Which of the following represents the change in total cost that results from a one-unit increase in
production?
A. Marginal profit.
B. Total revenue.
C. Marginal cost.
D. Marginal revenue

Answers

Answer 1

Option c:  The following represents the change in total cost that results from a one-unit increase in production is marginal cost.

The difference in total cost of production caused by creating or producing additional units is known in economics as marginal cost. Divide the change in production cost by the change in quantity to get the marginal cost. The goal of marginal cost analysis is to find the points at which an organization can achieve economies of scale to improve production and overall operations.

A producer can make a profit if the marginal cost of producing additional units is lower than the price per unit. The total cost of producing an additional good is called marginal cost. Therefore, it can be evaluated by the change in cost associated with each additional unit.

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Related Questions

The groups directly responsible for the competitive advantages that the firm enjoys are known as:.

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The groups directly responsible for the competitive advantages that the firm enjoys are known as the firm's internal stakeholders. These stakeholders can include the employees, managers, shareholders, and other members of the organization who work to create value for the company.

It is the actions and decisions made by these stakeholders that contribute to the firm's ability to outperform its competitors and gain a competitive advantage in the marketplace. For example, a company with highly skilled and motivated employees may have a competitive advantage over a company with less skilled and motivated workers. Similarly, a company with a strong and committed management team may be better positioned to make strategic decisions and capitalize on new opportunities. Ultimately, it is the collaboration and coordination of these internal stakeholders that drives a company's success and enables it to maintain its competitive advantage over time.

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Multiple Choice
A loss in value that is caused by defects in the design of the structure is _____.
external depreciation
functional depreciation
physical depreciation

Answers

The loss in value caused by defects in the design of a structure is known as functional depreciation.

This type of depreciation refers to the loss of value due to changes in the market demand or technological advancements that make the design of the structure less desirable or less useful. For example, a building with small rooms, low ceilings, and narrow hallways may have a lower value than a building with spacious and modern design.

Functional depreciation is different from physical depreciation, which is the loss in value caused by wear and tear, aging, and decay of the structure over time.

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in which of the following situations would it be appropriate to use a subquery? in which of the following situations would it be appropriate to use a subquery? when you need to find the name of all books that were shipped on the same date as an order placed by a particular customer when you need to find all books published by a specific publisher all of these when you need to find all customers living in a particular region of the country when you need to find all publishers who have toll-free telephone numbers none of these

Answers

A subquery is a query that is embedded within another query. It is used to retrieve-data that will be used in the main query as a condition or filter.

Out of the given situations, it would be appropriate to use a subquery in the following scenario:

When you need to find the name of all books that were shipped on the same date as an order placed by a particular customer.

For the other given situations, you can retrieve the data using a simple query without the need for a subquery. For example:

When you need to find all books published by a specific publisher, you can simply use a query with a WHERE clause that filters by the publisher's name.

When you need to find all customers living in a particular region of the country, you can use a query with a WHERE clause that filters by the region.

When you need to find all publishers who have toll-free telephone numbers, you can use a query with a WHERE clause that filters by the telephone-number.

This is because you need to retrieve data from two different tables (orders and books), and you want to use a condition from one table (order date for a particular customer) to filter data from another table (books shipped on that date).

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dewey cheatham, a registered representative for great plains securities, was found by the sec to have committed fraud by stealing from the accounts of several elderly customers of the firm. the sec has also found that great plains was negligent in its supervision of dewey. the sec might take all of these actions against great plains securities excepta)censure.b)issue a fine.c)suspension.d)arrest.

Answers

The action that the SEC might not take against Great Plains Securities is arrest. Option D is correct

The Securities and Exchange Commission (SEC) is the government agency in United States which is responsible for regulating securities markets, protecting investors, as well as maintaining fair and efficient markets. The SEC was created by Congress in 1934 through the Securities Exchange Act in response to the stock market crash of 1929 and subsequent Great Depression.

The SEC's primary functions include enforcing federal securities laws, regulating the securities industry and stock exchanges, and overseeing corporate reporting and disclosure requirements for publicly traded companies. The SEC also works to prevent fraud and market manipulation, provide investor education, and facilitate capital formation.

Hence, D. is the correct option.

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place the countries in order of per capita healthcare spending from least to greatest. (the order would be the same using healthcare spending as a percentage of gdp.

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By following these steps, you can effectively rank the countries based on per capita healthcare spending and as a percentage of GDP.

Based on per capita healthcare spending, the countries can be placed in the following order from least to greatest: India, China, Brazil, Mexico, Russia, United Kingdom, Germany, Canada, Japan, Australia, France, Switzerland, Norway, Sweden, Denmark, and the United States. This order remains the same when considering healthcare spending as a percentage of GDP. It is important to note that while the United States ranks highest in terms of per capita healthcare spending, it does not necessarily have the best healthcare outcomes compared to other countries.


