complete a business case for casino/resort concept.
How will you determine game mix (table games and slots)?

Answers

Answer 1

When determining the game mix for a casino/resort concept, it is important to consider a variety of factors. These may include the demographics and interests of the target market, the size and layout of the casino floor, and the overall branding and theme of the resort.

One key consideration when deciding on the game mix is the balance between table games and slots.
To determine the optimal game mix for a given casino/resort concept, it may be helpful to conduct market research and analyze data on customer preferences and spending patterns. This could involve surveys, focus groups, or other forms of feedback gathering.


Ultimately, the game mix should be tailored to the specific needs and goals of the casino/resort concept, taking into account factors such as the target market, budget, and overall business strategy. With careful planning and research, a well-balanced game mix can help to attract and retain customers and drive long-term success for the business.

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Related Questions

the portion of an asset's risk that is related to expected returns and is attributable to market factors that affect all firms is called ________.

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The portion of an asset's risk that is related to expected returns and is attributable to market factors that affect all firms is called systematic risk.

Systematic risk is also known as market risk and cannot be diversified away through portfolio diversification. It is caused by factors such as changes in interest rates, inflation, economic growth, political events, and natural disasters. This type of risk affects the entire market and cannot be avoided by any individual company. Investors can manage systematic risk by adjusting their asset allocation and diversifying their portfolio across different sectors and asset classes. Understanding systematic risk is essential for investors to make informed investment decisions and manage their risk exposure.

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The cost of retained earnings If a firm cannot invest retained earnings to earn a rate of return the required rate of return on retained earnings, it should return those funds to its stockholders. The current risk-free rate of return is 4.6%. The market risk premium is 6.6%. D'Amico Co, has a beta of 1.56. Using the Capital Asset Pricing Model (CAPM) approach, D'Amico's cost of equity is. Kuhn Co. is closely held and, consequently, cannot generate reliable inputs for the CAPM approach. Kuhn's bonds yield 11.5%, and the firm's analysts estimate that the frim's risk premium on its stock over its bonds is 4.5%. Using the bond-yield-plus-risk-premium approach, find the firm's cost of equity: 16.0% 19.2% 17.6% 15.2% The cost of equity using the Discounted Cash flow (or Dividend Growth) Approach Turnbull Co.'s stock is currently selling for $45.56, and the firm expects its dividend to be $2.35 in one year. Analysts project the firm's growth rate to be constant at 7.2%. Using the discounted cash flow (DCF) approach, what is Turnbull's cost of equity? 15.5% 11.8% 12.4% 13.0% It is often difficult to estimate the expected future dividend growth rate for use in estimating the cost of existing equity using the DCF or DG approach. In general, there are three available methods to generate such an estimate: Carry forward a historical realized growth rate, and apply it to the future. Locate and apply an expected future growth rate prepared and published by security analysts. Use the retention growth model. Suppose Tumbull is currently distributing 65.00% of its earnings in the form of cash dividends It has also historically generated an average return on equity (ROE) of 22.00%. Tumbull's estimated growth rate is .

Answers

The firm's cost of equity using the bond-yield-plus-risk-premium approach is 16.0%.

The cost of equity is the rate of return that a shareholder requires to make a particular investment in the company's common stock. It is the cost of equity that an investor incurs when investing in the company. It is expressed as a percentage and is used to calculate a firm's weighted average cost of capital (WACC).The cost of equity can be determined using three methods: Capital Asset Pricing Model (CAPM) approach, Bond-yield-plus-risk-premium approach, and Discounted Cash flow (or Dividend Growth)

Approach A. CAPM Approach: Using the Capital Asset Pricing Model (CAPM) approach, D'Amico's cost of equity is: CAPM = Rf + (Rm-Rf) * β

Here, Rf = Risk-free rate of return = 4.6%Rm = Market risk premium = 6.6%β = Beta of D'Amico Co = 1.56

Therefore, CAPM = 4.6% + (6.6% * 1.56) = 14.296%

B. Bond-yield-plus-risk-premium Approach:

Using the bond-yield-plus-risk-premium approach, the firm's cost of equity is calculated using the following formula:

Cost of Equity = Bond yield + Risk premium on stock

Here, Bond yield = 11.5%

Risk premium on stock = 4.5%

Therefore, Cost of Equity = 11.5% + 4.5% = 16.0%

C. Discounted Cash Flow (or Dividend Growth) Approach:

Using the discounted cash flow (DCF) approach, Turnbull's cost of equity is calculated using the following formula:

P0 = D1 / (ke - g)

Here, P0 = Current stock price = $45.56D1 = Expected dividend in the next year = $2.35Ke = Cost of equity

G = Constant growth rate = 7.2%

Therefore, $45.56 = $2.35 / (ke - 7.2%)

Hence, ke = 13.0%The estimated growth rate using the retention growth model is given by:

G = Retention ratio * Return on equity

Here, Retention ratio = 1 - Payout ratio = 1 - 65% = 35%

Return on equity = 22%Therefore,G = 35% * 22% = 7.7%

Thus, the estimated growth rate for Turnbull is 7.7%.

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Which of the following is likely to occur during a downturn in
the business cycle?
Multiple Choice
None of these choices are correct.
increased aggregate demand
lower inventories
lower real ou

Answers

During a downturn in the business cycle, a lower real output is likely to occur. Real output is the output of the economy that has been adjusted to account for price changes that  refers to fluctuations in economic activity, defined by the increase and decrease in the production of goods and services.

The business cycle has four phases: expansion, peak, contraction, and trough. Downturns in the business cycle occur during the contraction are various effects of a downturn in the business cycle on the economy. Some of these are Lower real output.

