Consider the following benefit and cost functions for the abatement level(A) necessary to achieve the maximum contaminant level(MCL for some identified drinking water pollutant, where all benefit and cost values are measured in millions of dollars, and A is measured in percent. TSB =45A- 0.25A2 TSC =24A +0.10A2 a. Using the pre-1996 benefit-based criterion for drinking water standards find the level of abatement that will maximize total social benefits (TSB). b. Based on the benefit-cost criterion in the 1996 SDWA,find the maximum level of abatement that will ensure positive net benefits c. What level of abatement will maximize the net social benefits?

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Answer 1

a. To maximize total social benefits (TSB), we need to find the abatement level (A) that corresponds to the maximum point on the TSB curve. To do this, we take the derivative of TSB with respect to A and set it equal to zero:

TSB = 45A - 0.25A^2

dTSB/dA = 45 - 0.5A = 0

A = 90

Therefore, the abatement level that will maximize total social benefits is 90%.

b. To find the maximum level of abatement that will ensure positive net benefits, we need to find the abatement level where the difference between total social benefits (TSB) and total social costs (TSC) is greatest. This is equivalent to finding the abatement level that maximizes net social benefits (NSB), which is given by:

NSB = TSB - TSC

NSB = (45A - 0.25A^2) - (24A + 0.10A^2)

NSB = 21A - 0.35A^2

To find the maximum point on the NSB curve, we take the derivative of NSB with respect to A and set it equal to zero:

dNSB/dA = 21 - 0.7A = 0

A = 30

Therefore, the maximum level of abatement that will ensure positive net benefits is 30%.

c. To maximize net social benefits (NSB), we need to find the abatement level (A) that corresponds to the maximum point on the NSB curve. We already found that this occurs at A = 30%. Therefore, the abatement level that will maximize net social benefits is 30%.

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suppose you pay $9,700 for a treasury bill maturing in six months. what is the effective annual rate of return for this investment?

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To calculate the effective annual rate of return for a treasury bill, we need to use the following formula:

Effective Annual Rate (EAR) = [1 + (Nominal rate/m)]^m - 1

Where, m = the number of times the interest is compounded in a year

For treasury bills, the nominal rate is the discount rate, which is the difference between the face value and the purchase price.

In this case, the face value of the treasury bill is not given. So, let's assume it to be $10,000 for simplicity.

Thus, the discount rate is $10,000 - $9,700 = $300.

Since a treasury bill has a maturity of 6 months, it will be compounded twice in a year. So, m = 2.

Plugging in the values, we get:

EAR = [1 + ($300/9700)]^2 - 1

EAR = 0.0625 or 6.25%

Therefore, the effective annual rate of return for this investment is 6.25%.

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Please provide a literature review on layout planning strategies. What are the similarities and differences between the methods that we have covered

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Layout planning strategies are used to determine the most effective arrangement of resources, equipment, and facilities within a physical space.

There are several layout planning strategies that have been developed and studied in the literature, including process-oriented layout, product-oriented layout, cellular layout, and fixed-position layout.

Resources are anything that can be used to produce goods or services that satisfy human needs and wants. They can be natural, human-made or human resources. Natural resources are raw materials that come from the environment such as minerals, forests, and water. Human-made resources are created by humans to satisfy their needs such as tools, machinery, and factories. Human resources are people who contribute to the production of goods and services.

Resources can also be classified as renewable or nonrenewable. Renewable resources are those that can be replenished over time such as solar power, wind power, and forests. Nonrenewable resources are finite and cannot be replenished such as oil, coal, and natural gas. The efficient use of resources is essential for economic growth and sustainability. Governments, businesses, and individuals must use resources responsibly to ensure their availability for future generations.

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Complete Question:

Please provide a literature review on layout planning strategies. What are the similarities and differences between the methods that we have covered? Discuss

arnold asked his employees to consider all their actions in light of whether they will maximize pleasure and minimize pain. arnold is telling his employees to follow the categorical imperative. group startstrue or false

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False.Arnold is not telling his employees to follow the categorical imperative. Rather, he is urging them to follow the principle of Utilitarianism.

 Utilitarianism is a moral philosophy that suggests an action is good if it results in the greatest amount of pleasure for the greatest number of people, while minimizing pain. The principle of the categorical imperative, on the other hand, is a moral philosophy introduced by Immanuel Kant that states that people should act only according to that maxim which they can will to be a universal law.