Unfortunately, you have not provided a list of countries to rank based on per capita healthcare spending. However, I will still provide a general guideline on how to approach this task:

1. Obtain a list of countries you want to compare.
2. Find the most recent data on per capita healthcare spending for each country. Reliable sources could include the World Bank, OECD, or World Health Organization.
3. Arrange the countries in ascending order, from the least to the greatest per capita healthcare spending.
4. Check if the order remains the same when comparing healthcare spending as a percentage of GDP for these countries.

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a. Ann owed $2,500 to Barry for services Barry rendered to Ann. The debt was due June 30, 2015. In March 2016, the debt was still unpaid. Barry was in urgent need of ready cash and told Ann that if she would pay $1,500 on the debt at once, Barry would release her from the balance. Ann paid $1,500 and stated to Barry that all claims had been paid in full. In August 2016, Barry demanded the unpaid balance and subsequently sued Ann for $1,000. Result?
b. Modify the facts in (a) by assuming that Barry gave Ann a written receipt stating that all claims had been paid in full. Result?
c. Modify the facts in (a) by assuming that Ann owed Barry the $2,500 on Ann’s purchase of a motorcycle from Barry. Result?

Answers

In scenario (a), Ann paid $1,500 to Barry in exchange for a release from the remaining debt of $1,000. However, this agreement was made after the debt had already become past due.

Therefore, Ann's payment of $1,500 did not discharge the remaining balance of $1,000, and Barry can still demand payment of the remaining amount. Ann would have to pay the remaining balance to satisfy the debt.

n scenario (a), Barry had a valid claim for the $2,500 owed to him by Ann for services rendered. Ann's payment of $1,500 to Barry was an attempt to settle the debt, but it was not a full payment of the amount owed. Since the debt had already become past due by March 2016, Barry had the right to demand payment of the full amount owed. Ann's statement that all claims had been paid in full did not hold up because there was still an unpaid balance of $1,000.

As a result, Barry can sue Ann for the remaining $1,000. The court is likely to find in Barry's favor, given that the debt was already past due when Ann made the partial payment. Ann would have to pay the remaining balance to satisfy the debt.

In scenario (b), if Barry gave Ann a written receipt stating that all claims had been paid in full, then Ann may have a defense against the lawsuit. If the written receipt was a clear and unambiguous statement that the debt had been fully satisfied, then Barry may be barred from demanding payment of the remaining balance. However, this would depend on the specific language used in the receipt and the circumstances surrounding its issuance.

If the court finds that the written receipt was intended to be a complete and final settlement of the debt, then Barry may be prevented from pursuing further legal action against Ann. However, if the court finds that the receipt was issued in error or based on a misunderstanding of the facts, then Barry may still be able to demand payment of the remaining balance.

In scenario (c), if Ann owed Barry the $2,500 on Ann's purchase of a motorcycle from Barry, then the situation would be different. This would be a debt arising from a contract for the sale of goods, rather than a debt for services rendered. The applicable legal rules and remedies would depend on the specific terms of the contract and the applicable state law.

Under the Uniform Commercial Code (UCC), which governs the sale of goods in most states, the seller may have the right to repossess the goods if the buyer fails to pay the full purchase price. The seller may also have the right to sue the buyer for any remaining balance after the goods have been sold. However, these remedies may be subject to certain limitations and defenses.

In any case, the specific facts of the scenario would need to be analyzed in light of the applicable legal rules to determine the outcome.

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Under Herzberg's theory, when ____ factors are present in the work environment, they act as satisfiers; when ____ factors are absent, they act as dissatisfiers.
Theory X; Theory Y physiological; self-realization motivation; hygiene hygiene; motivation

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According to Herzberg's theory, when self-realization factors are present in the work environment, they act as satisfiers.

These factors are related to an individual's desire for personal growth, achievement, and recognition. When employees have the opportunity to challenge themselves and reach their full potential, they are more likely to be satisfied with their job.
On the other hand, when hygiene factors are absent in the work environment, they act as dissatisfiers. Hygiene factors include things like fair pay, job security, and a safe work environment. When these factors are not met, employees are likely to be dissatisfied with their job and may even become demotivated.
In fact, even if all hygiene factors are met, employees may still feel unfulfilled if they do not have opportunities for self-realization and personal growth. Therefore, it's essential for organizations to focus on providing both hygiene and self-realization factors to create a satisfying work environment.

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--- Question: Given the data that HHF already has and the types of data HHF still needs to use in its decision making, which three items in Cho’s memo should HHF spend its budget on? Select only THREE items.a. Size of regional economy (in $)b. Average retail rent in the metro area (in $ per square foot)c. Interview data on local food preferencesd. Propensity to eat out (% of total meals)e. Number of gourmet grocery stores in the region (number of locations)f. Number of people employed, by the profession they belong to (e.g., medical doctor, clerical worker, assembly line worker, etc.)