During a downturn in the business cycle, the output of the economy  to lower real Lower inventories: During the contraction phase of the business cycle, businesses decrease production due to the decrease in demand for goods and services. This results in a decrease in unemployment: A downturn in the business cycle results in a decrease in production, which leads to job loss and increased unemployment. Therefore, the correct option is option C: Lower real  the contraction are various effects of a downturn in the business cycle on the economy. Some of these are Lower real output.

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Nantucket Industries manufactures and sells two models of watches, Prime and Luxuria. It expects to sell 3,500 units of Prime and 1,500 units of Luxuria in 2019.The following estimates are given for 2019: Prime Luxuria Selling price $200 $500 Direct materials 70 100 Direct labor 60 180 Manufacturing overhead 90 150 Nantucket had an inventory of 200 units of Prime and 105 units of Luxuria at the end of 2018. It has decided that as a measure to counter stock outages it will maintain ending inventory of 400 units of Prime and 230 units of Luxuria. Each Luxuria watch requires one unit of Crimpson and has to be imported at a cost of $12. There were 120 units of Crimpson in stock at the end of 2018. The management does not want to have any stock of Crimpson at the end of 2019. What is the total budgeted cost of goods sold for Nantucket Industries in 2019?
$1,433,000
$1,625,000
$1,415,000
$1,325,000

Answers

The total budgeted cost of goods sold for Nantucket Industries in 2019 is $1,415,000.

To calculate the budgeted cost of goods sold, we need to determine the cost of producing the units sold for both the Prime and Luxuria models.

For the Prime model:

Cost of direct materials per unit: $70

Cost of direct labor per unit: $60

Cost of manufacturing overhead per unit: $90

Total cost per unit of Prime = $70 + $60 + $90 = $220

Total units of Prime sold = 3,500

Total cost of Prime units sold = 3,500 * $220 = $770,000

For the Luxuria model:

Cost of direct materials per unit: $100Cost of direct labor per unit: $180Cost of manufacturing overhead per unit: $150

Total cost per unit of Luxuria = $100 + $180 + $150 = $430

Total units of Luxuria sold = 1,500

Total cost of Luxuria units sold = 1,500 * $430 = $645,000

Total budgeted cost of goods sold = Cost of Prime units sold + Cost of Luxuria units sold

= $770,000 + $645,000

= $1,415,000

The total budgeted cost of goods sold for Nantucket Industries in 2019 is $1,415,000. This calculation takes into account the cost of producing and selling the Prime and Luxuria models based on the given estimates and sales projections.

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which statement is an economic rationale for the law of increasing opportunity cost?

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The economic rationale for the law of increasing opportunity cost is that as production of a particular good or service increases, the resources used to produce it become less suited for that specific task and more suited for alternative uses.

As an economy shifts resources from producing one good to another, the resources best suited for the initial good are utilized first. However, as production of the initial good expands, resources that are less efficient in producing it must be employed, leading to diminishing returns and increased opportunity cost. This is because the additional units of the initial good produced require more and more resources that are less specialized or less productive in its production.

In simple terms, the law of increasing opportunity cost arises due to the finite nature of resources and their varying productivity in different tasks. It reflects the idea that there is a trade-off in allocating resources between alternative uses. When an economy devotes more resources to the production of one good, it must divert resources away from the production of another good, and these resources may not be as well-suited or efficient in the new production process.

The law of increasing opportunity cost serves as a reminder that there are limits to resource allocation and that producing more of a particular good comes at an increasing cost in terms of the sacrificed production of alternative goods. This principle is fundamental to understanding the concept of trade-offs in economic decision-making and helps explain why production possibilities frontiers are typically depicted as concave curves.

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Applying the COBIT framework, planning is the responsibility of O the CEO O the CFO O all of the above O the board of directors.

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According to the COBIT (Control Objectives for Information and Related Technology) framework, planning is the responsibility of the board of directors.

The COBIT framework is a widely-used framework for the governance and management of enterprise IT (Information Technology). It provides a comprehensive set of guidelines, principles, and practices that help organizations to ensure effective IT governance and management. There are five key areas of the COBIT framework, which are: Governance: This area provides a structure for the governance of enterprise IT, and it covers the policies, procedures, and organizational structures that are necessary to achieve effective IT governance. Management: This area covers the day-to-day management of enterprise IT, and it includes the processes, procedures, and practices that are necessary to ensure the effective delivery of IT services. Information: This area covers the management of information, including the creation, storage, use, and sharing of information.

Application: This area covers the management of IT applications, including the development, implementation, and maintenance of IT applications. Infrastructure: This area covers the management of IT infrastructure, including the hardware, software, networks, and other resources that are necessary to support enterprise IT.According to the COBIT framework, the board of directors is responsible for planning, as well as other key governance activities. The board of directors is responsible for ensuring that the organization's IT strategy is aligned with its overall business strategy. They are also responsible for setting policies and procedures related to IT governance, and for monitoring the organization's compliance with these policies and procedures.

In conclusion, applying the COBIT framework, planning is the responsibility of the board of directors. This means that the board of directors is responsible for setting the organization's IT strategy, policies, and procedures, and for ensuring that the organization is compliant with these policies and procedures.

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Which is NOT a question managers should ask when assessing whether or not a course of action is ethical? a. Would I publicize my action? b. Is it legal? c. Will I get caught? d. Am I being honest?

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The question that managers should NOT ask when assessing whether or not a course of action is ethical is: c. Will I get caught?

Ethical decision-making involves considering the moral implications and consequences of one's actions. When evaluating the ethical nature of a course of action, managers should focus on principles such as honesty, fairness, integrity, and the overall impact on stakeholders. Asking whether they will get caught shifts the focus from ethical considerations to personal consequences and potential punishment.

Directly considering the likelihood of getting caught suggests a disregard for ethical principles and a focus on self-interest rather than doing what is right. Ethical decision-making should be guided by a genuine commitment to ethical behavior, irrespective of the likelihood of being caught or facing consequences.

