash flow with either a−5ign eg. −15,000 or in parenthesis e g. (15,000).1 In 2020, Vaughn Inc. issued 700 shares of $10 par value common stock for land worth $45,700. (a) Prepare Vaughn's journal entry to record the transaction. (Credit occount titles are automatically indented when amount is entered Do not indent manually. If no entry is required, select "No entry" for the account titles and enter of or the amounts.) (b) Indicate the effect the transaction has on cash. (c) Indicate how the transaction is reported on the statement of cash flows.

Answers

The transaction does not have a direct effect on cash since it involves an exchange of stock for land. Therefore, the cash account remains unchanged.

The cash flows from operating activities section of Grouper Corporation's 2020 statement of cash flows using the indirect method can be prepared as follows:

Net Income: $XX

Adjustments to reconcile net income to net cash provided by operating activities:

  Depreciation Expense: $XX

  Increase in Accounts Receivable: $14,000 (decreases cash flow)

  Increase in Inventory: $10,000 (decreases cash flow)

  Increase in Accounts Payable: $12,000 (increases cash flow)

Net Cash Provided by Operating Activities: $XX

In this case, the increase in accounts receivable and inventory are deducted from net income because they represent a use of cash. The increase in accounts payable is added to net income because it represents a source of cash.

Regarding Vaughn Inc.'s transaction, the journal entry to record the issuance of 700 shares of $10 par value common stock for land worth $45,700 would be:

Land                         45,700

     Common Stock                     7,000

     Paid-in Capital in Excess of Par 38,700

The transaction does not have a direct effect on cash since it involves an exchange of stock for land. Therefore, the cash account remains unchanged.

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Dlamini, Nkosi & Sithole Chartered Accountants bought filing cabinets for R35 000 on credit from Khumalo Office Solutions. Which elements of the basic accounting equation will be effected?
Select one:
A.
Equity and liabilities
B.
Assets and equity
C.
Assets and liabilities
D.
Assets only
E.
Liabilities only

Answers

the purchase of filing cabinets for R35 000 on credit from Khumalo Office Solutions will affect both the assets and liabilities of Dlamini, Nkosi & Sithole Chartered Accountants in the basic accounting equation.

When Dlamini, Nkosi & Sithole Chartered Accountants purchased filing cabinets for R35 000 on credit from Khumalo Office Solutions, the basic accounting equation will be affected as follows: Option C: Assets and liabilities.The accounting equation is represented as Assets = Liabilities + Equity.The purchase of filing cabinets increases the company's assets. However, since the cabinets were purchased on credit, the company will also incur a liability to Khumalo Office Solutions for the same amount of R35,000.

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True, trade and transportation begets population
Many cities started where there were transition points in trade routes.

Answers

Transportation and trade are critical to the success of a population, as they enable the exchange of goods and ideas across a large area, allowing cities to thrive and prosper.

Yes, true, trade and transportation beget population.

The importance of transportation and trade in the growth of cities is a historical fact that goes back to the beginning of human civilization.

Many cities started where there were transition points in trade routes.

Because people and goods need to move, transportation and trade have always played a critical role in human development.

Trade routes are paths along which goods are transported from one region to another.

Trade routes are created when people and communities come into contact with one another,

and they develop as a result of a wide range of factors, such as geography, natural resources, and cultural exchange.

These factors create the conditions necessary for the growth of cities,

as trade routes provide an economic foundation for a community to thrive on.

As a result of the importance of trade and transportation, cities have always developed around these centers.

Trade and transportation allow people to travel and exchange goods, enabling a city to grow and develop.

For example, the ancient city of Rome was built at the intersection of several major trade routes.

This allowed the city to become an economic hub,

enabling the people of Rome to trade goods and ideas with people from other regions, leading to significant economic growth.

Trade and transportation continue to be important to the growth and development of cities today.

In the modern world, cities are built around transportation hubs such as ports, airports, and railways.

