The table below shows the demand and marginal cost information for a monopolist with a constant marginal cost. larginal Revenue (dollara) Eginal Coat (dollars) Monopoly Market Price Quantity (dollars) Demanded 5220 0 200 30 180 60 160 90 140 120 120 150 100 180 $200 180 120 BO 40 0 $120 120 120 120 120 120 Instructions: Enter your answers as a whole number and the profit-maximizing quantity is a. For the monopolist, the profit-maximizing price is $ b For the monopolist, the allocatively efficient price is $ and the allocatively efficient quantity is

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Answer 1

The profit-maximizing quantity for the monopolist is 60 units. The profit-maximizing price is $160. The allocative efficient price is $120, and the allocative efficient quantity is 120 units.

To determine the profit-maximizing quantity, the monopolist looks for the quantity where marginal revenue (MR) equals marginal cost (MC). In the given table, the MR and MC columns intersect at a quantity of 60 units. Hence, the profit-maximizing quantity for the monopolist is 60 The profit-maximizing price corresponds to the price at the profit-maximizing quantity. In this case, the price is $160 for a quantity of 60 units. Allocative efficiency occurs when resources are allocated in a way that maximizes overall social welfare. It happens when the price equals the marginal cost. From the table, the allocative efficient price is $120, where the quantity is also 120 units therefore, the profit-maximizing price for the monopolist is $160, the allocative efficient price is $120, and the allocative efficient quantity is 120 units.

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Related Questions

Keynes believed that people who would sell bonds in order to hold idle cash probably
A. Regard the present interest rate as unusually high
B. Expect the interest rate to rise
C. Expect bond prices to rise
D, Regard present bond prices as being below normal

Answers

Keynes believed that people who would sell bonds in order to hold idle cash probably regard the present interest rate as unusually high. In the world of economics, the term "cash" refers to money that is held in accounts or in the form of currency.

Cash is usually held for the purpose of acquiring something later, such as a purchase or investment.Keynesian economics is a macroeconomic economic theory created by British economist John Maynard Keynes. In his General Theory of Employment, Interest and Money, he questioned classical economics' approach to equilibrium in the market system. Keynes argued that the economy's output and employment level is influenced by total spending in the economy rather than just the supply of goods and services at the macro level.Keynesian economics suggests that governments should play an active role in the economy. By adjusting spending and taxation policies, the government can stimulate demand, which in turn increases output and employment. According to Keynes, the primary cause of economic downturns is a fall in aggregate demand, which can be corrected by increasing government spending or lowering taxes to boost demand and stimulate growth. In conclusion, Keynes believed that people who would sell bonds in order to hold idle cash probably regard the present interest rate as unusually high.

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Goods produced in Puerto Rico and the United States become more competitive from the point of view of prices when: a. When the dollar appreciates. b. when the dollar depreciates. c. when the exchange rate is fixed. d. when the money supply falls.

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Goods produced in Puerto Rico and the United States become more competitive in terms of prices when the dollar depreciates.

When the dollar depreciates, the value of the currency decreases relative to other currencies. This means that it takes more dollars to purchase the same amount of foreign currency. As a result, goods produced in Puerto Rico and the United States become relatively cheaper for foreign buyers. When the dollar depreciates, the prices of exports from Puerto Rico and the United States decrease in foreign currency terms, making them more affordable and competitive in international markets.

A depreciating dollar benefits exports because it effectively lowers the price of goods in foreign markets. This increased competitiveness can lead to an increase in demand for goods produced in Puerto Rico and the United States, as foreign buyers find them more attractive due to their lower prices.

Additionally, a weaker dollar can also make imports relatively more expensive, which can further boost the competitiveness of domestic products. Overall, a depreciating dollar enhances the price competitiveness of goods produced in Puerto Rico and the United States in the global market.

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​(Future value​) Selma and Patty Bouvier are​ twins, and both work at the Springfield DMV. They decide to save for​ retirement, which is 35 years away. They'll both receive an annual return of 8% on their investment over the next 35 years. Selma invests $1500 per year at the end of each year only for the first 10 years of the 35 year period for a total of $15000 saved. Patty​ doesn't start saving for 10 years and then saves $1,500 per year at the end of each year for the remaining 25 years for a total of $37,500 saved. How much will each of them have when they​ retire?

Answers

Selma and Patty Bouvier are twins who work at the Springfield DMV and are saving for retirement, which is 35 years away.

Selma invests $1,500 per year for the first 10 years, while Patty starts saving after 10 years and also invests $1,500 per year for the remaining 25 years. They both receive an annual return of 8% on their investments. We need to calculate how much they will have when they retire.

Selma invests $1,500 per year for the first 10 years, so the future value of her investment can be calculated using the formula for the future value of an ordinary annuity:

FV = PMT * ((1 + r)^n - 1) / r

where FV is the future value, PMT is the annual payment, r is the annual interest rate, and n is the number of years.