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if the procedures for incorporation are not followed precisely, others may be able to challenge the existence of the corporation. true false

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The given statement "If the procedures for incorporation are not followed precisely, it may lead to a challenge of the existence of the corporation" is true because incorporation is the legal process of creating a corporation, and it involves following specific guidelines and requirements set forth by the state in which the corporation is established.

Failure to follow these procedures could result in the corporation not being recognized as a separate legal entity, making it vulnerable to legal challenges and potentially putting the personal assets of the corporation's owners at risk. For example, if the required documents are not filed correctly or on time, the state may reject the corporation's application, and the corporation may not be legally recognized.

Similarly, if the corporation fails to hold annual meetings or keep accurate records, it could be subject to legal challenges, and the corporation's status could be revoked. In summary, it is crucial to follow all the legal procedures required for incorporation precisely to ensure the corporation's existence and protection.

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A steering committee works especially well with this particular IT governance archetype. a) Business monarchy b) IT monarchy c) Feudal d) Federal

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A steering committee works especially well with the Federal IT governance archetype. This is the correct option among the choices provided.

The Federal IT governance archetype involves a decentralized structure where decision-making authority is distributed among multiple stakeholders. In this archetype, a steering committee plays a crucial role in facilitating coordination and collaboration among different stakeholders. The steering committee typically consists of representatives from various departments or business units, as well as IT leaders, and it helps in aligning IT initiatives with the overall organizational goals. It ensures that decisions regarding IT governance are made collectively, considering the perspectives and needs of different stakeholders. The steering committee helps in fostering transparency, accountability, and effective communication in the governance process.

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the financial statement that explains how a firm's cash changed from the beginning of the accounting period to the end is called the

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The financial statement that explains how a firm's cash changed from the beginning of the accounting period to the end is called the cash flow statement.


The cash flow statement is one of the three primary financial statements used by companies to report their financial performance to stakeholders. It provides an overview of the cash inflows and outflows of a company during a specific period of time, typically a quarter or a year. The cash flow statement is important because it shows how much cash a company has generated or used during the period and provides insights into the company's ability to fund its operations, pay dividends, invest in growth opportunities, and pay off debt.

It is divided into three sections: Operating Activities, Investing Activities, and Financing Activities. By analyzing the Cash Flow Statement, stakeholders can understand how the company generates and uses its cash resources.

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7. assume ann will make the required monthly payment every month for 30 years. (7.a) how much home equity will ann have after 10 years (120 months) of payments under each of the four scenarios? (7.b) after 30 years?

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To determine the home equity Ann will have after 10 years and 30 years of making required monthly payments under each of the four scenarios.

We need to know the initial loan amount, interest rate, and monthly payment for each scenario. Assuming Ann makes the required monthly payment every month for 30 years, her home equity after 10 years will depend on how much of the principal she has paid down. After 10 years, Ann will have made 120 payments on the loan. To calculate the home equity after 10 years, we need to subtract the outstanding loan balance from the current market value of the home.

Similarly, after 30 years, Ann will have made 360 payments on the loan. To calculate the home equity after 30 years, we need to subtract the outstanding loan balance from the current market value of the home.

Without knowing the specific details of each scenario, it is difficult to provide a specific answer to this question. However, assuming that all other factors are equal and only the interest rate varies between the scenarios, Ann's home equity after 10 years and 30 years will be highest under the scenario with the lowest interest rate and lowest under the scenario with the highest interest rate.

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roberto, incorporated manufactures products a and b. both products have a contribution margin ratio of 40%. information about both products follows. product a product b selling price per unit $ 20 $ 15 variable cost per unit 12 9 contribution margin per unit $ 8 $ 6 labor time 4 minutes 2 minutes assume that labor time is the constrained resource and only a total of 3,000 minutes is available. product a has a total demand of 500 units and product b has a total demand for 600 units. considering the constraint, how many units of product b should be produced to maximize profits?

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To maximize profits given a labor time constraint of 3,000 minutes and demand for 500 units of product A and 600 units of product B, the company should produce 500 units of product A and 1,000 units of product B.

