when companies sell highly differentiated products and charge different prices, they are operating in a:

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Answer 1

Businesses who sell highly differentiated products and charge different prices, are said to be operating in a C. Monopolistic competition.

What is a monopolistic competition ?

When a large number of businesses provide rival goods or services that are comparable but imperfect alternatives, monopolistic competition exists.

A monopolistic competitive industry has minimal entry requirements, and decisions made by any one firm do not immediately affect those of its rivals. The price and marketing choices made by the rival companies serve as their points of differentiation.

None of the businesses has a monopoly, and they all run their own businesses without taking into account what other businesses are doing. The way the market is set up results in a type of unfair competition.

In such a market therefore, the best way to make profit is to make highly differentiated products for sale, which will then allow for these products to be sold at different prices.

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Options for this question include :

A. Monopoly B. Oligopoly C. Monopolistic competition D. Perfect competition

Related Questions

Hilton International is considering investing in a new Swiss hotel. The required initial investment is $1.5 million (or SFr 2.38 million at the current exchange rate of $0.63 = SFr 1). Profits for the first ten years will be reinvested, at which time Hilton will sell out to its partner. Based on projected earnings, Hilton's share of this hotel will be worth SFr 3.88 million in ten years.
a. What factors are relevant in evaluating this investment?
b. How will fluctuations in the value of the Swiss franc affect this investment?
c. How would you forecast the $:SFr exchange rate ten years ahead?

Answers

a)This present value figure should then be compared to $1.5 million, the current cost of the investment (2,380,000 x .63), b)Thus, if PPP holds, nominal currency changes shouldn't affect Hilton's Swissinvestment;c) using nominal interest differentials between U.S. and Swiss bonds with maturities of tenyears; (2) project relative price levels changes in Switzerland and the U.S, Hilton International is considering investing in a new Swiss hotel.

An asset or object purchased with the intention of generating income or appreciation is referred to as an investment. The term "appreciation" describes a rise in an asset's worth over time. When a person buys a product as an investment, they don't intend to utilize it right away; instead, they plan to use it to make money later on. By depositing funds into an online investment account, which can then be used to purchase shares of stock or stock mutual funds, beginners can learn how to invest in stocks in one of the finest ways possible. You can open a brokerage account and begin investing with as little as one share.

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Consider a hypothetical closed economy in which households spend $0.80 of each additional dollar they earn and save the remaining $0.20.
The marginal propensity to consume (MPC) for this economy is0.8 , and the spending multiplier for this economy is5 .
Suppose the government in this economy decides to increase government purchases by $300 billion. The increase in government purchases will lead to an increase in income, generating an initial change in consumption equal to . This increases income yet again, causing a second change in consumption equal to . The total change in demand resulting from the initial change in government spending is .
The following graph shows the aggregate demand curve (AD1AD1) for this economy before the change in government spending.
Use the green line (triangle symbol) to plot the new aggregate demand curve (AD2AD2) after the spending multiplier effect takes place.
Hint: Be sure that the new aggregate demand curve (AD2AD2) is parallel to the initial aggregate demand curve (AD1AD1). You can see the slope of AD1AD1 by selecting it on the graph.

Answers

The total change in demand resulting from the initial change in government spending is $1.5 trillion to the right

What is an MPC?

The percentage of an overall salary increase that a customer spends on purchasing goods and services rather than saving is known as the marginal propensity to consume (MPC) in economics. The Keynesian macroeconomic theory includes a concept known as the marginal propensity to consume, which is determined as the change in consumption divided by the change in income.

A consumption line, which is a sloped line made by charting the change in income on the horizontal "x" axis and the change in consumption on the vertical "y" axis, is used to represent MPC.

The percentage of additional income that is spent on consumption is known as the marginal propensity to consume.Depending on income, MPC fluctuates.MPC tends to be lower at higher income levels.The Keynesian multiplier, which describes the impact of additional investment or government spending as an economic stimulus, is mostly determined by MPC.

MPC=0.8

Multiplier=1/(1-MPC)=1/(1-0.8)=5

$300 billion more in government purchases

The initial change in consumption is equal to $300 billion times 0.8, or $240 billion.