Instead, managers should ask questions such as:

a. Would I publicize my action? This question encourages managers to consider whether they would be comfortable with their actions being known by others, suggesting the importance of transparency and accountability.

b. Is it legal? Assessing the legality of an action is a fundamental aspect of ethical decision-making, as complying with laws and regulations is a minimum requirement.

d. Am I being honest? Honesty is a vital ethical principle, and questioning one's own honesty ensures integrity and truthfulness in decision-making.

In conclusion, while considering the likelihood of getting caught is not a relevant question for assessing the ethical nature of a course of action, managers should focus on questions related to transparency, legality, and personal integrity when making ethical decisions.

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Which of the following most accurately describes your company's production operations? Production workers are organized into 3-person footwear production and assembly teams; each team must go through 20 hours of best practices training annually Going into Year 11 your company's North America production facility was utilizing 100%- new equipment having the capacity to produce 4 million pairs of footwear annually at regular time (4 8 million pairs annually with maximum use of overtime) this equipment was installed at the beginning of Year 5, and because it has a useful life of only 10 years, it will have to be replaced at the beginning of Year 15 The equipment on the company's production lines at both the North American production facility and the Asia-Pacific production facility have the capability to produce as many as 50 different models simultaneously A Company production facilities are designed to use 25-person assembly lines to produce branded footwear at the rate of 2,500 pairs per week, private-label footwear is made on 50- person assembly lines that can make 5,000 pairs per week. Your company's Asia-Pacific production facility has space available to accommodate sufficient footwear-making equipment to produce 4 million pairs of footwear at regular time (4.8 million pairs with maximum use of overtime), going into Year 11, the facility is equipped with only 2 million pair of footwear-making equipment A

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The main description that accurately describes the company's production operations is: Production workers are organized into 3-person footwear production and assembly teams.

The company follows a team-based approach with 3-person teams for footwear production and assembly. The emphasis on training ensures that workers are updated with best practices, enhancing their efficiency and productivity. This approach promotes collaboration and specialization within the teams, leading to streamlined production processes. By regularly providing training, the company ensures that its workforce remains knowledgeable and skilled, contributing to high-quality output. The main description that accurately describes the company's production operations is: Production workers are organized into 3-person footwear production and assembly teams.

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Which of the following are considered to be popular culinary tourism experiences? a. Food Tours and Cooking Classes b. Wine Tasting and Brewery Tours c. Producer/grower/manufacturer visits and Farmer's Markets d. All of the above

Answers

The correct answer is d. All of the above. All of the above are considered to be popular culinary tourism experiences. Culinary tourism experiences refer to travel activities that involve food and drink.

It’s an opportunity to taste and learn about different local cuisines. There are several culinary tourism experiences that are gaining popularity worldwide, which include food tours and cooking classes, wine tasting and brewery tours, producer/grower/manufacturer visits, and farmer's markets.Food tours and cooking classes: It is one of the most popular culinary tourism experiences. Visitors get a chance to try different cuisines and explore new places. This experience provides a hands-on opportunity to learn about local culinary traditions. Wine tasting and brewery tours: Wine tasting and brewery tours are a unique experience that provides insights into the local wine and beer-making process. Visitors get a chance to taste different wine and beer varieties and learn about the history and traditions behind them. Producer/grower/manufacturer visits: Visitors get to experience the food industry behind-the-scenes and learn about how food is produced, grown, and manufactured. Farmer's markets: Farmer's markets are the perfect place to explore the local food scene. Visitors get to taste and purchase fresh local produce and learn about different culinary traditions.

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Suppose the Canada market for cannabis products is perfectly competitive, and the production of cannabis results in an externality in the form of water pollution from agricultural runoff. This market can be characterized by the following equations (where Q is expressed in thousands of pounds and P is in CA$ per pound): Inverse
Market Supply: PS = 1000 + 2Q Inverse Market Demand: PD = 3000 – 3Q Marginal External Cost: MEC = 200 + Q
a. Graph and solve for the market equilibrium price and quantity of cannabis.
b. Graph and solve for the socially optimal price and quantity of cannabis (i.e., the efficient solution)

Answers

a) To solve the market equilibrium price and quantity of cannabis for a perfectly competitive Canada market, use the following equations:Market Supply: PS = 1000 + 2QMarket Demand: PD = 3000 – 3QWhere Q is expressed in thousands of pounds and P is in CA$ per pound.For the market equilibrium, both PS and PD must be equal. Therefore, equate PS and PD to get:1000 + 2Q = 3000 – 3QSimplifying this equation further gives: 5Q = 2000Q = 400Substituting Q = 400 in either equation gives:P = 3000 – 3(400) = 1800 CA$ per poundTherefore, the market equilibrium price of cannabis is 1800 CA$ per pound, and the market equilibrium quantity of cannabis is 400 thousand pounds.

b) To solve for the socially optimal price and quantity of cannabis, we need to add the Marginal External Cost (MEC) in the inverse supply equation. Therefore, the new inverse supply equation would be:PS = 1000 + 2Q + MECPS = 1000 + 2Q + (200 + Q)PS = 1200 + 3QNow, for the efficient solution, both PS and PD must be equal. Therefore, equate PS and PD to get:1200 + 3Q = 3000 – 3QSimplifying this equation further gives: 6Q = 1800Q = 300Substituting Q = 300 in either equation gives:P = 3000 – 3(300) = 900 CA$ per pound. Therefore, the socially optimal price of cannabis is 900 CA$ per pound, and the socially optimal quantity of cannabis is 300 thousand pounds.

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record the cash payment of wages assuming no reversing entries are recorded.

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The record of the cash payment of wages assuming no reversing entries are recorded is an essential step in the accounting process.