    The contribution margin per unit is the difference between the selling price per unit and the variable cost per unit. In this case, both products have a contribution margin ratio of 40%, meaning that 40% of each unit's selling price contributes to covering fixed costs and generating profits. However, since labor time is the constrained resource, we need to consider the amount of time each product takes to produce.

Product A takes 4 minutes of labor time per unit and has a total demand of 500 units. This means that producing all 500 units of product A would require a total of 2,000 minutes of labor time (4 minutes per unit x 500 units). This leaves 1,000 minutes of labor time available to produce product B.

Product B takes 2 minutes of labor time per unit and has a total demand of 600 units. Since there is only 1,000 minutes of labor time available, the company can only produce up to 500 units of product B (2 minutes per unit x 500 units = 1,000 minutes). Therefore, to maximize profits, the company should produce 500 units of product A and 1,000 units of product B, which would result in a total contribution margin of $14,000 (500 units of product A x $8 contribution margin per unit + 1,000 units of product B x $6 contribution margin per unit).

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avocado company has an operating income of $104,000 on revenues of $1,091,000. average invested assets are $500,000 and avocado company has an 8ost of capital. what is the residual income?

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The residual income for Avocado Company is $64,000.

To calculate the residual income, we need to subtract the cost of capital from the operating income. The cost of capital is calculated by multiplying the average invested assets by the cost of capital rate. Let's calculate the residual income for Avocado Company:

Cost of Capital = Average Invested Assets * Cost of Capital Rate

Cost of Capital = $500,000 * 8% = $40,000

Residual Income = Operating Income - Cost of Capital

Residual Income = $104,000 - $40,000 = $64,000

Therefore, the residual income for Avocado Company is $64,000.

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what is the price of a prepaid forward contract that expires 1 year from today, immediately after the fourth-quarter dividend?

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The price of a prepaid forward contract that expires 1 year from today, immediately after the fourth-quarter dividend, depends on the underlying asset and its expected future cash flows.

Prepaid forward contract prices depend on the expected future cash flows of the underlying asset, which include any future dividends. If the fourth-quarter dividend is expected to be significant, the price of the contract may be impacted. Other factors, such as interest rates and volatility, may also impact the price of the contract. It's important to consider all these factors when pricing a prepaid forward contract.  

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last year the monroe logistics company reported 4,000 damaged deliveries, 1,000 deliveries to the wrong address, 500 late deliveries, and 200 deliveries billed incorrectly. assuming no delivery had more than one error, and 40,000 orders were delivered, what is the percent perfect orders (rounded to nearest first decimal (i.e. xx.x %)?

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The percentage of perfect orders is 85.8%.

To calculate the percent of perfect orders, we need to subtract the number of erroneous deliveries from the total number of orders and then divide it by the total number of orders. Finally, we multiply the result by 100 to express it as a percentage.

Number of perfect orders = Total orders - (Number of damaged deliveries + Number of deliveries to the wrong address + Number of late deliveries + Number of deliveries billed incorrectly)

Number of perfect orders = 40,000 - (4,000 + 1,000 + 500 + 200)

Number of perfect orders = 34,300

Percent of perfect orders = (Number of perfect orders / Total orders) * 100

Percent of perfect orders = (34,300 / 40,000) * 100

Percent of perfect orders ≈ 85.75%

Rounded to the nearest first decimal, the percentage of perfect orders is 85.8%.

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kayla is a speculator in the market for a rare french goat cheese known as crottin de chavignol. she entered into a futures contract with farmers from the small town of chavignol, where the cheese is produced. the futures contract specifies that after 45 months, kayla will purchase 2000 kilograms (kg) of crottin de chavignol at $ 250 /kg. when the specified number of months has passed, the price of crottin de chavignol is $ 280 /kg. what is kayla's profit per kilogram? please denote losses with a negative sign.

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Kayla's profit per kilogram is $30.

To calculate Kayla's profit per kilogram, we need to compare the purchase price specified in the futures contract with the current market price.

Purchase price specified in the futures contract = $250/kg

Current market price = $280/kg

Since the current market price is higher than the purchase price specified in the futures contract, Kayla stands to make a profit.

Profit per kilogram = Current market price - Purchase price specified in the futures contract

= $280/kg - $250/kg

= $30/kg

Therefore, Kayla's profit per kilogram is $30.