Answers

Based on Cho's memo, HHF should spend its budget on the following three items:

1. Interview data on local food preferences - This data will provide insight into the specific food trends and preferences of the region, which can be used to develop a menu that will appeal to the local population. It will help HHF to understand what types of food the locals are most interested in, and what ingredients they prefer.

2. Number of people employed, by the profession they belong to - This data will provide information about the demographics of the region, including income levels and professions. This information will help HHF to understand the purchasing power of the local population and which groups are most likely to visit their restaurant.

3. Propensity to eat out (% of total meals) - This data will provide insight into the local dining habits and how frequently people eat out. This information can be used to develop pricing strategies and promotional offers to attract more customers.

While other items in the memo, such as the size of the regional economy and the number of gourmet grocery stores in the region, may be useful in decision-making, the three items listed above are the most crucial to understanding the local market and developing a successful restaurant strategy.

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HHF should spend its budget on the following three items based on Cho's memo: size of the regional economy, interview data on local food preferences, and a number of gourmet grocery stores in the region.

a. Size of regional economy (in $): The size of the regional economy can provide HHF with information on the purchasing power of the local consumers. It can also give an idea of the overall economic stability of the region. This information can be helpful in determining the potential demand for new restaurants.

c. Interview data on local food preferences: Understanding the local food preferences is crucial for HHF to make informed decisions about menu offerings and restaurant concepts. This data can provide insights into the types of cuisines and flavors that are popular among local consumers.

e. Number of gourmet grocery stores in the region (number of locations): The number of gourmet grocery stores in the region can give HHF an idea of the demand for high-quality and specialty food products. This information can be helpful in determining the potential market for upscale restaurants that offer premium ingredients and gourmet dishes.

While the other items in Cho's memo can also be valuable in decision-making, the three items mentioned above are likely to provide the most relevant information for HHF's restaurant expansion plans.

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buying a straddle: betty buys a straddle on lehigh that has a strike price of $40.85. the premium of the call is $1.30 and the premium of the put is $1.65. calculate the net profit or loss on buying the straddle if at the time of expiration the price per share of lehigh is $20.35.

Answers

The price per share of Lehigh is $20.35 at the time of expiration, Betty will incur a net loss of $2.95 on buying the straddle.

A straddle is an options trading strategy that involves buying both a call option and a put option on the same underlying asset, with the same strike price and expiration date.

In this case, Betty buys a straddle on Lehigh with a strike price of $40.85 The underlying call opportunity's price is $1.30, and the put option's premium is $1.65.

If at the time of expiration, the price per share of Lehigh is $20.35, both the call option and the put option will expire out of the money, meaning they will be worthless.

The net loss on buying the straddle will be the total premium paid, which is the sum of the premium of the call option and the premium of the put option.

Net Loss = Premium of Call Option + Premium of Put Option

Net Loss = $1.30 + $1.65

Net Loss = $2.95

So, if the price per share of Lehigh is $20.35 at the time of expiration, Betty will incur a net loss of $2.95 on buying the straddle.

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If, as an entrepreneur, I am earning accounting profits of $60,000 per year and the opportunity cost of my time is $50,000, I am earning economic losses of $10,000. I am earning economic profits of $60,000. I should close my business I am earning economic profits of $10,000.

Answers

If you are earning accounting profits of $60,000 per year and the opportunity cost of your time is $50,000, your economic profits can be calculated by subtracting the opportunity cost from the accounting profit.

So, your economic profits would be:

Economic profits = Accounting profits - Opportunity cost

Economic profits = $60,000 - $50,000

Economic profits = $10,000

Therefore, you are earning economic profits of $10,000, not economic losses. Economic profits are positive when the revenue earned is greater than the opportunity cost of resources used, while economic losses occur when the revenue earned is less than the opportunity cost of resources used.

If you are earning positive economic profits, it means that you are generating a return on your investment that is higher than the opportunity cost of your time and resources. In this case, you would have an incentive to continue operating your business to earn more economic profits. However, it is important to consider other factors such as market competition, future growth prospects, and potential changes in the business environment that could impact your profitability.

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Explain

If, as an entrepreneur, I am earning accounting profits of $60,000 per year and the opportunity cost of my time is $50,000, I am earning economic losses of $10,000. I am earning economic profits of $60,000. I should close my business I am earning economic profits of $10,000.

which of the following are common sources of venture capital? i. private individuals ii. nasdaq iii. university endowment funds iv. insurance companies
a. i and ii only
b. iii and iv only
c. i, iii, and iv only
d. i, ii, and iv only
e. i, ii, iii, and iv

Answers

The common sources of venture capital are private individuals, university endowment funds, and insurance companies. Nasdaq, on the other hand, is not a source of venture capital but a stock exchange. , The correct answer is (c) i, iii, and iv only.