$240 billion*0.8 to equal $192 billion for the second shift in consumption.

Demand fluctuation as a whole = $300 billion*5 = $1500 billion

$500 billion

the AD curve moves $1.5 trillion to the right.

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serve as brokers between financial market participants that take options positions in options markets.

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Investors and traders (retail and institutional), as well as market makers (MMs) and specialists who maintain liquidity and provide two-sided markets, are typical players in the stock market.

They include every individual and entity that transacts business in the financial sector, from banks and other lenders to small-scale investors. Investors vs. speculators and institutional vs. retail participants are the two primary groups of financial market participants. The five functions of financial markets are to provide cheap transaction and information costs, guarantee liquidity by enabling investors to sell their financial assets, guarantee security for transactions involving financial assets, and facilitate interaction between investors and borrowers.

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On May 10, a company issued for cash 1,500 shares of no-par common stock (with a stated value of $2) at $14, and on May 15, it issued for cash 2,000 shares of $15 par preferred stock at $58.
Journalize the entries for May 10 and 15, assuming that the common stock is to be credited with the stated value. If an amount box does not require an entry, leave it blank.

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Cash 21000

Common Stock 3000

Paid-In Capital in Excess of Stated Value-Common Stock 18000

May 15

Cash 116000

Preferred Stock 30000

Paid-In Capital in Excess of Par-Preferred Stock 86000.

What is preferred stock?

Preferred stock is a type of stock that combines traits from both stocks and bonds. Similar to bonds, preferred shares pay out cash, frequently at a greater yield than bonds, while also providing larger dividend returns and lower risk than common stock.

What distinguishes preferred stock from ordinary stock?

The main difference between preferred and common stock is that common stock grants shareholders the power to vote, whereas preferred stock does not. Preferred shareholders make dividend payouts prior to common shareholders due to their priority over the company's income.

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Indicate how each of the following transactions affects U.S. exports, imports, and net exports. Transaction Effect On... U.S. Exports U.S. Imports U.S. Net Exports An American art professor spends the summer touring museums in Europe. Your parents go on a trip to Japan in late March for the Cherry Blossom season. Your uncle buys a new Volvo. The student bookstore at Yale University sells books published by Cambridge University Press. Your parents buy a bottle of French wine from a local wine store.

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The following transactions will be explained with their effect on the economy's import and export.

A professor spends the summer touring museums in Europe:

Here, the American art professor is spending his American dollars on European goods/services (touring museums), which then means the U.S. imports rises and net exports fall.

When parents go on trip to Japan in late March for the Cherry Blossom season:

Here, as our parent go on a trip to Japan in late March for the Cherry Blossom season, then, the country import increase while the net export fall.

Your uncle bought a new Volvo:

My uncle is American, so he would use dollars to buy a foreign car. Here, the purchase of new vehicle means an Increase in the import and unchanged export.

The student bookstore at Yale sell books published by Cambridge University Press:

Here, the student is selling the American Levi's to people at Oxford University in London, which then means that both the U.S. exports and net exports will rise.

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which one of the following is a feature of mrp ii, but not available in basic mrp systems? group of answer choices capacity reporting dispatch lists action notices financial projections

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D: 'financial projections' is a feature of MRP II, but not available in basic MRP systems.

Manufacturing Resource Planning or MRP II is an integrated information system used to perform business operations. MRP II evolved from early versions of  MRP systems. MRP II includes the integration of additional data, for instance, employee and financial needs. The MRP II system is designed to integrate, process, and centralize information for effective decision-making in design engineering, inventory management, scheduling, and cost control in manufacturing.

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place the steps in the pdca cycle in order, with the first step at the top and the final step at the bottom.

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The PDCA cycle in order:

Plan desiredDo implementAct on lessons learnedCheck or Observe what happened

Planning, doing, checking (or researching), and acting is the four steps that make up the PDCA/PDSA cycle. For problem-solving and change management, it offers a straightforward and efficient method. The model can be used to test improvement strategies on a small scale before revising working methods and processes. PDSA cycle is based on four stages: plan, do, check, and act. To adapt to market changes, improve efficiency, boost productivity, and meet the needs of your customers, having a method is required.