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What is the struggle among various producers for the consumer's business called?
A. Socialism B. Competition C. Incentive D. Self regulation

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The struggle among various producers for the consumer's business is called competition. The correct option is b.

Competition refers to the rivalry or contest that exists among different producers or businesses to attract consumers and secure their business. It is a fundamental aspect of market economies and plays a significant role in shaping the dynamics of industries and driving innovation. Competition arises when multiple producers offer similar or substitute products or services to cater to consumer demands and preferences.

In a competitive market, producers strive to differentiate their offerings, improve their products or services, and provide better value to consumers in order to gain a competitive edge. They may employ various strategies such as price reductions, product enhancements, marketing campaigns, or customer service improvements to attract and retain customers. This competitive environment fosters efficiency, encourages innovation, and ensures that consumers have choices and access to better quality products at competitive prices.

Competition also serves as a self-regulating mechanism within markets. The pursuit of consumers' business incentivizes producers to meet consumer needs, respond to changing market conditions, and continuously improve their offerings. The presence of competition can help prevent monopolistic practices, as it provides a check and balance on the power of individual producers or companies. Through competition, consumers have the freedom to make choices based on their preferences, and producers are motivated to provide the best possible products and services to meet those preferences and gain a competitive advantage.

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a general rule for staffing a registration area is to provide

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A general rule for staffing a registration area is to provide adequate personnel to handle the expected volume of visitors efficiently and effectively.

When staffing a registration area, it is essential to consider the expected volume of visitors and ensure that there are enough personnel to handle the registration process smoothly. This involves assessing factors such as the size of the event, historical attendance data, peak times, and any special circumstances that may affect registration demand.

Having adequate personnel helps minimize wait times, prevents bottlenecks, and ensures a positive visitor experience. It allows staff members to efficiently process registrations, answer questions, provide assistance, and address any issues that may arise. Adequate staffing also enables staff to handle unexpected situations or surges in registration activity effectively.

Determining the optimal number of staff members for a registration area requires balancing operational efficiency with budgetary considerations. It is important to allocate resources effectively to ensure a smooth registration process without unnecessary staffing costs.

To provide a satisfactory registration experience, it is crucial to follow the general rule of staffing a registration area with adequate personnel based on the expected volume of visitors. By doing so, event organizers can ensure efficient and effective registration processing, enhance visitor satisfaction, and create a positive overall experience for attendees.

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When a student (or employee) comes to class (or work) sick, they impose a negative externality on their classmates (or coworkers).c. Explain how there are negative externalities here.d. Come up with another behavior that has an associated externality, where the behavior is either (a) something that students do in class or (b) something to do with health related issues.

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c. The presence of a sick student or employee in class or at work creates negative externalities because their illness can spread to others, resulting in potential health risks and decreased productivity. This imposes costs on their classmates or coworkers who may contract the illness, experience decreased well-being, or need to take time off to recover. The sick individual may not fully account for these costs when deciding to attend class or work while unwell, leading to an inefficient outcome.

When a sick individual attends class or work, they may cough, sneeze, or have poor hygiene practices, increasing the likelihood of spreading their illness to others. This can lead to absenteeism, reduced concentration, and lower overall productivity among classmates or coworkers. Additionally, it may create a negative work or learning environment, as individuals may feel anxious or uncomfortable due to the risk of getting sick.

d. Another behavior with associated externalities related to health could be excessive cellphone use during class or work hours. When students constantly use their cellphones in class, it can distract others and disrupt the learning environment. This behavior imposes negative externalities on classmates, as their attention and engagement may be hindered, affecting their ability to grasp the material or participate in class discussions. Similarly, in a work setting, excessive cellphone use can reduce productivity and cooperation among coworkers, impacting overall efficiency and potentially leading to a decrease in the quality of work output.

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If GM transferred Karl Hammer, a native German, away from his assignment in Bonn to a new assignment in Paris, Karl would then be considered a:home-country national.host-country national.third-country national.home-host-country national.

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If GM transferred Karl Hammer, a native German, away from his assignment in Bonn to a new assignment in Paris, Karl would then be considered a third-country national.

This is because he is neither a home-country national nor a host-country national.

A home-country national refers to an employee who works in their own country, so in this case, Karl would be a home-country national if he remained in Germany. On the other hand, a host-country national is an employee who is a native of the country where the foreign subsidiary is located. In this scenario, a French employee working in Paris would be considered a host-country national.