The entry for the cash payment of wages can be recorded as follows: Debit: Wages Expense Credit: Cash The debit to the Wages Expense account is an expense that is recognized when wages are paid to employees, while the credit to the Cash account is an outflow of cash for the same amount. The wages expense is recorded in the income statement, whereas the cash account is recorded in the balance sheet.

The cash payment of wages is given below:

Assuming no reversing entries are recorded, the cash payment of wages is recorded as follows:

Debit the Wages Expense account

The wages expense is an operating expense that is recognized when the wages are paid to the employees. The debit to the Wages Expense account increases the expense account, which reduces the net income of the company. For instance, if the company pays wages of $10,000, the entry would be

Debit: Wages Expense for $10,000

Credit: Cash for $10,000

Credit the Cash account

The cash account is an asset account that represents the cash balance of the company. The credit to the Cash account records the outflow of cash. For instance, if the company pays wages of $10,000, the entry would be: Debit: Wages Expense for $10,000Credit: Cash for $10,000The wages expense is an income statement account that reduces the net income of the company, while the cash account is a balance sheet account that reduces the cash balance of the company.

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Employees from different social classes may be impacted
differently by employer COVID 19 regulations and remote work
options.
Select one:
True
False

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True.  The statement "Employees from different social classes may be impacted differently by employer COVID-19 regulations and remote work options" is true.

The statement "Employees from different social classes may be impacted differently by employer COVID-19 regulations and remote work options" is true.What is COVID-19?COVID-19, also called novel coronavirus, is a pandemic that has spread to almost every part of the world, causing an outbreak of respiratory illness that is caused by the coronavirus. This virus can cause flu-like symptoms that range from mild to severe, which can lead to pneumonia, acute respiratory distress syndrome, organ failure, and even death.What are remote work options?Remote work options are flexible work arrangements that allow employees to work from home or any other location other than their traditional office environment. Remote work options are becoming more common, as technology advancements allow employees to work from any location with an internet connection.What is the impact of COVID-19 on different social classes?Employer COVID-19 regulations and remote work options may have varying impacts on different social classes of employees. Employees from different social classes may be impacted differently by employer COVID-19 regulations and remote work options. For example, employees from low-income households may have limited access to technology and the internet, which may make it more difficult for them to work remotely. They may also face difficulties in securing paid leave and accessing affordable healthcare facilities.In contrast, employees from high-income households may have better access to technology and the internet, which may make it easier for them to work remotely. They may also be able to afford healthcare and other essential services, which may reduce the impact of COVID-19 on their health and wellbeing.

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The interarrivals between last 50 customers that are coming to Şeref Petrol's gasoline station are as follows: Interarrival Time 3 minutes 4 minutes 5 Minutes 6 minutes between each customer Frequency 10 20 15 5 Based on the last 30 observations following table show the time it takes to get the oil for an arriving customer in minutes. 3 minutes 4 minutes 5 minutes Duration of getting the oil Frequency 13 12 15 Based on the two random inputs above, simulate a queuing system using the following random numbers: Random numbers for inter arrivals: 44, 30, 26,09, 49, 13, 33, 89, 13, 37 Random numbers for oil fill: 52, 78, 13, 06, 99, 98, 80, 09, 67, 89, 45

Answers

To simulate the queuing system using the given random numbers for inter-arrival times and oil fill durations, we can follow these steps:

1. Calculate the cumulative frequencies for the inter-arrival times and oil fill durations:

  Inter-arrival times:

  - Cumulative Frequencies: 10, 30, 45, 50

  Oil fill durations:

  - Cumulative Frequencies: 13, 25, 40, 55

2. Generate the random numbers for inter-arrival times (44, 30, 26, 09, 49, 13, 33, 89, 13, 37) and match them to the corresponding inter-arrival times based on the cumulative frequencies. For example, the first random number, 44, falls within the range of the cumulative frequencies 30 and 45, so the corresponding inter-arrival time would be 5 minutes.

3. Generate the random numbers for oil fill durations (52, 78, 13, 06, 99, 98, 80, 09, 67, 89, 45) and match them to the corresponding oil fill durations based on the cumulative frequencies. For example, the first random number, 52, falls within the range of the cumulative frequencies 40 and 55, so the corresponding oil fill duration would be 5 minutes.

4. Use the generated inter-arrival times and oil fill durations to simulate the queuing system. Start with an initial time of 0 minutes and add each inter-arrival time to the previous time to calculate the arrival time for each customer. Then, add the corresponding oil fill duration to the arrival time to calculate the completion time for each customer.

  Customer 1:

  - Arrival Time: 0 + 5 = 5 minutes

  - Completion Time: 5 + 5 = 10 minutes

  Customer 2:

  - Arrival Time: 10 + 4 = 14 minutes

  - Completion Time: 14 + 5 = 19 minutes

  Repeat this process for all the customers based on the generated inter-arrival times and oil fill durations.

Please note that the above steps provide a basic outline for simulating the queuing system. Depending on the specific requirements of the queuing model and the desired level of detail, additional considerations and calculations may be necessary.

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Read Eye on the Fed in a Crisis. Then answer the following question. What are the key differences in monetary policy between the Great Depression and the slow recovery from the 2008-2009 recession? During the Great Depression, the Fed During the slow recovery from the 2008-2009 recession, the Fed O A. injected reserves into the banks to offset the rise in currency holdings as people switched out of bank deposits; refused to reject reserves into the banks to offset their increased financial risk. O B. increased the money multiplier to 6.3; decreased the money multiplier to 3.3 C. increased the bank's reserve ratio from 8 percent to 12 percent, and increased the currency drain ratio from 9 percent to 19 percent; increased the bank's reserve ratio but left the currency drain ratio relatively constant O D. did not inject reserves into the banks and the quantity of money crashed; flooded banks with reserves, and M2 increased by 37.5 percent in the 5 years to August 2013

Answers

During the slow recovery from the 2008-2009 recession, the Federal Reserve (Fed) flooded banks with reserves, and M2 increased by 37.5 percent in the 5 years to August 2013. The correct option is D.