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which of the following is a market entry strategy in which independent companies form a partnership to collaborate in the foreign market but do not invest in each other?

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Alliance strategy is a  market entry strategy in which independent companies form a partnership to collaborate in the foreign market but do not invest in each other.

A strategic alliance is an agreement between two or more parties to work together to achieve a certain set of goals while still operating as independent businesses. The alliance is a cooperative or synergistic effort in which each member anticipates that the benefits of the alliance will outweigh the results of their separate efforts. Technology transfer, economic specialization, shared costs, and risk sharing are common elements of alliances. A strategic alliance is typically formed between two enterprises when they each have one or more company assets or skills that will benefit the other by advancing their respective industries.

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Ragle Corp. issues 1,000 shares of its $5 par value common stock in exchange for equipm The book value of the equipment on the investor's books was $40,000, and its catalog list price was $45,000. The equipment could be purchased in the market for $42,000. The stock was not publicly traded. Which of the following entries will be included in the journal entry to record the issuance of the stock? Click the answer you think is right
Debit equipment $42,000.
Debit equipment $45,000.
Credit common stock $45,000.
Credit common stock $42,000.
Credit additional paid-in capital $40,000.

Answers

The journal entry for the common stock should be made as follows; Debit equipment $42,000.

What is common stock?

A security that symbolizes ownership in a firm is called common stock. Common stock owners choose the board of directors and cast ballots for corporate rules. Long-term rates of return are often higher with this type of stock ownership. The rights of common shareholders to a company's assets in the case of liquidation, however, begin only after bondholders, preferred shareholders, and other debt holders have been fully compensated. In the stockholders' equity section of a company's balance sheet, common stock is disclosed. A security that symbolizes ownership in a firm is called common stock. After creditors, bondholders, and preferred stockholders have been paid, whatever assets are left over after a liquidation go to common stockholders. In the market, various kinds of equities are traded.

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Gordon has defaulted in the payment of several of his debts, and the court has ordered his property sold to satisfy them. A title search revealed several outstanding liens agains the property. Which of the following liens has first priority: a. first mortgage lien dated and recorded one year ago b. the current year's real estate tax lien c. the judgement lien rendered and recorded las month d. the mechanics lien for work stared two months before the mortgage was recorded. B current years real estate tax lien

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A title search revealed several outstanding liens against the property. The current year's real estate tax lien has first priority.

Which of these liens is more important?

A first lien holds precedence over other liens and is entitled to first dibs on the selling proceeds. The excess selling proceeds go to the second lien, such as a second mortgage lender or judgment creditor, until that lien is paid off, and so on, if any revenues remain after the first lien is fully satisfied.

What exactly do super priority liens do?

A super lien is a level of priority added to an existing lien rather than a totally distinct category of lien. In the event of a foreclosure on a property, it means that some liens, such as association liens, will have a level of priority for debt recovery, disregarding the regular priority given to recording dates.

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Which of the following is an example of a contractionary fiscal policy? a) Sending taxpayers a $600 rebate. b) Cutting spending on the military. c) Building a new interstate highway. d) Icreasing federal spending on renovating college campuses.

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The correct answer is (b) i.e. Cutting spending on the military. An example of contractionary economic policy may be once the govt. decides to decrease government defrayal. Meaning, that government programs, just as the forest service, attention advantages, or the military, can receive less funding.

Governments interact in contractionary economic policy by raising taxes or reducing government defrayal. In their crudest kind, these policies siphon cash from the personal economy, with hopes of swiftness down unsustainable production or lowering quality costs.

A contractionary financial policy may be a kind of financial policy that's supposed to scale back the speed of financial growth to fight inflation. an increase in inflation is taken into account as the first indicator of a hot economy, which may be the result of extended periods of the economic process.

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The objective of a(n) _____ is to create a new capability for the asset, but not necessarily extend its useful life.

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The objective of a rearrangement is to create a new capability for the asset, but not necessarily extend its useful life.

Which five intangible assets are there?

Goodwill, brand equity, intellectual properties (trade secrets, patents, trademarks, and copyrights), licensing, customer lists, and R&D are the key categories of intangible assets. Intangible asset values are typically not disclosed on the balance sheet.

What tangible examples are there?