This allows cities to remain connected to the rest of the world, enabling them to grow and prosper.

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Which one of the following is probably the best suggestion for stretching your retirement income?

a) Skip leisure activities

b) Cut your food expenditures

c) Cancel your life and property insurance

d) Use your skills and time instead of your money

e) Get rid of your health insurance

Answers

The following is probably the best suggestion for stretching the retirement income: Use the skills and time instead of the money. The correct option is D.

Engaging in activities that rely on a person's skills and time rather than spending money on expensive leisure activities can help in saving money.  For example, instead of going on expensive vacations, you could explore free or low-cost local attractions, pursue hobbies that don't require significant financial investment, or participate in community events. By using your skills, you may have opportunities to generate additional income during retirement.

Thus, the ideal selection is option D.

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In an attempt to analyze whatever economic system a country is subscribing, Economists study the interdependency of the system in the form of a tree and a forest or as a unit and as a whole. Discuss this relationship with respect to the two branches of economics.

Answers

Economics is divided into two branches namely microeconomics and macroeconomics. Both branches have a different perspective, but they are interrelated and interdependent. The interdependency of the economic system can be studied through analyzing a country’s economy as a tree or a forest or as a unit and as a whole.

Microeconomics is a branch of economics that studies the behavior of individuals, households, and firms concerning the allocation of resources and decision-making on pricing and consumption of goods and services. The focus of microeconomics is on the supply and demand of products in the market. It deals with the factors affecting the prices of goods and services and how they impact the behavior of producers and consumers.

On the other hand, macroeconomics is the branch of economics that studies the behavior of the economy as a whole. It examines the economy’s performance and stability concerning issues like inflation, unemployment, and gross domestic product (GDP). The focus of macroeconomics is on the overall economic activity and its impact on society.

The relationship between the two branches can be analyzed through a tree and forest perspective. Microeconomics is the tree, and macroeconomics is the forest. The tree is a representation of the individual parts of the economy, and the forest represents the entire economy. The tree cannot exist without the forest, and the forest cannot exist without the tree.

The interdependency of the two branches is critical as the performance of one branch can impact the other. For instance, if the demand for goods and services is high, producers will respond by increasing production, leading to increased employment rates and reduced unemployment rates, which will improve the overall economy.

In conclusion, the relationship between microeconomics and macroeconomics is critical. They both have an impact on the economy, and they cannot exist without each other. The tree and forest analogy can be used to understand the interdependency of the two branches.

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a. Name all of the parts that make a complete set of financial statement?
b. What is the difference between User Specific Qualities and Primary Qualitative Characteristics?
c. If I want to book one month depreciation of $270.12 for an asset, what is the journal entry?
d. List the four importance of accounting standards.
e. Please give the three things considered and posted when disposing of a fixed asset.

Answers

a. Name all of the parts that make a complete set of financial statement? A complete set of financial statements contains four parts. These parts are: Balance sheet Income statement Cash flow Statement of changes in equityb.

What is the difference between User Specific Qualities and Primary Qualitative Characteristics?The primary qualitative characteristics are fundamental and are intended to give users of financial statements high-quality information that is relevant to their decision-making processes.

They are as follows:Understandability,Relevance,Faithful representation, andComparability.The user-specific qualities are the characteristics of accounting information that determine its usefulness to the decision-makers who will be using it. The qualities of the information can be affected by the characteristics of the decision-makers themselves, the decisions that need to be made, and the specific information requirements of those decisions.

These include timeliness, accuracy, and relevance to a specific decision.c. If I want to book one month depreciation of $270.12 for an asset, what is the journal entry?In order to record the depreciation of $270.12 for one month, the following journal entry would be made

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green water park uses exponential smoothing to forecast monthly visits of its forecast for june was 1 million, but the actual number of customers turned out to be 2 million. the forecaster decided to use an alpha of 0.8. what is the forecast for july?