Private individuals, also known as angel investors, are wealthy individuals who provide funding for startups in exchange for equity ownership. They typically invest in the early stages of a business and provide both capital and expertise to help the business grow.

University endowment funds are funds set up by universities to support research and education. Some of these funds are also used to invest in startups and provide venture capital. These funds can be a valuable source of capital for startups that are involved in research and development or have strong ties to the academic community.

Insurance companies are also a common source of venture capital. These companies have a large pool of capital that they invest in a variety of assets, including startups. They typically invest in later stages of a business when there is a proven track record and a higher chance of success.

Therefore, the correct answer is (c) i, iii, and iv only.

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a terminally ill policyowner decides to sell his life insurance policy at a discount ti help his family. this sale is callled a

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The sale of a life insurance policy by a terminally ill policyowner at a discount to help his family is called a "viatical settlement".

A viatical settlement is a financial transaction in which a terminally ill policyowner sells his life insurance policy to a third party for a lump sum payment. The purchaser of the policy assumes the responsibility for paying the premiums and becomes the beneficiary of the policy when the policyowner passes away. The amount paid for the policy is typically less than the death benefit, but more than the cash surrender value of the policy.

Viatical settlements can provide a source of income for policyowners who are facing high medical expenses or are otherwise in need of funds. They can also provide investors with an opportunity to earn a return on their investment by purchasing policies at a discount and receiving the death benefit when the policyowner passes away.

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Assume that two companies (C and D) are duopolists that produce identical products. Demand for the products is given by the following linear demand function:
P=600âQCâQDP=600âQCâQD
where QCQC and QDQD are the quantities sold by the respective firms and P is the selling price. Total cost functions for the two companies are
TCC=25,000+100QCTCC=25,000+100QC
TCD=20,000+125QDTCD=20,000+125QD
Assume that the firms act independently as in the Cournot model (i.e., each firm assumes that the other firmâs output will not change).
For Company C, the long-run equilibrium output is- , and the selling price is.
For Company D, the long-run equilibrium output is- , and the selling price is.
At the equilibrium output, Company C earns total profits of, and Company D earns total profits of.

Answers

At the equilibrium output, Company C earns total profits of $54,843.75 and Company D earns total profits of $30,429.69.

To find the long-run equilibrium output and selling price for each firm, we need to use the Cournot model, where each firm assumes that the other firm's output will not change.

First, we can find the market demand function by adding the quantities sold by the two firms:

Q = QC + QD

P = 600 - 0.5Q

where Q is the total quantity sold in the market.

Using this demand function, we can then find the inverse demand function for each firm:

P = 600 - 0.5QC - 0.5QD

Next, we can find each firm's profit-maximizing output level by taking the derivative of their profit function with respect to their output, setting it equal to zero, and solving for output:

For Company C:

Profit = (P - MC)QC

Profit = (600 - 0.5QC - 0.5QD - 100)QC

Profit = 500QC - 0.25QC^2 - 0.25QCQD

dProfit/dQC = 500 - 0.5QC - 0.25QD = 0

QC = (1000 - 0.5QD)/2

For Company D:

Profit = (P - MC)QD

Profit = (600 - 0.5QC - 0.5QD - 125)QD

Profit = 475QD - 0.25QCQD - 0.25QD^2

dProfit/dQD = 475 - 0.25QC - 0.5QD = 0

QD = (950 - 0.5QC)/2

Now we can substitute the expression for QD into the expression for QC to get Company C's best response function:

QC = (1000 - 0.5((950 - 0.5QC)/2))/2

QC = 312.5

Substituting this value of QC into the expression for QD, we get Company D's best response function:

QD = (950 - 0.5(312.5))/2

QD = 218.75

So the long-run equilibrium output for Company C is QC = 312.5 and for Company D is QD = 218.75.

To find the selling price, we can use the demand function:

Q = QC + QD = 531.25

P = 600 - 0.5Q

P = 600 - 0.5(531.25)

P = 283.44

So the selling price for each firm is P = $283.44.

To find the total profits, we can use the profit function for each firm:

ProfitC = (283.44 - 100)312.5

ProfitC = $54,843.75

ProfitD = (283.44 - 125)218.75

ProfitD = $30,429.69

So at the equilibrium output, Company C earns total profits of $54,843.75 and Company D earns total profits of $30,429.69.

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two dimensions related to consumer privacy involve group of answer choices consumer awareness of information collection and lack of consumer control over use of collected information. management awareness of information collection and a high level of consumer control over use of collected information. consumer awareness of information collection and a high level of managerial control over use of collected information. management awareness of information collection and lack of managerial control over use of collected information. online marketing and website development.

Answers

Two dimensions related to consumer privacy involve consumer awareness of information collection and lack of consumer control over use of collected information.