You can touch something that is actually tangible. Both a rock and a damaged window are palpable; if the rock is laying close to the window, it may be visible proof of vandalism. When we remark that a room's tension is "palpable," we imply that we can almost physically feel it there.

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the duties that an agent owes a principal must be set forth in the agency agreement because they do not arise by operation of law.

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The duties that an agent owes a principal must be set forth in the agency agreement because they do not arise by operation of law is a false statement.

Which of the following is a responsibility a principal owes to an agent?

As a fiduciary, the agent owes the principal a duty of loyalty, which typically calls for the agent to act solely in the principal's best interests (and not theirs or others) in matters pertaining to the agency.

In the event that an agent breaches a duty, the principal has the right to sue the agent for damages. Agent's obligations include:  an agent must act within the bounds of the power granted to him by his principal. Additionally, he must adhere strictly to his principal's instructions.

Therefore, When the parties' contractual obligations are terminated, the contract is said to be discharged by operation of law.

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Cash comes from (and is used for) three types of activities. Which of the following does not represent one of those activities?
a. Cash from Fundraising Activities
b. Cash from Financing Activities
c. Cash from Investment Activities
d. Cash from Operating Activities

Answers

Cash from Investment Activities does not represent one of the three types of activities that cash comes from and is used for.

Explain the three types of activities that the Cash comes from (and is used for)?

Operating activities refer to the cash generated from the day-to-day operations of a business, such as selling goods or services, paying expenses, and collecting payments from customers.

Financing activities refer to the cash generated from the borrowing and repayment of debt, as well as the issuance and repurchase of equity. Fundraising activities refer to the cash generated from the sale of new securities or other financial instruments to raise capital for the business.

Investment activities, on the other hand, refer to the cash generated from the purchase and sale of long-term investments, such as real estate, stocks, or bonds. These activities do not represent a source of cash for the business.

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a rumor involves supposed company policies or practices that are threatening or ideologically undesirable to consumers.

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Answer:

Planted rumor is a rumor that involves supposed company policies or practices that are threatening or ideologically undesirable to consumers.

Explanation:

Rumor

False information is passed from person to person through rumors. This is done primarily for amusement.

Rumors can occasionally have a negative impact on someone's emotional well-being.

Rumors are any news or information that has no real support or validation. Numerous rumors about different people are propagated on a daily basis.

However, there are occasionally rumors that are so bad they might even result in harassment. Therefore, it is important to avoid disseminating misleading information without a person's knowledge.

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on july 1 2022 blue spruce inc invested 788900 in a mine estimated to have 805000 tons of ore of uniform grade. during the last 6 months of 2022 131,000 tons of ore were mined. Required:
1) Calculate depletion cost per unit.
2) Prepare the journal to record depletion.

Answers

The depletion cost per unit of the ore will be $0.98, considering the investment and estimated tons of ore.

Calculation:

Investment in mine = $788,900

Tons of ore = $805,000

Depletion cost per unit = Amount invested / Estimated tons of ore

Depletion cost per unit = $788,900/$805,000 = $0.98

Journal entry to record depletion will be:

Dr Depletion account $128,380

Cr Coal mine Asset $128,380

Total depletion of ore = Number of ore ×Depletion cost per unit

Total depletion of ore = 131,000* 0.98 = $128,380

Depletion is an accrual - based method for allocating the cost of obtaining natural resources and energy, including lumber, minerals, and oil.

Depletion is a non-cash expense, similar to depreciation and amortization, that gradually reduces an asset's cost value through regular charges to income. Depletion is different from aging from out depreciable assets and ageing life of intangible things in that it relates to the progressive depletion of natural capital sources.

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Which statement is most appropriate to include in the closing of a cover message?
A. Of course, I am the best candidate for this position. Your company would be lucky to have me as an employee. My three years of experience in a fast-paced office environment, my practiced organizational skills, and my attention to detail more than qualify me for this position. Please call me at (435) 555-3642.
B. Thank you for giving me the opportunity to briefly present my qualifications. I am confident my skills and experience will benefit your company. I hope you will call me soon so we can talk. I can be reached at (435) 555-3642.
C. My three years of experience in a fast-paced office environment, my practiced organizational skills, and my attention to detail will benefit your company. If you see that my qualifications are a match to the position, please call me at (435) 555-3642 before 9 a.m. or after 4 p.m. for an interview.
What tips should you remember when creating a successful cover message? Check all that apply.
A. Use I statements as much as possible.
B. Make yourself the subject of your sentences.
C. Print it on high-quality paper.
D. Use a block-letter style.