During the Great Depression, the Federal Reserve (Fed) refused to inject reserves into the banks to offset their increased financial risk.

Hence, the correct option is D. did not inject reserves into the banks, and the quantity of money crashed; flooded banks with reserves, and M2 increased by 37.5 percent in the 5 years to August 2013.During the Great Depression, the Federal Reserve failed to stabilize the money supply, causing a wave of bank failures.

The Fed did not inject reserves into the banks, causing the money supply to contract by a third. This led to a decrease in the demand for goods and services and a rise in the rate of unemployment, among other things. To make things worse, they refused to provide emergency credit to keep banks afloat.

As a result, the Great Depression lasted from 1929 to 1933. During the slow recovery from the 2008-2009 recession, the Fed took a variety of measures to stabilize the economy. They lowered interest rates to zero and kept them there for several years. They also began flooding banks with reserves, raising M2 by 37.5 percent between 2008 and 2013.  The correct option is D.

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Your company just launched a weight-loss beverage which is clinically proven to perform better than similar beverages in the market. The product is promoted at all the local sports clubs where athletes regularly visit. However, the sales are low. Based on the information provided, what do you think went wrong? O There is no market for weight-loss products anymore O They are not reaching their target audience O They are too expensive There are too many competitors

Answers

Based on the information provided, I think the most likely reason for the low sales of the weight-loss beverage is that the company is not reaching their target audience. The product is being promoted at local sports clubs, but athletes are not the only people who are interested in weight loss.

There are many other people who could benefit from a weight-loss beverage, such as people who are trying to lose weight for health reasons, people who are trying to lose weight for aesthetic reasons, and people who are trying to lose weight for both health and aesthetic reasons. The company needs to find a way to reach these other potential customers.

Here are some ideas for how the company can reach their target audience:

Promote the product online and in magazines that are read by people who are interested in weight loss.

Partner with gyms and other fitness centers to offer discounts on the product to their members.

Offer free samples of the product at events that are attended by people who are interested in weight loss.

Create a referral program that rewards customers for referring their friends and family to the product.

By reaching a wider audience, the company can increase sales of their weight-loss beverage.

Here are some other possible reasons for the low sales:

The product is too expensive.

There are too many competitors in the market.

The product is not as effective as the company claims.

However, based on the information provided, I think the most likely reason is that the company is not reaching their target audience.

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2. (20 pts) Two students, Alex and Bob, are working on their senior thesis, supervised by the same instructor. Each can choose a level of effort, ea or es, to put into the paper, which causes disutility of per unit of effort. Their grade will be assigned partly on a curve and partly on an absolute standard, giving them the following payoff function: Ua(easeb) = (a +7(ea - eb)) - ea, and similarly for Bob. (The square root term represents Alex's grade.) y is a parameter for the degree of curving. 2 (a) Solve for Alex's best response function. It should be a function of 7 and e. (Bob's will be the same (except as a function ea), since they have the same payoffs). (b) If there is no curve (y=0), how much effort will Alex choose in equilibrium? (c) Solve for the Nash Equilibrium of this game when y> 0. Also compute the resulting equilibrium payoff. Hint: The same hint applies as in question 1. After taking first-order con- ditions, you may assume that ea = e, in equilibrium. (d) As the instructor applies a stronger curve, will the equilibrium effort of the students rise or fall? Does the equilibrium grade rise or fall? Does equilibrium. utility rise or fall?

Answers

In this scenario, Alex and Bob are working on their senior thesis and can choose their level of effort, which affects their disutility and payoff.

(a) To find Alex's best response function, we need to maximize his payoff function Ua(ea, eb) with respect to ea, while assuming Bob's effort (eb) is fixed. Taking the derivative of Ua with respect to ea and setting it equal to zero.

(b) When there is no curve (y = 0), the equilibrium effort chosen by Alex will depend on the value of a. By setting the derivative of Ua with respect to ea equal to zero and solving for ea, we can find the equilibrium effort level in this case.

(c) To determine the Nash Equilibrium of the game when y > 0, we need to find the values of ea and eb at which both Alex and Bob's efforts are simultaneously optimal.

(d) As the instructor applies a stronger curve (increasing y), the equilibrium effort of the students is expected to fall. This is because a stronger curve makes it more challenging to achieve higher grades, reducing the incentive for both Alex and Bob to exert high effort.

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TRUE/FALSE. It is not possible to determine the objectivity of a new source

Answers

The statement "It is not possible to determine the objectivity of a new source" is FALSE.

Objectivity refers to the absence of bias or prejudice in research. To assess objectivity, scholars often evaluate the sources and use them to determine the accuracy and reliability of the information. As a result, it is possible to determine the objectivity of a new source. It is recommended that researchers use credible and reputable sources to conduct their research and avoid those that are known for bias or partiality.

Therefore this statement is false.

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Frey Company, a shoe manufacturer, has been offered an opportunity to receive the following mixed stream of cash flows over the next 5 years. End of year Cash flow $400 800 500 400 300 If the firm must earn at least 9% on its investments, what is the most it should pay for this opportunity?

Answers

The maximum amount Frey Company should pay for the opportunity  is $1,514.56. This is calculated by discounting each cash flow at a rate of 9% and summing them up.

To determine the maximum amount Frey Company should pay for the opportunity, we need to calculate the present value of the cash flows at a required rate of return of 9%. The present value of each cash flow can be calculated using the formula:

PV = CF / (1 + r)^n

Where PV is the present value, CF is the cash flow, r is the discount rate, and n is the number of periods.