As Karl is moving from Germany to France for his new assignment, he does not fit into either of these categories. Instead, he is considered a third-country national, which means that he is an employee from a country different from both the home country and the host country of the multinational company (in this case, GM). This classification is important for organizations, as it impacts various aspects like work policies, compensation, and management practices when dealing with international assignments.

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the existence of economies of scale suggests that group of answer choices licensing local firms in the foreign market is preferable to exporting. foreign direct investment (fdi) is a complement to exporting. exporting can be preferable to fdi. inherent disadvantages cannot be fully overcome.

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The existence of economies of scale suggests that licensing local firms in the foreign market is preferable to exporting. Licensing allows firms to leverage the expertise and resources of local partners to establish a presence in foreign markets.

This can result in cost savings and operational efficiencies that are not possible through exporting alone. By allowing local partners to produce and distribute products under license, firms can benefit from economies of scale, such as lower production costs, improved distribution channels, and increased brand recognition in the foreign market. Licensing also allows firms to avoid the high costs associated with establishing and maintaining a physical presence in foreign markets, such as legal and regulatory compliance, administrative overhead, and market research expenses. Foreign direct investment (FDI) is another option for firms seeking to expand into foreign markets. FDI involves establishing a physical presence in a foreign market, such as setting up a subsidiary or acquiring an existing local firm. While FDI can provide firms with greater control over their operations in foreign markets, it also comes with inherent disadvantages, such as higher capital costs and increased regulatory and legal risks. Exporting can also be a viable option for firms seeking to expand into foreign markets, particularly for smaller firms that do not have the resources to engage in licensing or FDI. Ultimately, the choice between these different strategies will depend on a range of factors, including the firm's size, resources, and strategic objectives.

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the income elasticity of demand for jewelry is 2. other things equal, a 10% increase in consumer income will question 73 options: a) decrease the quantity of jewelry purchased by 5%. b) increase the quantity of jewelry purchased by 20%. c) decrease the quantity of jewelry purchased by 20%. d) increase the quantity of jewelry purchased by 5%.

Answers

The correct answer is b) increase the quantity of jewelry purchased by 20%.

The income elasticity of demand measures the responsiveness of quantity demanded to changes in income. A positive income elasticity value indicates a normal good, where an increase in income leads to an increase in demand. In this case, the income elasticity of demand for jewelry is given as 2. If consumer income increases by 10%, we can calculate the change in quantity demanded using the income elasticity formula:

% change in quantity demanded = income elasticity * % change in income

% change in quantity demanded = 2 * 10% = 20%

Therefore, a 10% increase in consumer income will lead to a 20% increase in the quantity of jewelry purchased. Option b) states this correctly by indicating that the quantity of jewelry purchased will increase by 20%.

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please answer the questions relating to prediction markets.which statement is the prime reason individuals trade in prediction markets?online prediction markets allow users to escape online gambling prohibitions.prediction markets allow users to speculate on future forecasts.prediction markets allow users increased security for their finances compared to normal stock markets.prediction markets promise higher returns than the average stock trading system.which of the markets described is not an example of a prediction market?an online system allows users to predict electoral outcomes across the globe.a national program for university statistics students allows them to place bets using fake money to buy sharesin college football teams.the recording industry association of america (the riaa), the trade industry representing the americanmusic business, uses an internal system among employees to speculate about future record sales.several large investment firms collectively decide to purchase large amounts of sugar when the price is lowin order to drive up its price on the world market, and then sell when the price is high.

Answers

Prediction markets allow users to speculate on future forecasts. Investment firms purchase sugar at low prices to drive up prices. Thus, options d and b are correct.

The main reason people trade in markets for predictions is that they allow users to bet on future projections. Prediction markets, often referred to as speculation markets, info markets, choice markets, concept futures, and options, or occurrence derivatives, are publicly accessible marketplaces. In order to raise the price of sugar on the global market, many major investment corporations jointly resolve to buy a lot of it while it is cheap and sell it when it is expensive

Therefore, options D and B are correct

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The question is incomplete, Complete question probably will be  is:

Which statement is the prime reason individuals trade in prediction markets?