Answers

The forecast for July using exponential smoothing with an alpha of 0.8 is 1.8 million.

To calculate the forecast for July using exponential smoothing, we need to use the formula:

Forecast for July = Forecast for June + alpha * (Actual for June - Forecast for June)

Given:

Forecast for June = 1 million

Actual for June = 2 million

Alpha (smoothing factor) = 0.8

Let's calculate the forecast for July:

Forecast for July = 1 million + 0.8 * (2 million - 1 million)

                 = 1 million + 0.8 * 1 million

                 = 1 million + 0.8 million

                 = 1.8 million

Therefore, the forecast for July using exponential smoothing with an alpha of 0.8 is 1.8 million.

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In what ways are government agencies akin to
monopolies? In what ways are government agencies unlike
private-sector monopolies?

Answers

Government agencies are somewhat similar to monopolies in some ways. In addition, they share certain similarities with private-sector monopolies, but they also have several differences. Here are some of the similarities and differences that you need to know Ways government agencies are similar to monopolies Control over the market: Monopolies have the ability to manipulate the market because they have a great deal of control over it.

Similarly, government agencies have the authority to regulate the market, which can be beneficial or detrimental to consumers and businesses.Limited competition: In a monopoly, there is little to no competition. Similarly, in some government agencies, there is no competition at all.

They can make decisions without worrying about competition, which can harm consumers and the economy.Barriers to entry: Government agencies and monopolies can sometimes make it difficult for new businesses to enter the market. As a result, this reduces competition and increases the agency's power.

Ways government agencies are different from private-sector monopolies Ownership Government agencies are publicly owned and controlled, whereas private-sector monopolies are privately owned. As a result, government agencies are more accountable to the public.Regulations: Government agencies are subject to regulations that private-sector monopolies are not.

They have to follow specific rules and procedures and are subject to oversight by elected officials, which can limit their power. In contrast, private-sector monopolies have a greater degree of freedom to make their own decisions.Purpose: Government agencies are created to serve the public good, whereas private-sector monopolies are created to generate profits for their owners.

As a result, government agencies have a responsibility to consider the interests of all citizens, whereas private-sector monopolies are solely focused on making a profit.Thus, we can say that there are both similarities and differences between government agencies and monopolies.

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while anticipating your career, share your job and how you may benefit (or not) from this freelance economy business model that is growing. This is a "more than Uber topic in 2019". Many Gen Xers and Baby Boomers see the gig economy as a place for under-employed hipsters to work-- it's more than that and it is now a mainstream part of our work life in America.

Answers

The freelance economy business model is growing at an unprecedented rate in the United States. With the emergence of online platforms such as Uber, Upwork, and Fiverr, more and more people are turning to freelancing as a means of generating income. As an individual who is anticipating a career, I am confident that I can benefit from this business model as I will have the flexibility to work on multiple projects at once while still having the freedom to manage my own time.

Freelancing provides me with the opportunity to work on projects that I am passionate about and to develop my skills and experience in various fields. Furthermore, it gives me the chance to build my own brand and create a professional portfolio of work that I can use to attract future clients.

Overall, while the freelance economy provides an excellent opportunity for individuals to work independently and develop their careers, it is crucial to be aware of the challenges that come with this business model. As a result, it is essential to stay up-to-date with industry trends and to continually develop your skills to remain competitive in the marketplace.

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Rode share service Uber corisiders another service Lyft to be close competition to (or a close substitute off their service. If that is correct, what is true from the following when Uber estimates the change in quantity demanded for their services when the fares (or price per ride) of tyt changes? a. Cross price elasticity of dermand (ECp) is positive and greater than 1 b. Cross price elasticizy of demand (Ecp) is positive but loss than 1 c. Cross price elasticity of demand (Ecp) is negative d. Income elasticity of demand (Ei) is Dositive

Answers

When Uber considers Lyft as close competition, the correct statement regarding the change in quantity demanded for their services when the fares of Lyft change is: Uber courtsiders another service Lyft to be close.