Using this formula, we calculate the present value for each cash flow:

PV1 = $400 / (1 + 0.09)^1 = $366.97

PV2 = $800 / (1 + 0.09)^2 = $657.02

PV3 = $500 / (1 + 0.09)^3 = $385.54

PV4 = $400 / (1 + 0.09)^4 = $279.64

PV5 = $300 / (1 + 0.09)^5 = $225.39

Next, we sum up the present values of all the cash flows to find the maximum amount that Frey Company should pay:

Maximum amount = PV1 + PV2 + PV3 + PV4 + PV5

= $366.97 + $657.02 + $385.54 + $279.64 + $225.39

= $1,514.56

Therefore, the most Frey Company should pay for this opportunity is $1,514.56 in order to earn at least a 9% return on its investments.

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Examine the following statements and determine if they are normative or positive in nature. Explain your answer. a. Bitcoins are overvalued. b. The level of public debt in the US is unsustainable. c. The CPI index rose 5.4% for the 12 months ending in July 2021.

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In the given examples, statements a and b express opinions and value judgments, making them normative, while statement c provides an objective fact, making it positive.

a. The statement "Bitcoins are overvalued" is normative because it expresses an opinion or subjective judgment about the value of bitcoins. It reflects a personal belief or evaluation rather than a verifiable fact.

b. The statement "The level of public debt in the US is unsustainable" is normative as it expresses a judgment about the desirability or feasibility of the current level of public debt. It involves value judgments and subjective opinions about what is considered sustainable.

c. The statement "The CPI index rose 5.4% for the 12 months ending in July 2021" is positive because it presents a verifiable fact based on objective data. It describes an actual increase in the Consumer Price Index (CPI) without any value judgments or subjective opinions. It is a statement of what has occurred without expressing any evaluative stance.

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9. use the below table for all question
(a)Barb Muller wins the lottery. She wins $20,000 per year to be
paid for 10 years. The state offers her the choice of a cash settlement now instead o
Future Value of $1 Per. 1% 2% 3% 4% 5% 6% 7% 8% 9% 10% 11% 1 1.010 1.030 1.040 1.050 1.060 1.070 1.080 1.090 1.100 1.120 2 1.020 3 1.030 4 1.041 1.020 1.040 1.061 1.061 1.093 1.082 1.126 1.170 1.051 1

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The given table shows the future value of $1 per year for various interest rates ranging from 1% to 11%. The future value of $1 represents the value of receiving $1 in the future based on the given interest rate.

Based on the given table, we can observe that as the interest rate increases, the future value of $1 also increases. This implies that the higher the interest rate, the greater the future value of a given amount of money. Understanding the concept of future value is important in various financial calculations. It helps in determining the worth of future cash flows, such as investments, loans, annuities, or lottery winnings. By multiplying the future value factor from the table by the amount of money involved, we can calculate the future value of a sum of money over a given time period.

For example, in Barb Muller's case, if she chooses to receive $20,000 per year for 10 years, she can calculate the future value of this stream of cash flows using the appropriate interest rate from the table. By multiplying the future value factor corresponding to the interest rate by $20,000, she can determine the total future value of the cash flows.

It is worth noting that the future value factor represents the time value of money, which accounts for the potential earning power of invested funds or the cost of borrowing. The higher the interest rate, the more valuable future cash flows become, as they have the potential to earn or accrue more interest over time. Therefore, understanding the future value concept and using the appropriate interest rate is crucial in financial decision-making and planning.

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P10-31A ASSUME THAT YOU ARE CONSIDERING PURCHASING SHARES AS AN INVESTMENT. YOU HAVE NARROWED THE CHOICE TO TWO INTERNET FIRMS, VIDEO.COM INC. AND ON-LINE EXPRESS LTD. AND HAVE ASSEMBLED THE FOLLOWING DATA.
SELECTED INCOME STATEMENT DATA FOR CURRENT YEAR:

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It is advisable to invest in Video.com Inc. as it has better performance compared to On-line Express Ltd

Given Income Statement Data for current year: Particulars Video.com Inc. On-line Express Ltd. Revenues $5,300,000 $8,200,000 Gross Profit $3,300,000 $4,500,000 Net Income $1,600,000 $2,000,000 Total Assets $7,800,000 $10,600,000 Shareholders’ Equity $3,200,000 $4,600,000Required:As an investor, which company would you choose to invest in? Why?1) Calculation of Return on Assets (ROA):ROA = Net Income/Total Assets(a) ROA for Video.com Inc. = $1,600,000/$7,800,000 = 0.205(b) ROA for On-line Express Ltd. = $2,000,000/$10,600,000 = 0.1882) Calculation of Return on Equity (ROE):ROE = Net Income/Shareholders' Equity(a)

ROE for Video.com Inc. = $1,600,000/$3,200,000 = 0.5(b) ROE for On-line Express Ltd. = $2,000,000/$4,600,000 = 0.44Based on the ROA and ROE calculations, Video.com Inc. seems to be a better investment option than On-line Express Ltd. because it has a higher return on both assets and equity.

In conclusion, it is advisable to invest in Video.com Inc. as it has better performance compared to On-line Express Ltd.

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ou are thinking about buying a car, and a local bank is willing to lend you $212,440 to buy it. Under the terms of the loan, it will be fully amortized over 2 years (24 months), and the nominal rate of interest is 12 percent with interest paid monthly. What would be the monthly payment on the loan? S monthly (write approximate number without fractions). 4 Which amount is worth more at 14 percent.compounded annually: [ (write the number of the right answer either 1 or 2 or3) 1 $1,000 in hand today 2 or $3,500 due in 6 years 3 or 5000S due in 10 years?

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1. The monthly payment on the loan is $11,121.93.