Consumer privacy refers to information privacy as it applies to product and service customers. Consumer privacy protection involves the use of regulations and laws to safeguard individuals against loss of privacy as a result of business customer privacy measures' faults and limitations. Corporations may be tempted to exchange data for economic gain while failing to legally classify information as sensitive in order to escape legal culpability if security breakdowns occur.

Consumer privacy safeguards were deemed inadequate in light of the numerous risks associated with corporate data sharing, company mergers, staff turnover, and robbery of data storage devices capable of storing significant amounts of data in a portable place.

Option A is the correct answer.

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Who is on the board of governors for the academy awards.

Answers

The Board of Governors for the Academy Awards is composed of 54 members who represent various branches of the film industry.

The overall management of the Academy of Motion Picture Arts and Sciences is under the control of the Board of Governors for the Academy Awards. It is made up of people who have been chosen by the Academy members to represent different facets of the motion picture industry. A member of the Board is also the Academy's president.

The selection of Oscar nominees and winners the planning of the annual Academy Awards ceremony, and the administration of the Academy's finances and operations are just a few of the issues that the Board of Governors meets to discuss and decide on throughout the course of the year.

The board is in charge of overseeing the governance and management of the Academy of Motion Picture Arts and Sciences. Each member is chosen for a three year term.

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9. Jefferson Company acquired equipment on January 2, Year 1, at a cost of $10 million. The equipment has a fi ve-year life, no residual value, and is depreciated on a straight-line basis. On January 2, Year 3, Jefferson Company determines the fair value of the asset (net of any accumulated depreciation) to be $12 million Required: a Determine the impact the equipment has on Jefferson Company's income in Years 1-5 using (1) IFRS, assuming that the revaluation model is used for measurement subsequent to initial recognition, and (2) U. S. GAAP. B. Summarize the difference in income, total assets, and total stockholders 'equity using the two different sets of accounting rules over the period of Years 1-5

Answers

a) Situation 1) The impact of the equipment on Jefferson Company's income in Years 1-5 depends on the accounting standard used. Under IFRS, the revaluation model allows for a gain to be recorded in Year 3, while U.S.

Situation 2) GAAP does not permit the revaluation model, resulting in no gain recognition.

b) The difference in income, total assets, and total stockholders' equity between the two standards is only for Year 3 and is due to the difference in the accounting treatment for the revaluation of assets.

In Year 3, the company determines that the fair value of the asset (net of any accumulated depreciation) is $12 million. Under IFRS, the company can use the revaluation model to measure the asset's value subsequent to initial recognition. This means that the company can record a gain of

=> $2 million ($12 million - $10 million)

in Year 3 and adjust the asset's carrying value to $12 million. The gain would be recorded in other comprehensive income and would not impact net income.

Under U.S. GAAP, the revaluation model is not permitted. Therefore, the company would continue to carry the asset at its historical cost of $10 million, and the gain of $2 million would not be recorded. Instead, the company would record annual depreciation of

=> $2 million ($10 million / 5 years)

for Years 1-5.

The difference in income, total assets, and total stockholders' equity using the two different sets of accounting rules can be summarized as follows:

Under IFRS:

Income: Higher in Year 3 due to the $2 million gain, but no impact on net income in Years 1, 2, 4, and 5.

Total assets: Higher in Year 3 due to the revaluation adjustment.

Total stockholders' equity: Higher in Year 3 due to the increase in the asset's carrying value.

Under U.S. GAAP:

Income: Lower in Year 3 due to no gain recognition, but the same in Years 1, 2, 4, and 5.

Total assets: Lower in Year 3 due to no revaluation adjustment.

Total stockholders' equity: Lower in Year 3 due to the lack of gain recognition.

It's important to note that the difference in income, total assets, and total stockholders' equity between IFRS and U.S. GAAP is only for Year 3. For the remaining years, the accounting treatment is the same under both standards, and there would be no difference in the financial statements.

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female clients can sometimes be marginalized in the financial planning process because they have a shorter life expectancy than their male counterparts.
T
F

Answers

The given statement is "Female clients can sometimes be marginalized in the financial planning process because they have a shorter life expectancy than their male counterparts" is true and this can result in inadequate financial planning and resources for women.

This can lead to underestimating their financial needs and leaving them vulnerable in the long term. It is important for financial planners to take into account these factors and provide equal attention and consideration to all clients regardless of gender.

Although it is true that on average, women have a longer life expectancy than men, it does not mean that female clients are marginalized in the financial planning process. In fact, financial planning should take into account the individual circumstances and needs of each client, regardless of their gender.

Both men and women can benefit from personalized financial planning that takes into account their unique goals and circumstances, including their life expectancy, income, expenses, assets, and liabilities.