Answers

My three years of experience in a fast-paced office environment, my practiced organizational skills, and my attention to detail will benefit your company. If you see that my qualifications are a match for the position, please call me at (435) 555-3642 before 9 a.m. or after 4 p.m. for an interview.

Tips you should remember when creating a successful cover message is that you use a block-letter style.

Company is a prison entity shaped by means of a group of individuals to engage in and function a commercial enterprise—business or business—organization. A company may be organized in various ways for tax and monetary legal responsibility functions depending on the company law of its jurisdiction.

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

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FILL IN THE BLANK. a publishing firm will use a(n)___budget to outline and plan the demand for young adult books in southeast asia in the coming year and determine what resources will be used to create them.

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A publishing firm will use an operating budget to outline and plan the demand for young adult books in southeast Asia in the coming year and determine what resources will be used to create them.

A budget is a plan, typically financial but not always, for a predetermined time period, typically a year or a month. The budget can take into account resource counts, environmental and other consequences, asset and liability counts, cash flows, and predicted sales and revenue numbers.

For corporations, governments, families, and other groups, budgets provide a quantifiable tool to express their strategic action plans. The budget lists anticipated expenses as well as ideas on how to pay for them. When expenditure exceeds income or other available resources, a budget may reflect resources that are accessible for future use or a deficit.

Hence the correct option is C.

The above question is incomplete, the complete question is-

A publishing firm will use a(n) ______ budget to forecast and plan the demand for young adult books in Southeast Asia in the coming year.

A. labor

B. capital expenditures

C. operating

D. balance sheet

E. space

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a hedge fund a hedge fund has its shares registered with the federal reserve is a public financial institution has actively traded shares is open to a select number of individual investors

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A hedge fund a hedge fund has its shares registered with the federal reserve is a public financial institution has actively traded shares is open to a select number of individual investors .its true .

In an effort to improve performance, a hedge fund is a pooled investment entity that trades in relatively liquid assets and has access to a number of more sophisticated trading, portfolio construction, and risk management tools, such as short selling, leverage, and derivatives. Financial restrictions normally only allow approved investors, wealthy individuals, and organizations to promote hedge funds. Hedge funds are what is meant by "alternative investments." They are distinct from regulated investment funds available to regular investors, commonly known as mutual funds and ETFs, in that they can utilize leverage and use more complex investment methods. Hedge funds differ from private equity funds and other comparable closed-end funds since they often invest in highly liquid assets and are typically open-ended.

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corrective taxes are unlike most other taxes because they question 16 options: 1) move the allocation of resources away from the social optimum. 2) distort incentives. 3) raise revenue for the government. 4) move the allocation of resources closer to the social optimum.

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Corrective taxes are unlike most other taxes because they move the allocation of resources closer to the social optimum.

The term "corrective tax" (also known as a "Pigouvian tax") refers to a levy imposed on a good or service as a result of the unfavourable externalities connected with its production and/or use. Its market price and output levels should more accurately represent the true cost to society. Corrective taxes, often known as "Pigouvian" taxes, can be used to make up for externalities or "internalities" in a market:

An externality is when costs are borne by others.Internality: expenses that an individual must bear personally.

"Excise taxes" are frequently used to implement corrective taxes. For instance, on alcohol, cigarettes, and motor fuels

These goods' taxes account for 7.2% of all tax revenue. The marginal societal harm associated with consuming should be used to determine taxes.

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Becky G promises to pay Cardi B $10,000 per year if she will allow her to station her limited edition Tesla truck in Cardi's parking space at the music recording studio. Cardi B's consideration is a. an exchange of money. b. a forbearance. c. the destruction of a legal relationship. d. the creation of a legal relationship.

Answers

Cardi B's consideration is the creation of a legal relationship.