A. Prediction markets allow users increased security for their finances compared to normal stock markets

B. Online prediction markets allow users to escape online gambling prohibitions

C. Prediction markets promise higher returns than the average stock trading system

D. Prediction markets allow users to speculate on future forecasts

Which of the markets described is NOT an example of a prediction market?

A. A national program for university statistics students allows them to place bets using fake money to buy shares in college football teams

B. Several large investment firms collectively decide to purchase large amounts of sugar when the price is low in order to drive up its price on the world market, and then sell when the price is high

C. The Recording Industry Association of America (the RIAA), the trade industry representing the American music business, uses an internal system among employees to speculate about future record sales

D. An online system allows users to predict electoral outcomes across the globe

Determinants of aggregate supply The following graph shows an increase in short-run aggregate supply (AS) in a hypothetical economy short-run aggregate supply curve shifts to the night from AS, to AS2, causing the quantity of output supplied at a price level of 100 to rise from $200 billion to $250 billion. The following table lists several determinates of short-run aggregate supply. Fill in the table by indicating the changes in the determinats necessary to increase short-run aggregate supply. Inflation expectations ____________ Human capital ____________ Burdensome regulations ____________

Answers

In order to increase short-run aggregate supply (AS), certain determinants must be changed. Inflation expectations can affect the behavior of both producers and consumers, so if inflation expectations decrease, then the cost of production decreases as well, leading to an increase in short-run aggregate supply.

As for human capital, if it increases, then workers become more efficient, leading to an increase in productivity, which leads to an increase in short-run aggregate supply. Finally, burdensome regulations can be a hindrance to production, but if these regulations are reduced, then production costs will also decrease, leading to an increase in short-run aggregate supply. It is important to note that short-run aggregate supply refers to the level of output an economy can produce in the short term. If all else remains constant, an increase in short-run aggregate supply can lead to a decrease in the price level and inflation, as more goods and services are being produced. However, if demand increases faster than supply, inflation can occur, leading to an increase in the price level. It is also important to keep in mind that while short-run aggregate supply can increase, long-run aggregate supply is determined by factors such as technology, education, and infrastructure.

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a credit purchase with 11 monthly payments of $71 and a down payment of $110 would have a total cost of:

Answers

The credit purchase with 11 of monthly payments of $71 and a down payment of $110 would have a total cost of $891.

To calculate the total cost of a credit purchase with 11 monthly payments of $71 and a down payment of $110, you can use the following formula

Total cost = Down payment + (Monthly payment x Number of payments)

Plugging in the given values, we get

Total cost = $110 + ($71 x 11)

Calculating it as

Total cost = $110 + $781

Total cost = $891

Therefore, the total cost of the credit purchase would be $891.

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--The given question is incomplete, the complete question is given

"Find total cost when a credit purchase item with 11 monthly payments of $71 and a down payment of $110 would have a total cost of item. "--

under a periodic review policy, the oul and the time are both fixed, but the replenishment lot size is variable.
T/F

Answers

False, Under a periodic review policy, the order quantity (lot size) is fixed, while the review period is variable. In a periodic review system, inventory levels are reviewed periodically at specific intervals, and a replenishment order is placed to bring the inventory back to a predetermined target level.

The review period is the fixed time interval at which the inventory levels are assessed. It determines when a replenishment order is placed. The length of the review period can vary depending on factors such as demand variability, lead time, and desired service levels. In a periodic review policy, the order quantity or lot size is typically variable. It is calculated based on the difference between the target inventory level and the actual inventory level at the time of review. The order quantity may vary from one review period to another depending on the inventory position.

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the date upon which a concert's tickets are made available for public purchase is the presaling date

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The correct term for the date upon which a concert's tickets are made available for public purchase is the on-sale date, not the "presaling date."

The on-sale date is the specific date and time when tickets for an event, such as a concert, become available for purchase by the general public. It is the moment when ticket sales officially open to anyone interested in attending the event.

On the on-sale date, tickets may be sold through various channels, including online ticketing platforms, box offices, authorized resellers, or ticketing agents. The purpose of setting a specific on-sale date is to ensure fairness and equal opportunity for individuals to secure tickets to the event.

The term "presale" refers to a separate ticket sale period that occurs prior to the official on-sale date. Presales are usually offered to a specific group of individuals, such as fan club members, credit card holders, or subscribers, allowing them early access to purchase tickets before they become available to the general public. Presales are intended to provide exclusive opportunities and benefits to select groups.