2. The amount worth more at 14% compounded annually is $3,500 due in 6 years (Option 2)

1. Monthly payment on the loan

Loan amount, PV = $212,440

Nominal rate of interest, r = 12% per annum

No of years, n = 2 years

Monthly rate of interest, i= 1% (nominal rate/12)

Using the formula for the monthly payment for a fully amortized loan:

Monthly payment =  [r(PV)] / [1 - (1 + i)⁻ⁿ]

Substituting the values in the above formula,Monthly payment =  [(12/100) × 212,440] / [1 - (1 + 1%)⁻²⁴]= $11,121.93 (approximately)

Therefore, the monthly payment on the loan is $11,121.93 (approximately).

2. We need to compare the present value of $1,000, $3,500 due in 6 years and $5,000 due in 10 years using the formula:

PV = FV / (1 + r)ⁿ

Where,PV is the present value of money

FV is the future value of money, r is the interest rate, n is the number of periods

1. Present value of $1,000 at 14% per annum compounded annually,n = 0, FV = $1,000PV = $1,000 / (1 + 14%)⁰= $1,000 / 1= $1,0002.

Present value of $3,500 due in 6 years at 14% per annum compounded annually,n = 6, FV = $3,500PV = $3,500 / (1 + 14%)⁶= $2,030.01 (approx)

Present value of $5,000 due in 10 years at 14% per annum compounded annually,n = 10, FV = $5,000PV = $5,000 / (1 + 14%)¹⁰= $1,569.11 (approx)

Therefore, the amount worth more at 14% compounded annually is $3,500 due in 6 years (Option 2).

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Illustration: Nabiha and Abdullah are partners in SARA Accounting Consultancy Partnership business. Their respective capital balances are 71,000 and 41,000, and they share profits and losses equally.

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The new capital balances for Nabiha and Abdullah are $86,000 and $56,000, respectively.

To illustrate the capital balances and profit sharing in the partnership business of Nabiha and Abdullah, we can create a simple table:

Partners | Capital Balance---------|----------------

Nabiha   | $71,000Abdullah | $41,000

Since Nabiha and Abdullah share profits and losses equally, we can assume that they have an equal ownership percentage in the partnership.

Now, let's assume that at the end of the accounting period, the partnership has generated a net profit of $30,000.

calculate the profit share for each partner:

Total Profit: $30,000

Nabiha's Profit Share: $30,000 / 2 = $15,000

Abdullah's Profit Share: $30,000 / 2 = $15,000

To distribute the profits, we add the profit share to each partner's capital balance:

Updated Capital Balances:

Nabiha: $71,000 (existing capital) + $15,000 (profit share) = $86,000Abdullah: $41,000 (existing capital) + $15,000 (profit share) = $56,000

This illustration shows the initial capital balances of the partners and the distribution of equal profits, resulting in updated capital balances for each partner. The profit share and capital balances can change with each accounting period based on the partnership's performance and any additional capital contributions or withdrawals made by the partners.

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the sum of the frictional and structural rates of unemployment is the:

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The sum of the frictional and structural rates of unemployment is called the natural rate of unemployment. Its level varies by country and over time, and it is generally estimated to be between 4% and 6% in developed economies.

The natural rate of unemployment is the sum of frictional and structural unemployment rates. It refers to the amount of unemployment that exists when the labour market is in equilibrium and does not have inflationary or deflationary pressures. It's also known as the non-accelerating inflation rate of unemployment (NAIRU).A certain level of frictional unemployment is healthy for an economy since it implies that people are temporarily unemployed as they switch to new careers or locations. Structural unemployment is caused by changes in the economy or industry that have resulted in certain jobs becoming obsolete, resulting in a mismatch between the supply and demand for labour. When this occurs, it might take a while for the unemployed individuals to retrain or find new jobs to suit their skills. The natural rate of unemployment should not be confused with cyclical unemployment, which is caused by changes in economic activity and frequently linked to business cycles. This kind of unemployment is temporary and fades away as the economy recovers.Overall, the natural rate of unemployment is determined by the economy's structural characteristics and demographic factors. It is not affected by monetary policy or other short-term economic policy actions. Its level varies by country and over time, and it is generally estimated to be between 4% and 6% in developed economies.

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Assume that you are the Scrum Master for a project being executed using Agile Scrum methodology. The project is planned to be executed in 6 sprints of 4 weeks each. You are currently in the Sprint Planning stage for the first sprint. What are the possible risks you would identify? List any five significant risks. What are the possible mitigation actions you would plan for each of those identified risks? [6 marks] Options

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As the Scrum Master for a project that is being executed using Agile Scrum methodology, here are the possible risks that could be identified during the Sprint Planning stage for the first sprint:1. Scope Creep: This could happen if there is a constant change in requirements during the sprint. Mitigation: Scope creep can be mitigated by closely monitoring changes and ensuring that they are properly managed. The scrum master can work with the product owner to prioritize changes so that the most important ones are addressed first.

.2. Unrealistic Timeframes: There is a risk of not completing tasks within the allocated timeframes, which could lead to project delays. Mitigation: Unrealistic timeframes can be mitigated by breaking down tasks into smaller pieces, and estimating more accurately. This can be done by involving the entire team in estimating each task.3. Team Performance: There is a risk of team members not performing to the expected standard. Mitigation: Team performance can be mitigated by identifying the root cause of the issue and finding ways to address it. This could involve training and development, or even reassigning roles.4. Quality of Deliverables: There is a risk of delivering low-quality products. Mitigation: This can be mitigated by involving the product owner and stakeholders in the review of each deliverable. Regular feedback can be solicited to ensure that the quality of the deliverables is high.5. Dependencies: There is a risk of dependencies that could impact the sprint. Mitigation: Dependencies can be mitigated by closely monitoring them, and working with the necessary stakeholders to ensure that they are addressed promptly.

The mitigation actions that can be planned for each of the identified risks include closely monitoring, working with stakeholders, involving the product owner and stakeholders, breaking down tasks, estimating more accurately, reassigning roles, training and development, and regular feedback.