Cross price elasticity of demand (Eco) is positive but less than Cross price elasticity of demand measures the responsiveness of the quantity demanded of one good (Uber rides) to a change in the price of a related good (Lyft rides). A positive cross price elasticity indicates that the two goods are substitutes, meaning that when the price of Lyft rides increases, the quantity demanded for Uber rides will also increase, but the responsiveness may be less than 1. This suggests that while there is a positive relationship, it is not a perfect substitution. Rode share service Uber courtsiders another service Lyft to be close competition to (or a close substitute off their service.

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William is a self-employed builder living in Wellington. On 1 January 2022, William inherited a generous sum of money from his grandmother. Some of this money was used to purchase real estate. The following activities were undertaken:
On 1 February 2022, William purchased a house in Kelburn to live in. The property cost $2,500,000. He lived in the house for 5 months and then rented it out when the adjoining neighbours commenced development of their section, as he found the construction noise unbearable. The tenants stayed for 1 year. William sold the house on 1 July 2023 for $2,700,000.
On 1 March 2022, William purchased a city apartment for his brother, Harry, to live in while he was studying at university in Wellington. The apartment cost $950,000 and William spent around $150,000 on a new bathroom and kitchen for the apartment. William undertook most of the labouring work himself, which he valued at $40,000. At the end of 2022, Harry decided not to continue with his university studies and moved to Las Vegas. The apartment is sold for $1,000,000 in January 2023.

Answers

William is a self-employed builder living in Wellington. On 1 January 2022, William inherited a generous sum of money from his grandmother.

Some of this money was used to purchase real estate.

He bought a house in Kelburn on 1 February 2022, for $2,500,000, to live in.

He lived there for 5 months and rented it out when the adjoining Neighbours commenced development of their section, as he found the construction noise unbearable.

The tenants stayed for 1 year.

William sold the house on 1 July 2023 for $2,700,000.

He also purchased a city apartment for his brother Harry,

who was studying at a university in Wellington, for $950,000 on 1 March 2022.

William spent around $150,000 on a new bathroom and kitchen for the apartment.

William undertook most of the labouring work himself, which he valued at $40,000.

Harry decided not to continue with his university studies and moved to Las Vegas at the end of 2022.

The apartment is sold for $1,000,000 in January 2023.

The transactions of the purchase of the Kelburn property and the city apartment are both subject to tax under the New Zealand Taxation Act, 2007.

The gain derived from the sale of the Kelburn house will be taxed as capital gains,

while the income derived from the renting of the Kelburn house and the sale of the city apartment will be taxed as income tax.

The income tax applies to all income derived by individuals, including those from self-employment, property, and investment income.