Substituting the given values, we get:

FV(Selma) = 1500 * ((1 + 0.08)^10 - 1) / 0.08

≈ $27,512.07

Selma will have approximately $27,512.07 when she retires.

Patty starts saving after 10 years and invests $1,500 per year for the remaining 25 years. We can calculate her future value using the same formula:

FV(Patty) = 1500 * ((1 + 0.08)^25 - 1) / 0.08

≈ $118,792.47

Patty will have approximately $118,792.47 when she retires.

Therefore, Selma will have around $27,512.07, and Patty will have around $118,792.47 when they retire.

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Consider a stock that sells for $50. Find the value of a 3-month put option on the stock with exercise price of $55 if a 3-month call option on the same stock with the same exercise price sells for $6. The risk free rate is 3% compounded quarterly.
Show your work.

Answers

To find the value of a 3-month put option on the stock with an exercise price of $55, we can use the put-call parity relationship.

Put-Call Parity formula: Put Option Price + Stock Price = Call Option Price + Present Value of Exercise Price

Given:

Stock Price = $50

Exercise Price = $55

Call Option Price = $6

Risk-free rate = 3% compounded quarterly

Time to expiration = 3 months (or 0.25 years)

First, we need to calculate the present value of the exercise price:

Present Value of Exercise Price = Exercise Price / (1 + Risk-free rate)^(Time to expiration)

PV of Exercise Price = $55 / (1 + 0.03/4)^(0.25)

PV of Exercise Price = $54.671

Now, we can rearrange the put-call parity formula to find the value of the put option:

Put Option Price = Call Option Price + PV of Exercise Price - Stock Price

Put Option Price = $6 + $54.671 - $50

Put Option Price = $10.671

Therefore, the value of the 3-month put option on the stock with an exercise price of $55 is approximately $10.671.

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In trading, a breakout refers to O a. B. when the price of an asset moves below a support area O b. D. none of the options O c. A. when the price of an asset moves above a resistance area d. C. Both A and B

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The correct answer is "c. A. when the price of an asset moves above a resistance area."

In trading, a breakout occurs when the price of an asset surpasses a significant level of resistance, indicating a potential upward movement.

A breakout refers to a situation in which the price of an asset moves above a resistance area. Resistance is a price level at which selling pressure historically outweighs buying pressure, causing the price to stall or reverse. When the price successfully breaks above this resistance level, it suggests a potential shift in market sentiment and an increased likelihood of further upward movement.

Breakouts are often seen as bullish signals by traders and can trigger buying activity as market participants anticipate continued price appreciation. Traders may look for breakouts to enter long positions and capitalize on potential price gains. Therefore, option c, which states that a breakout occurs when the price moves above a resistance area, is the correct answer.

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) Analyze how telemedicine may reduce related monetary and non-monetary cost for hospital patients. (20 marks)
Discuss and illustrate why ethical concerns and fairness perception in pricing are important issues when designing service fee schedules and revenue management strategies? Support your answers with examples

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Telemedicine has emerged as a transformative solution in healthcare, offering the potential to reduce both monetary and non-monetary costs for hospital patients. When analyzing the impact of telemedicine on costs, it is important to consider various factors.

Firstly, telemedicine eliminates the need for patients to physically travel to healthcare facilities, thereby reducing transportation costs, parking fees, and other associated expenses. Patients can now access medical consultations, follow-ups, and even receive prescriptions from the comfort of their own homes. This convenience not only saves money but also reduces the time and effort required for hospital visits.

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m1 is comprised of currency held outside banks traveler’s checks __________.

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M1, also known as the monetary base, is a measure of money supply in an economy.

It includes currency held by the public, checking deposits held at banks, and traveler's checks. M1 is the narrowest definition of the money supply and is used to calculate the velocity of money and to measure the effectiveness of monetary policy. Currency held outside banks refers to physical currency, such as bills and coins, that is held by individuals and businesses outside of the banking system. Traveler's checks are a type of prepaid check that can be used as a substitute for cash while traveling. Together, currency held outside banks and traveler's checks make up a significant portion of M1, as they are both forms of money that are readily available for spending.

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You placed $3,278 in a savings account today that earns an
annual interest rate of 15 percent compounded annually. How much
you will have in this account at the end of 35 years? Assume that
all intere

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Using the formula for compound interest, we can calculate the future value of the savings account:

FV = PV × (1 + r/n)^(n*t)

where FV is the future value, PV is the present value or initial deposit, r is the annual interest rate expressed as a decimal, n is the number of times the interest is compounded per year, and t is the time in years.

In this case, PV = $3,278, r = 15% = 0.15, n = 1 (compounded annually), and t = 35 years. Plugging these values into the formula, we get:

FV = $3,278 × (1 + 0.15/1)^(1*35)

= $3,278 × 1.15^35

= $389,042.58

Therefore, you will have approximately $389,042.58 in the savings account at the end of 35 years.