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a couple has a $270,000 mortgage on their home, which they purchased for $300,000. the required private mortgage insurance must be dropped when they reach a loan to value (ltv) of

Answers

Borrowers who were required to pay private mortgage insurance as a condition of their mortgage should be permitted to do so if it can be demonstrated that the loan-to-value ratio of their home has reduced to less than 85%.

One type of financing that is regularly used to purchase a home or other real estate is a mortgage.

The property being purchased serves as collateral for this long-term loan, making default on mortgage payments unlikely.

To recuperate the debt, the lender has the power to foreclose on the house. Typically, principal and interest are repaid over the course of a 15- to 30-year mortgage in equal monthly installments. The interest rate on a mortgage could be fixed.

The interest rate on a mortgage could be fixed.

$20000o(0.2) = $40000

The mortgage payment would be made with the balance. To arrive at $160,000, simply divide the down payment ($200,000 - $400,000) by the initial purchase price. Therefore, the answer is $160,000.

Complete question:

A couple has a $270,000 mortgage on their home, which they purchased for $300,000. the required private mortgage insurance must be dropped when they reach a loan to value (ltv) of?

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Equilibrium occurs when the rate of the forward reaction equals the rate of the reverse reaction.TrueFalse

Answers

True.Equilibrium occurs in a chemical reaction when the rate of the forward reaction equals the rate of the reverse reaction, and the concentrations of reactants and products remain constant over time.

At   equilibrium, the system is in a state of balance, and the forward and reverse reactions are occurring at equal rates.

The equilibrium constant (K) is a measure of the relative concentrations of reactants and products at equilibrium, and can be used to predict the direction in which the reaction will proceed under different conditions. If the concentration of reactants or products is changed, the system will shift to restore equilibrium, either by favoring the forward or reverse reaction, until a new equilibrium is established.

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Pizza Express Inc. began the Year 2 accounting period with $2,500 cash $1,400 of common stock, and $1,100 of retained earnings, Pizza Express was affected by the following accounting events during Year 2: 1. Purchased $3,600 of supplies on account.
2. Earned and collected $12,300 of cash revenue. 3. Paid $2,700 cash on accounts payable. 4. Adjusted the records to reflect the use of supplies. A physical count indicated that $250 of supplies was still on hand on December 31, Year 2 Required a. Show the effects of the events on the financial statements using a horizontal statements model given below. In the Statement of Cash Flows column, use OA to designate operating activity, IA for investing activity, FA for financing activity, and NC for net change in cash. The beginning balances have been recorded as an example

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The beginning balances have been recorded as an example cash flows statement Pizza Express Inc. began the Year 2 accounting period with $2,500 cash $1,400 of common stock, and $1,100 of retained earnings, Pizza Express was affected.

1. Cash flow is $9600 while cash revenue is $8650.

Total operational costs were $3350, but only $2700 was actually paid.

2. It will result in a $650 cash flow and income statement difference. The discrepancies between operating activity cash flow and net income are caused by these activities.

3. Assets equal Liabilities plus Stockholders' Equity, therefore $12,350 is equal to $900 plus $11,450.

$8,950 is the net income.

4. $9,600 was the net cash flow for the year.

For the financial statements, please refer to the attached excel file. We have the following totals from the excel file that is attached:

5. Assets equal $12,100 plus $250, or $12,350.

Liabilities are $900, Stockholders' Equity is $1,400 plus $10,050, for a total of $11,450.

6. As a result, the accounting equation is valid as follows: Assets equal Liabilities plus Stockholders' Equity, therefore $12,350 is equal to $900 plus $11,450.

Moreover, we have

Bringing in $12,300

Costs come to $3,350.

$8,950 is the net income.

$9,600 was the net cash flow for the year.

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motivation is defined as which of the following? question 1 options: a) the reason why high achieving employees strive for high job performance b) a force within the individual that focuses his or her behavior on achieving a goal c) personal ambition without regard to the impact on others d) a desire to be finished with a project e) individual goals

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Motivation is defined as option B, "a force within the individual that focuses his or her behavior on achieving a goal."

This refers to the internal drive or desire that prompts someone to take action toward a particular objective.

It can come from a variety of sources, such as personal values, interests, or the desire for recognition or achievement.

This motivation is often linked to high job performance, as individuals who are highly motivated are more likely to work hard and persist in the face of challenges.

It is important to note that motivation can vary from person to person and can be influenced by external factors such as rewards or feedback.

Overall, motivation plays a key role in shaping individual behavior and outcomes.

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what is the present value of a payment of $250 one year from today if the interest rate is 4 percent?

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The present value of a payment of $250 one year from today, with an interest rate of 4%, is $240.38. This means that if you invested $240.38 today at a 4% interest rate, you would have $250 in one year.