In summary, the correct term for the date when concert tickets are made available for public purchase is the on-sale date, not the presaling date.

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When analysts are developing forecasts of future performance they should most likely:
a. rely exclusively on company data, such as past growth and relationships.
b. use judgment in the process, as it allows analysts to provide more of their own insight.
c. generate single point estimates because a range of outcomes shows indecision on the part of analysts.

Answers

When analysts are developing forecasts of future performance, they should most likely use judgment in the process, as it allows analysts to provide more of their own insight.

Forecasting future performance requires a combination of quantitative data analysis and qualitative judgment. While historical company data, such as past growth and relationships, are important inputs for forecasting, relying exclusively on this data may not capture all relevant factors that can impact future performance. Therefore, using judgment in the forecasting process is crucial.

Here's an explanation of the given options:

a. Rely exclusively on company data, such as past growth and relationships: This option suggests relying solely on historical data. While historical data can provide valuable insights, it may not account for changes in market conditions, industry trends, technological advancements, or other external factors that can significantly influence future performance. Therefore, relying exclusively on company data may limit the accuracy and comprehensiveness of the forecasts.

b. Use judgment in the process, as it allows analysts to provide more of their own insight: This option recognizes the importance of incorporating analysts' judgment and expertise in the forecasting process. Judgment allows analysts to consider a wide range of factors beyond historical data, including industry knowledge, market trends, competitive landscape, customer preferences, and other qualitative insights. Analysts can use their experience and expertise to interpret data, identify patterns, and make informed predictions based on a holistic understanding of the business environment.

c. Generate single point estimates because a range of outcomes shows indecision on the part of analysts: This option suggests generating a single point estimate, which represents a specific forecasted value. However, providing a single point estimate may oversimplify the complex and uncertain nature of forecasting. Future performance is influenced by various factors and can have multiple potential outcomes. Presenting a range of outcomes or scenarios allows for a more comprehensive understanding of the potential risks and uncertainties associated with the forecast.

When developing forecasts of future performance, analysts should most likely use judgment in the process. While historical data is valuable, incorporating analysts' expertise and qualitative insights enables a more comprehensive and accurate forecast. Relying solely on company data may limit the understanding of external factors, while generating a single point estimate may oversimplify the complexities and uncertainties involved in forecasting. By leveraging both quantitative analysis and qualitative judgment, analysts can provide more insightful and reliable forecasts.

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In the context of the vertical structure of a firm, a wide span of control builds a ________ organization with few reporting levels. Select one: A. tall B. formal C. centralized D. flat E. bureaucratic

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In the context of the vertical structure of a firm, a wide span of control builds a flat organization with few reporting levels. The correct option is D.

A flat organization structure is one in which there are fewer levels of hierarchy between the highest and lowest levels of employees. In such an organization, the span of control is wide, meaning that each manager has a large number of subordinates reporting to them. This type of structure allows for quick decision-making and efficient communication as there are fewer bureaucratic procedures to follow.  The opposite of a flat organization structure is a tall organization structure. A tall organization structure has many levels of hierarchy between the highest and lowest levels of employees.

In such an organization, the span of control is narrow, meaning that each manager has a small number of subordinates reporting to them. This type of structure can be advantageous for large organizations with complex operations that require a high degree of specialization and control. On the other hand, a tall organization structure is more formal, bureaucratic, and slower in decision-making due to the many levels of hierarchy.  The correct option is D.

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a company borrowed $26,000 by signing a 180-day promissory note at 6%. the total to be paid at maturity of the note is: (use 360 days a year.)

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A company borrowed $26,000 by signing a 180-day promissory note at 6%. the total to be paid at maturity of the note is $26,780.

In this case, the company borrowed $26,000 at an interest rate of 6% for a 180-day period. Since the interest rate is stated as an annual rate, and we're assuming a 360-day year, we can calculate the interest using the simple interest formula:

Interest = Principal * Interest Rate * Time

Interest = $26,000 * 0.06 * (180/360)

Interest = $780

The total amount to be paid at maturity of the note is the sum of the principal and the interest:

Total to be paid = Principal + Interest

Total to be paid = $26,000 + $780

Total to be paid = $26,780

Therefore, the total amount to be paid at the maturity of the promissory note is $26,780.