The term "intention to create legal relations" refers to the parties' desire to enter into a contract that is enforceable with respect to their rights and responsibilities.

A legal bond between at least two parties who accept at least one term or promise is known as a contractual relationship.

The fact that both parties enter into the partnership voluntarily and consensually is one of the key components of a legal contract. There are no legal restrictions on the number of parties that could participate in the transaction; nonetheless, a legal contract must contain at least two parties. A legal contract is created when two people come to an agreement about the terms of a relationship while acting freely and with the purpose to be bound.

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Answer:

Cardi B's consideration is the creation of a legal relationship.

Explanation:

In MS Word, when using the drop-down menu for the Find Feature, which option can
be found?

Answers

In MS Word, when using the drop-down menu for the Find feature, we can find the Developer tab option.

What is the Developer tab?

The developer tab, which is a built-in tab, provides the features needed to use Visual Basic for Application(VBA) and perform a macro operation.

The tab is disabled by default. It must be enabled first in the options section on the File menu to make it visible on the toolbar.

The developer tab is usually hidden by default, and the user needs to activate it from the options section.

The developer tab is the place to go when we want to do or use the  following : write Macros. Run Macros that is previously recorded.

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abdul owned blackacre, a 40-acre tract of land in an agricultural area, adjacent to whiteacre which is owned by his good friend nguyen. for many years, abdul has allowed nguyen to cross blackacre with his cattle and farm equipment to reach another field nguyen owns on the other side of blackacre called greenacre. abdul is now getting ready to sell blackacre to betsy and wants to be sure that nguyen will be able to continue to use the right of way. which of the following would be the worst way for abdul to accomplish this?

Answers

"Subject to an easement in favor of Nguyen for entry and exit," Abdul might deed Blackacre to Betsy.

What is an easement ?The award of a nonpossessory property interest, known as an easement, allows the easement holder to use another person's land.An easement is a non-possessive right to access and/or utilise another person's real property without actually owning it.The right of way that one landowner, may have over the land of another. A common law property right in and of itself, an easement is a type of incorporeal property in most countries. Easements are analogous to real covenants and equitable servitudes.The Restatement (Third) of Property in the United States takes measures to meld these ideas into servitudes.

Why is an easement necessary?In order to provide access to a piece of landlocked property, easements of necessity are generally suggested. Quasi-easements are based on a landowner's earlier use of a piece of his or her property for the benefit of a different area of the same property.

"Subject to an easement in favor of Nguyen for entry and exit," Abdul might deed Blackacre to Betsy.

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Which of the following is an example of a raw material that would be used in the production of a physical product?
a. Steel sheets b. Paper c. Plastic d. Timber e. Gasoline

Answers

Timber is an example of a raw material that would be used in the production of a physical product.

What is a physical product?

An item that can be physically handled and transported to the buyer after purchase is referred to as a physical good. Clothing, accessories, and other tangible objects are examples of physical products that you can sell to clients. Tables, chairs, laptops, smartphones, and other tangible items are examples of physical products. Because a tangible product's purpose is typically obvious and simple to explain, it is much simpler to show its worth and higher value perception.

Physical goods are actual and palpable. They are frequently connected to a higher perceived worth as a result. Convenience goods, shopping goods, specialty goods, and unsought goods are the four categories of items, and each is categorized based on consumer preferences, pricing, and product features.

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Equity versus Debt Financing Indicate whether each of the following relates to equity (E) or debt (D) financing and whether it makes that form of financing more, or less, favorable1.Interest is tax deductible.2. Dividends are optional.3.It must be repaid.4. Additional stock issuances dilute existing stockholders’ control

Answers

1) Debt: Debt is preferable to equity due to the deductibility of interest.

Capital 2)

Equity is more advantageous due to the discretionary nature of dividends.

3) Debt Is less beneficial when the principal must be repaid.

Four) Equity

Equity is less appealing than debt to current stockholders because of the dilutive effect of fresh stock issuances.

Any individual, business, or organization that owns at least one share of a company's stock or unit in a mutual fund is referred to as a shareholder. With certain rights and obligations, shareholders effectively own the business. They are able to benefit from a company's success thanks to this type of ownership.