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Other Questions
A public health nurse is discussing the core public health functions with a group of student nurses. Which fact should the nurse include in the discussion?A) Public health nurses practice as partners with other public health professionals within these core functions.B) Assessment involves the actual provision of services.C) Policy development relates to assessment.D) Assurance means that the public health agency must directly provide the needed services. a printout of the patient record, which has been maintained in an electronic medium, is Class MyPoint is used by class MyShape to define the reference point, p(x,y), of the Java display coordinate system, as well as by all subclasses in the class hierarchy to define the points stipulated in the subclass definition. The class utilizes a color of enum reference type MyColor, and includes appropriate class constructors and methods. The class also includes draw and toString methods, as well as methods that perform point related operations, including but not limited to, shift of point position, distance to the origin and to another point, angle [in degrees] with the x-axis of the line extending from this point to another point. Enum MyColor: Enum MyColor is used by class MyShape and all subclasses in the class hierarchy to define the colors of the shapes. The enum reference type defines a set of constant colors by their red, green, blue, and opacity, components, with values in the range [o - 255]. The enum reference type includes a constructor and appropriate methods, including methods that return the corresponding the word-packed and hexadecimal representations and JavaFx Color objects of the constant colors in MyColor. Class MyShape: Class MyShape is the, non-abstract, superclass of the hierarchy, extending the Java class Object. An implementation of the class defines a reference point, p(x,y), of type MyPoint, and the color of the shape of enum reference type MyColor. The class includes appropriate class constructors and methods, including methods, including methods that perform the following operations: a. area, perimeter - return the area and perimeter of the object. These methods must be overridden in each subclass in the hierarchy. For the MyShape object, the methods return zero. b. toString - returns the object's description as a String. This method must be overridden in each subclass in the hierarchy; c. draw - draws the object shape. This method must be overridden in each subclass in the hierarchy. For the MyShape object, it paints the drawing canvas in the color specified. Class MyRectangle: Class MyRectangle extends class MyShape. The MyRectangle object is a rectangle of height h and width w, and a top left corner point p(x,y), and may be filled with a color of enum reference type MyColor. The class includes appropriate class constructors and methods, including methods that perform the following operations: a. getP, getWidth, getHeight - return the top left corner point, width, and height of the - MyRectangle object toString- returns a string representation of the MyRectangle object: top left corner point, width, height, perimeter, and area; c. draw-draws a MyRectangle object. Class MyOval: Class MyOval extends class MyShape. The MyOval object is defined by an ellipse within a rectangle of height h and width w, and a center point p(x,y). The MyOval object may be filled with a color of enum reference type MyColor. The class includes appropriate class constructors and methods, including methods that perform the following operations: a. getX, getY, getA, getB - return the x - and y-coordinates of the center point and abscissa of the MyOval object; b. toString - returns a string representation of the MyOval object: axes lengths, perimeter, and area; c. draw-draws a MyOval object. 2- Use JavaFX graphics and the class hierarchy to draw the geometric configuration comprised of a sequence of alternating concentric circles and their inscribed rectangles, as illustrated below, subject to the following additional requirements: a. The code is applicable to canvases of variable height and width; b. The dimensions of the shapes are proportional to the smallest dimension of the canvas; c. The circles and rectangles are filled with different colors of your choice, specified through an enum reference type MyColor. 3- Explicitly specify all the classes imported and used in your code. what key sets of characteristics place organisms into one domain versus another? something is when it no longer has freshness or originality. why is it important that you marked the origin line and component locations on the paper with a pencil and not a pen or marker? Drag the correct answer to the blank. Thrice the cube of a number p increased by 23 , can be expressed as What is the use of pancreas in the human body During their monthly meeting, the Federal Reserve Board discusses the statistic that the GDP has decreased for six consecutive months. They contact you and ask what actions you think they should take.a. Should the Fed use Fiscal or Monetary policies and why?b. Should the Fed use expansionary or contractionary policies and why?c. List the expansionary or contractionary policies the Fed should use. A coin has probability 0.7 of coming up heads. The coin is flipped 10 times. Let X be the number of heads that come up. Write out P(X=k) for every value of k from 0 to 10 . Approximate each value to five decimal places. Which value of k has the highest probability? Identity and Access ManagementInstructionsAfter reading Module 7, please explain the advantages of using a Single Sign-On product. Please read the requirements listed below. Do you think that SSO is safe or should we implement one password