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The computation to determine income tax payable is not impacted by temporary differences or permanent differences. (True/False)
Assuming a company has a temporary difference, the deferred tax will be disclosed on both the balance sheet and income statement. (True/False)

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False. The computation to determine income tax payable is impacted by temporary differences and permanent differences.

Temporary differences, which arise due to differences in timing between taxable income and accounting income, affect the calculation of taxable income and, consequently, the amount of income tax payable. Permanent differences, on the other hand, are differences that exist between taxable income and accounting income that will never reverse, and they are not included in the computation of taxable income.

Assuming a company has a temporary difference, the deferred tax related to that difference will be disclosed on the balance sheet. The deferred tax asset or liability represents the future tax consequences of temporary differences and is reported as a separate line item on the balance sheet. However, the deferred tax is not typically disclosed on the income statement. The income statement reflects the current period's tax expense, which includes the current tax payable and any changes in deferred tax balances during the period.

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Five Measures of Solvency or Profitability The balance sheet for Quigg Inc. at the end of the current fiscal year indicated the following: Bonds payable, 7% $800,000 Preferred $10 stock, $100 par 134,

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Solvency and profitability are two important aspects of a company's financial stability and sustainability. There are several measures that can be used to assess a company's solvency and profitability.

The following are five measures of solvency or profitability:

1. Debt-to-equity ratio: This ratio is used to determine the proportion of a company's financing that comes from debt versus equity. It is calculated by dividing total debt by total equity. A lower ratio indicates that the company is relying less on debt financing and has a stronger financial position.

2. Interest coverage ratio: This ratio is used to determine a company's ability to cover its interest payments with its earnings before interest and taxes (EBIT). It is calculated by dividing EBIT by interest expenses. A higher ratio indicates that the company is more capable of servicing its debt.

3. Return on equity (ROE): This ratio is used to determine the amount of profit a company generates for each dollar of equity invested by shareholders. It is calculated by dividing net income by shareholders' equity. A higher ratio indicates that the company is more profitable and efficient in generating returns for its shareholders.

4. Current ratio: This ratio is used to determine a company's ability to pay off its current liabilities with its current assets. It is calculated by dividing current assets by current liabilities. A higher ratio indicates that the company has a stronger liquidity position and is better able to meet its short-term obligations.

5. Gross profit margin: This ratio is used to determine the amount of profit a company generates from its sales after deducting the cost of goods sold. It is calculated by dividing gross profit by total revenue. A higher ratio indicates that the company is more efficient in generating profits from its sales and has a stronger financial position overall. In the given example, the solvency and profitability of Quigg Inc. can be assessed using these measures. However, more information is needed about the company's financials to provide a more comprehensive analysis.

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For the grocery store the number of existing customers retained for each year is given below. What is the churn in 2014 taking 2013 as the base year? Year 2011 2012 2013 2014 2015 No. of existing customers retained 250 205 210 189 205 (in thousands) 5% -10% 0% 10%

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The churn in 2014, taking 2013 as the base year, is 10%.

What is the percentage of churn in 2014?

In 2014, the grocery store experienced a churn rate of 10%. This means that 10% of the existing customers from 2013 did not continue their patronage in 2014. The churn rate is calculated by taking the difference between the number of customers retained in the current year and the number of customers from the previous year, divided by the number of customers from the previous year, and multiplying by 100.

In this case, the number of customers retained in 2014 was 189, compared to 210 in 2013. The formula for calculating churn is: (189 - 210) / 210 * 100 = -10%. However, since churn represents the percentage of customers lost, we take the absolute value of -10% to get the churn rate of 10%.

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An engineering firm recently conducted a study to determine its benefit (B)and cost. (C) structure. The results of the study are as follows: B(Y)=300Y-6Y² C(Y)=4Y² 4 So that MB = 300 - 12Y and MC = 8Y. You have been asked to determine the maximum level of net benefits and the level of Y that will yield that result.

Answers

The maximum level of net benefits is $3150, and it occurs when y = 15.

to determine the maximum level of net benefits and the corresponding level of y, we need to find the point where the marginal benefit (mb) equals the marginal cost (mc). this occurs when mb = mc.

given:mb = 300 - 12y

mc = 8y

setting mb equal to mc:

300 - 12y = 8y

to solve for y, let's rearrange the equation:

300 = 8y + 12y

300 = 20y

dividing both sides by 20:

y = 300/20

y = 15

so, the level of y that will yield the maximum net benefits is 15.

to find the maximum level of net benefits, we substitute the value of y into the net benefit function:

b(y) = 300y - 6y²

b(15) = 300(15) - 6(15)²

b(15) = 4500 - 6(225)

b(15) = 4500 - 1350

b(15) = 3150

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what is the profit-maximizing quantity of bats (note the values for mr and mc)?

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The profit-maximizing quantity of bats is the point where marginal revenue (MR) equals marginal cost (MC).

In other words, the optimal quantity of bats to produce and sell is the point where the additional revenue earned from selling one more bat (MR) is equal to the additional cost of producing one more bat (MC). At this point, the firm is maximizing its profits.

To determine the profit-maximizing quantity of bats, the firm needs to calculate its marginal revenue and marginal cost. Marginal revenue is the change in total revenue from selling one additional unit of output, while marginal cost is the change in total cost from producing one additional unit of output. Once the firm has calculated its MR and MC values, it can identify the quantity of bats that maximizes its profits. Specifically, the firm should produce and sell the quantity of bats where MR equals MC. If the MR of producing and selling an additional bat is greater than its MC, the firm should continue producing and selling more bats until MR equals MC. At this point, the firm is maximizing its profits. On the other hand, if the MC of producing and selling an additional bat is greater than its MR, the firm should decrease production and sales until MR equals MC. In summary, the profit-maximizing quantity of bats is the point where MR equals MC. By producing and selling this quantity of bats, the firm can maximize its profits.

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