These benefits take the form of rising stock prices or financial gains paid out as dividends. On the other hand, when a company experiences a loss, the share price always falls, which can result in financial losses for shareholders or declines in their portfolios.

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From year one to year two the ratio of sales to fixed assets declined significantly. This is a possible indication that:
a. The client is over depreciating fixed assets
b. The client is capitalizing costs that should be expensed
c. The client has used debt to finance acquisitions of fixed assets.
d. The client has treated capital leases as operations leases.

Answers

The decline of sales to fixed assets ratio is a possible indication that b) the client is capitalizing costs that should be expensed

A sale is an exchange of goods or services for a predetermined amount of money. An asset that cannot be readily converted into cash is referred to as a fixed asset in accounting. Long-lived assets, property, plant, and equipment are other names for it. Current assets, which include liquid assets like cash and bank accounts, are different from fixed assets. The sales to fixed asset ratio, a measure of asset utilization, can be used by investors to determine how well a company utilises its assets to generate revenue. This ratio shows how frequently the corporation transfers its fixed assets on an annual basis.

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If Congress engages in contractionary fiscal policy, we can expect that
a. the short-run Phillips curve will shift left.
b. the short-run Phillips curve will shift right.
c. the long-run Phillips curve will shift right.
d. there will be a movement to the right along the short-run Phillips curve.
e. there will be a movement to the left along the short-run Phillips curve.

Answers

The short-term Phillips Curve moves to the right if anticipated inflation rises.

The rise in product and service prices is referred to as inflation. The purchasing power may tend to decline in a nation with inflation. Based on the notion that the short-term Phillips Curve will move to the right, an increase in inflation can often have an impact on the demand curve. An illustration of the correlation between inflation and unemployment is the Phillips curve. In the short run, unemployment and inflation have opposite relationships. According to the Phillips curve, rising inflation is a price to be paid for achieving economic growth. Low unemployment is associated by economic growth. Long-term trade-offs between unemployment and inflation do not exist.  

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which of the following should not be in an incident response team charter? group of answer choices mission organizational structure for team members roles and responsibilities detailed line budget

Answers

Team Charters are documents that define the team's purpose, how it will function, and the expected outcomes. An incident response team charter should not include detailed line budget.

What is a team charter?

A team charter is a document that outlines the team's objectives, assets, and challenges. It's similar to a product roadmap, but it's only for a single team. It is solely concerned with their deliverables and how to best map them out over time.

A team charter clearly defines everyone's roles and responsibilities. It ensures a smooth process over time, even during major transitions. It also includes the company's mission, and organizational structure for team members.

Therefore, detailed line budget is not included in a team charter.

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Your question is incomplete, but most probably the full question was,

Which of the following should not be in an information response team charter?

A Mission

B Organizational structure

C Detailed line budget

D Roles and responsibilities

3. What kind of method of growth does McDonald’s apply in the case ? How does it contribute to the McDonald’s value chain

Answers

The kind of method of growth that McDonald’s apply in the case  is Market penetration.

McDonald's value chain analysis identifies all the major actions and supporting activities that significantly enhance the company's end product, and the business carefully examines these activities in order to either save costs or increase differentiation.

What method did McDonald's employ?

Offering food at affordable costs has long been McDonald's pricing approach. This has contributed to the restaurant's long-term success. This has significantly contributed to McDonald's development as one of the world's leading fast-food brands.

When a product or service is successfully sold in a particular market, this is referred to as market penetration. The sales volume of an existing good or service in relation to the overall target market for that good or service is used to measure it.

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Assume that the economy begins in long-run equilibrium. Then the Fed reduces the money supply. In the short run ______, whereas in the long run prices ______ and output returns to its original level.

Answers

Assume that the economy begins in long-run equilibrium. Then the Fed reduces the money supply. In the short run output decreases and prices are unchanged, whereas in the long run prices fall and output returns to its original level.

The money supply refers to the total amount of currency held by the public at any given time. There are several definitions of "money," the most common of which are currency in circulation and demand deposits.

The money supply is important because inflation will occur if the money supply grows faster than the economy's ability to produce goods and services. Furthermore, if the money supply does not grow quickly enough, it can lead to decreases in output, which can lead to an increase in unemployment.

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