for each application or service? Why? the burp maneuver usually involves applying backward, upward, and rightward pressure to the: A manufacturer knows that their items have a lengths that are skewed right, with a mean of 11 inches, and standard deviation of 0.7 inches. If 45 items are chosen at random, what is the probability that their mean length is greater than 11 inches? (Round answer to four decimal places) The concept document for a game is used to ______.a) give the dialogue for cut-scenesb) map out the structure of a game's storyc) give a basic vision for a proposed gamed) provide detail about a game's story and characters2) In a particular ball-throwing game, two or more players have a series of blocks set up representing the player's castle. Player's take turns throwing balls at the other player's "castles", trying to knock down all of the blocks which make up the other player's castles. When a player's blocks are all gone, the player loses. The last player standing wins the game. There is no way for a player to defend his/her castle or otherwise prevent his/her own blocks from getting knocked out.This game is an example of what type of dynamic balance?a) Maintenanceb) Restorationc) Destruction3) One of the mini-games found in Mario Party 8 is a game where one player shoots snowballs at the other players trying to knock them off the roof of a house before a timer runs out. If the shooter knocks all of the other players off of the house, then he/she wins the mini-game. If at least one player is still remaining on top of the house when the timer runs out, then the shooter loses and all of the other players collectively win.This game is an example of what type of interactivity?a) Unilateralb) Cooperativec) One-on-oned) Multilaterale) Team4) Cinematics is used in games for the purpose of ______.a) creating atmosphere and moodb) rewarding players, advancing plots, or setting goals for a new sectionc) allowing players to choose the paths they wish to taked) allowing players to personalize character roles and introduce plot points (20\%) Problem 5: A capacitor of capacitanceC=3.5Fis initially uncharged. It is connected in series with a switch of negligible resistance, a resistor of resistanceR=5.5k, and a battery which provides a potential difference ofV B=55 V. (17\% Part (a) Calculate the time constantfor the circuit in seconds.=Submission History All Date times are displayed in Central Standard Time .Red submission date times indicate late work. Date Time Answer Hints Feedback A 17\% Part (b) After a very long time after the switch has been closed, what is the voltage dropV Cacross the capacitor in terms ofV B? (17\% Part (c) Calculate the chargeQon the capacitor a very long time after the switch has been closed in C. (17\% Part (d) Calculate the currentIa very long time after the switch has been closed in A. (17\% Part (e) Calculate the timetafter which the current through the resistor is one-third of its maximum value in s.17%Part (f) Calculate the chargeQon the capacitor when the current in the resistor equals one third its maximum value in C. Strong/Cohen; The Marriage and Family Experience 14th Edition Chapter 5 Create ActivityMarriage MarketWhen you need certain products, you likely go to a store equipped with resources, such as money or a list, to acquire the goods you seek. Similarly, an individual may prepare for and participate in the marriage market. For this activity, use a sociological lens to examine the different ways people go about preparing for and finding a mate, such as going out to meet people, joining an online dating service, or through arranged marriages.Compare two different examples of marriage markets in real life. Use one to two major concepts and theories and appropriate terminology from the text to analyze how the marketplaces you chose function, and the requirements of participating in each. Be sure to (1) explain each concept, theory, and term applied, (2) note the similarities between each marketplace and (3) evaluate the potential dysfunctions and inequalities present in these markets, such as the balance of power between the parties involved... 6. Given the following two equations, solve for x : y=6+10xy=3x= 7. Given the following two equations, solve for y : x=7y3x=6y= Find the direction cosines and direction angles of the vector. (Give the direction angles correct to the nearest degree.) 4,1,5 cos()= cos()= cos()= === Directions: Identify and watch two television advertisements that differ in content, speed, and student appeal. If you do not want to wait for commercials on television then visit You Tube where you will find a host of commercials to view. Please complete the following analysis questions in your written assignment:1. Discuss which advertisements are most appealing, and why.2. Identify pros and cons of the advertisements in terms of how much you want to listen. 3. What makes you motivated to listen to the advertisement?4. Are the advertisements compressed or not?5. Did compression of the advertisement predict your ability to listen?6. Offer a brief paragraph as to what insight this exercise provides for your listening behavior.thank you so much write a program that asks the user for two positive integers nogreater than 75. The program should then display a rectangle shape on the screen using thecharacter X. The numbers entered by the user will be the lengths of each of the two sidesof the square.For example, if the user enters 5 and 7, the program should display the following:XXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXIf the user enters 8 and 8, the program should display the following:XXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXuse the validating input. The user input must be both numeric and within the range