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an efficient capital market is a market in which stock prices reflect which one of the following? multiple choice current inflation a risk premium the historical arithmetic rate of return the historical geometric rate of return all available information

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An efficient capital market is a market where stock prices reflect all available information. This means that stock prices will adjust rapidly to new information as it becomes available, leaving no room for investors to profit from it.

In such markets, prices are not influenced by external factors such as inflation, risk premium or historical rates of return. Rather, they are purely determined by the latest information, which can range from news about the company's financials, industry developments, and economic trends, among others. The market is said to be efficient because it adjusts prices to reflect all publicly available information and expectations, making it difficult for investors to outperform the market consistently. Therefore, investors who attempt to profit from stock trading in an efficient market must be equipped with better or more up-to-date information than the rest of the market to gain an edge. In summary, an efficient capital market is one where stock prices reflect all available information, making it challenging to achieve abnormal profits by trading stocks.

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ron buys 522 shares of narcissus, inc., common stock in a cash account on monday, march 19. he deposits cash in the account sufficient to cover the trade on march 20. how soon would he be able to withdraw those shares?

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In general, after purchasing shares in a cash account, it takes two business days (T+2) for the trade to settle. In this case, Ron bought the shares on Monday, March 19, so the settlement date would be Wednesday, March 21.

Once the trade has settled, Ron would be able to withdraw the shares at any time. However, he should keep in mind any restrictions or fees that may apply to the account or the shares themselves. For example, some brokerages may require a holding period before shares can be sold or transferred out of the account.  

There may be transaction fees or taxes to consider. Ron should consult with his brokerage or financial advisor to understand the specific rules and procedures that apply to his account and shares.

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after his company had already committed to an alliance with a company based in indonesia, tomas realized that the indonesian company had made five poor investments over the past twelve months and its financial records were unsound. which step in selecting a good alliance partner would have helped tomas's company avoid this situation?

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Tomas's company could have avoided the situation by conducting a thorough due diligence process before committing to an alliance with the Indonesian company.

Due diligence involves a comprehensive review of the potential partner's financial statements, management structure, market position, legal and regulatory compliance, and other key factors that may affect the partnership's success. By conducting due diligence, Tomas's company would have been able to identify any potential red flags, such as the Indonesian company's poor investment track record and unsound financial records, before finalizing the alliance.

This would have allowed Tomas's company to make a more informed decision about whether to proceed with the partnership or to seek an alternative partner. In addition to due diligence, Tomas's company could have also benefited from consulting with experts in the Indonesian market, such as local lawyers, accountants, and business advisors. These experts could have provided valuable insights into the Indonesian company's reputation, industry standing, and potential risks that Tomas's company may have overlooked. Overall, selecting a good alliance partner requires a comprehensive and diligent approach that takes into account all relevant factors and seeks to mitigate potential risks.

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If Cape Cod ​Railway's fixed costs total $60,000 per​ month, the variable cost per passenger is $30​, and tickets sell for $70​, what is the breakeven point in​ units?A) 857 PASSENGERSB)2,000 PASSENGERSC)105,000 PASSENGERSD)1,5000 PASSENGERS

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Cape Cod Railway needs to sell 1,500 tickets at $70 each to cover its fixed and variable costs and break even. If it sells more than 1,500 tickets, it will earn a profit; if it sells fewer than 1,500 tickets, it will incur a loss. The correct answer is D) 1,500 passengers.

The breakeven point in units refers to the number of passengers that Cape Cod Railway needs to sell tickets to in order to cover all its costs. In this case, the fixed cost per month is $60,000, and the variable cost per passenger is $30. To calculate the breakeven point in units, we need to divide the fixed cost by the contribution margin per unit, where the contribution margin is the difference between the ticket price and variable cost.

Contribution margin = ticket price - variable cost = $70 - $30 = $40
Breakeven point in units = fixed cost / contribution margin = $60,000 / $40 = 1,500 units

Therefore, the correct answer is D) 1,500 passengers. Cape Cod Railway needs to sell 1,500 tickets at $70 each to cover its fixed and variable costs and break even. If it sells more than 1,500 tickets, it will earn a profit; if it sells fewer than 1,500 tickets, it will incur a loss.

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