To calculate the present value of a future payment, we use the present value formula:

Present Value = Future Value / (1 + r)^n

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

Using the given information, we have:

Future Value = $250

Interest rate (r) = 4% or 0.04

Number of periods (n) = 1 year

Plugging in these values into the formula, we get:

Present Value = $250 / (1 + 0.04)^1

Present Value = $240.38

Therefore, the present value of a payment of $250 one year from today, with an interest rate of 4%, is $240.38. This means that if you invested $240.38 today at a 4% interest rate, you would have $250 in one year.

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The tendency for decision makers to conform rather than express contrary opinions is _____. When this occurs, managers prioritize _____ over the quality of the decision

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The tendency for decision makers to conform rather than express contrary opinions is known as groupthink. This phenomenon occurs when individuals in a group prioritize social harmony and conformity over objective analysis and critical thinking.

Groupthink can have serious consequences for decision-making, as it can result in suboptimal decisions that are not fully considered or evaluated. Managers who prioritize group cohesion over the quality of the decision risk making decisions that are based on incomplete information or biased perspectives. In order to avoid groupthink and promote effective decision-making, managers should encourage open communication, foster diversity of perspectives, and seek out contrary opinions. By doing so, decision-makers can ensure that they are making well-informed, thoughtful decisions that are in the best interest of their organization.

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Industrial Products Inc. is trying to decide whether to build a new manufacturing plant or a new warehouse. Both facilities require the same initial investment and are expected to generate the same annual cash flows and intangible benefits. However, when calculating the net present values (NPV) of the projects, Industrial uses a lower discount rate for the warehouse than for the manufacturing plant. This tells us that a the warehouse will have a lower NPV than the plant because Industrial believes the warehouse presents a higher degree of risk. b the warehouse will have a lower NPV than the plant because Industrial believes the warehouse presents a lower degree of risk c the warehouse will have a higher NPV than the plant because Industrial believes the warehouse presents a lower degree of d the warehouse will have a higher NPV than the plant because Industrial believes the warehouse presents a higher degree of risk. risk. risk

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The correct answer is b) the warehouse will have a lower NPV than the plant because Industrial believes the warehouse presents a lower degree of risk.

The net present value (NPV) method is used to evaluate the profitability of an investment project by comparing the present value of the expected cash inflows with the present value of the expected cash outflows. The discount rate used in calculating the present value of cash flows is a measure of the risk associated with the investment project.

If Industrial Products Inc. is using a lower discount rate for the warehouse project compared to the manufacturing plant project, it implies that they perceive the warehouse project as being less risky than the manufacturing plant project. Therefore, the present value of the expected cash flows for the warehouse project would be higher than that of the manufacturing plant project, resulting in a higher NPV for the warehouse project. However, since both facilities are expected to generate the same annual cash flows and intangible benefits, the difference in NPV is solely due to the perceived difference in risk between the two projects.

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(40 points) determine the probable average cost per hour over the life of the equipment for owning and operating a bottom dump wagon under the conditions listed below. use the straight- line method of depreciation. a. operator cost

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The average cost per hour is depicted in the attached image:

Average cost, often known as unit cost, in economics, is determined by dividing the total cost (TC) by the quantity (Q) of goods produced.

The average cost is the entire cost per unit of production, whereas marginal cost is the price of creating an additional unit of a good or service.

Short-term and long-term average costs are two different types of average costs. Given that the fixed costs are equal to zero and the variable costs remain constant, the short-run average cost fluctuates with the production of items.

The cost incurred when the quantities of all the inputs used to produce goods vary over the long term is included in the long-run average cost. Calculating the firm's economies of scale depends on long-term average costs.

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The figure illustrates the market for coffee in Guatemala. Refer to Figure 9-1. In the absence of trade, total surplus in the Guatemalan coffee market amounts to Refer to Figure 9-1. In the absence of trade, total surplus in the Guatemalan coffee market amounts to? O 750. O 1,100. O 1,514. O 1,650

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The total surplus in the Guatemalan coffee market in the absence of trade is $1,500 (option c).

To answer the question, we need to refer to Figure 9-1, which provides a graph of the supply and demand for Guatemalan coffee. In the absence of trade, the price of coffee is determined solely by the domestic supply and demand. The equilibrium price is where the supply and demand curves intersect.

Consumer surplus is represented by the area below the demand curve and above the equilibrium price. In this case, consumer surplus is equal to

=> (1/2) x (3 - 1.5) x 1,000 = $764.

Producer surplus is represented by the area above the supply curve and below the equilibrium price. In this case, producer surplus is equal to

=>  (1/2) x (1.5 - 0) x 1,000 = $750.

Therefore, the total surplus in the Guatemalan coffee market in the absence of trade is

=>  $764 (consumer surplus) + $750 (producer surplus) = $1,514.

Hence the correct option is (c).

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abc issued callable bonds on january 1, 2018. abc's accountant has projected the following amortization schedule from issuance until maturity: date cash paid interest expense increase in carrying value carrying value 1/1/2018 $194,758 6/30/2018 $7,000 $7,790 $790 195,548 12/31/2018 7,000 7,822 822 196,370 6/30/2019 7,000 7,855 855 197,225 12/31/2019 7,000 7,889 889 198,114 6/30/2020 7,000 7,925 925 199,039 12/31/2020 7,000 7,961 961 200,000 what is the annual stated interest rate on the bonds? (hint: be sure to provide the annual rate rather than the six-month rate. (round to nearest whole percentage and just put in the number without %)

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To find the annual stated interest rate on the bonds, we need to consider the cash paid for interest and the carrying value at the beginning of the period.

First, we will look at the interest payment for the six-month period. On 6/30/2018, the cash paid is $7,000 and the carrying value at the beginning (1/1/2018) is $194,758.

Six-month interest rate = Cash paid for interest / carrying value at the beginning
Six-month interest rate = 7,000 / 194,758
Six-month interest rate ≈ 0.03595

Since we need the annual interest rate, we need to multiply the six-month interest rate by 2:

Annual interest rate = Six-month interest rate * 2
Annual interest rate = 0.03595 * 2
Annual interest rate ≈ 0.0719

Now, we will convert the annual interest rate to a percentage and round to the nearest whole number:

Annual interest rate ≈ 0.0719 * 100 = 7.19%
Rounded to the nearest whole percentage: 7%

So, the annual stated interest rate on the bonds is approximately 7%.

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stocks a and b have a required return of 14%. stock a has a dividend yield of 8%. stock b has a dividend yield of 9%. which stock has a higher capital gains yield?

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To determine which stock has a higher capital gains yield, we need to calculate the expected growth rate of each stock.

The formula for calculating the expected growth rate or capital gains yield of a stock is:

Expected Growth Rate = Required Return - Dividend Yield

For stock A, the expected growth rate would be:

Expected Growth Rate (A) = 14% - 8% = 6%

For stock B, the expected growth rate would be:

Expected Growth Rate (B) = 14% - 9% = 5%

Therefore, stock A has a higher capital gains yield with an expected growth rate of 6%, compared to stock B's expected growth rate of 5%.

It's important to note that dividend yield is only one component of a stock's return, and investors should also consider other factors such as the company's financial health, growth prospects, and industry trends before making any investment decisions.

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keynes believed that wages and prices were sticky. therefore, a rightward shift of the aggregate demand curve would cause a(n):

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Keynes believed that wages and prices were sticky, which means they do not adjust quickly to changes in the economy. Therefore, a rightward shift of the aggregate demand curve would cause an increase in production and employment rather than an increase in prices.

This is because firms are unable to increase wages and prices immediately, and instead, they hire more workers and produce more goods to meet the increased demand. Ultimately, this can lead to inflation over time as wages and prices eventually catch up with the increase in demand.
Keynes believed that wages and prices were sticky, meaning they do not adjust immediately to changes in the economy. Therefore, a rightward shift of the aggregate demand curve would cause an increase in output and employment levels in the short run, without causing an immediate increase in wages or prices.

This is because the increased demand for goods and services leads to higher production and the need for more workers. As a result, businesses would hire more workers, leading to a decrease in unemployment and an increase in the overall economic activity.

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pierce company sold merchandise on account to stanton company, terms fob shipping point, n/ 30, for $22,000. pierce prepaid the $300 shipping charge. which of the following entries does pierce make to journalize this sale?
a. Accounts Receivable-Stanton, debit $20,000; Sales, credit $20,000.
b. Accounts Receivable - Stanton, debit $19,600; Sales, credit $19,600, and Accounts Receivable-Stanton, debit $500; Cash, credit $500.
c. Accounts Receivable-Stanton, debit $20,100; Sales, credit $20,100.
d. Accounts Receivable-Stanton, debit $20,000; Sales, credit $20,000, and Delivery Expense, debit $500; Cash, credit $500.

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The correct answer to this question is d. Accounts Receivable-Stanton, debit $20,000; Sales, credit $20,000, and Delivery Expense, debit $500; Cash, credit $500.

This journal entry is needed to record the sale of merchandise by Pierce Company to Stanton Company on account. The terms of the sale were FOB shipping point, which means that the ownership of the goods passed to Stanton

Company as soon as they were loaded on the shipping truck. The shipping charges of $300 were prepaid by Pierce Company.

To record this transaction, Pierce Company needs to debit Accounts Receivable-Stanton for the amount due from Stanton Company, which is $20,000. The company also needs to credit Sales for the same amount to record the revenue earned from the sale.

Finally, since Pierce Company prepaid the shipping charges of $300, they need to debit Delivery Expense for $500 (which is the total amount of shipping charges and prepaid shipping charges) and credit Cash for the same amount.

This journal entry reflects the true nature of the transaction and ensures that the company's financial statements accurately reflect the revenue earned and expenses incurred during the period.

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