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You Placed $3,278 In A Savings Account Today That Earns An Annual Interest Rate Of 15 Percent Compounded Annually. How Much You Will Have In This Account At The End Of 35 Years? Assume That All Interest Received At The End Of The Year Is Reinvested The Next Year. Round The Answer To Two Decimal Places.

Three neighbors live next to each other in Vancouver. Each of them owns their own apartment. One of the neighbors starts to smoke cigars and each cigar he smokes provides him with $50 worth of pleasure. Each of the other two neighbors suffers $55 dollars damage per cigar from the second hand smoke. What economic theory predicts? pls explain why?

Answers

The economic theory that can help explain the situation you described is the Coase theorem. The Coase theorem explores the allocation of property rights and the potential for efficient solutions to issues, like the negative effects of secondhand smoke.


According to the Coase theorem, if property rights are well-defined and there are low transaction costs, the affected parties can negotiate and reach an outcome regardless of the initial allocation of property rights. In this case, the initial property right might be considered to lie with the smoker, allowing him to smoke freely.


For example, if the neighbor who suffers the most damage values his well-being more than the smoker values his pleasure, they could negotiate a compensation arrangement. The neighbor could pay the smoker an amount less than $55 per cigar but more than $50 per cigar to stop smoking, ensuring that both parties are better off. This compensation would incentivize the smoker to quit, eliminating the issue and improving the overall welfare of the neighbors.

Externalities are the economic theory that predicts the cigar smoking of one neighbor creates negative externalities that impact the welfare of the other two neighbors. Each cigar smoked by the first neighbor leads to a $55 reduction in welfare for each of the other two neighbors.

Externalities are a phenomenon in economics that occurs when a person’s actions impact the welfare of another person who has not agreed to this impact. In this case, the first neighbor’s cigar smoking creates a negative externality that impacts the welfare of the other two neighbors because they experience secondhand smoke that reduces their enjoyment of their own apartments and reduces the value of their property. The welfare loss of $55 per cigar is the economic value that the secondhand smoke of one cigar imposes on each of the other two neighbors. The economic theory of externalities predicts that markets fail to reach the optimal outcome when externalities exist. In this case, the market fails because the cigar smoker does not take into account the negative externalities that his cigar smoking imposes on his two neighbors. The cigar smoker only cares about his own enjoyment and does not account for the welfare loss experienced by his neighbors. The neighbors do not agree to the welfare loss imposed on them by the cigar smoker and are therefore not compensated for the negative impact on their welfare. In conclusion, the economic theory of externalities predicts that the cigar smoking of one neighbor creates negative externalities that impact the welfare of the other two neighbors.

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Rates of school dropout have increased over the past 20 years. True False . School shooters usually act impulsively rarely do they plan their attacks. True O False Ques"

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The rates of school dropout have increased over the past 20 years are true. While the statement School shooters usually act impulsively rarely do they plan their attacks is False. Dropout rates in schools have increased in the past 20 years.

According to the National Center for Education Statistics, 5.4% of the general population aged 16 to 24 years old dropped out of school in 2000. This figure had risen to 6.1% by 2018.On the other hand, the statement School shooters usually act impulsively rarely do they plan their attacks is False. School shooters typically plan their attacks in advance, rather than acting impulsively.

Before committing acts of violence, many perpetrators conduct research or practice using firearms. They may also express their intentions to others or leave behind a note or other form of communication indicating their plans. The rates of school dropout have increased over the past 20 years are true. While the statement School shooters usually act impulsively rarely do they plan their attacks is False. Dropout rates in schools have increased in the past 20 years.

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How to analyse an organisation’s position in the external
environment – both macro-environment and industry or sector
environment. (STRATEGIC MANAGEMENT AND PLANNING) ( EXPLORING
STRATEGY)

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Analyzing an organization's position in the external environment involves assessing both the macro-environment and the industry or sector environment. This process helps identify opportunities and threats that can impact the organization's strategic management and planning.

To analyze the macro-environment, it is essential to consider factors such as political, economic, social, technological, environmental, and legal (PESTEL) influences. This involves examining the political stability, economic conditions, social trends, technological advancements, environmental sustainability, and legal regulations that may affect the organization's operations. By understanding these external factors, organizations can identify potential risks and opportunities and adjust their strategies accordingly.

In addition to the macro-environment, analyzing the industry or sector environment is crucial. This involves assessing factors such as competitive forces, market dynamics, customer behavior, supplier power, and potential substitute products or services.

By analyzing these industry-specific factors using tools like Porter's Five Forces framework, organizations can gain insights into the intensity of competition, bargaining power of suppliers and buyers, and overall attractiveness of the industry. This analysis helps organizations understand their competitive position, identify key success factors, and develop strategies to gain a competitive advantage.

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The options that are appropriate for one entrepreneurial venture may be completely inappropriate for another. provide examples to support your answer.
Entrepreneurs face several strategic and operational decisions, ranging from selecting a business idea to developing a go-to-market strategy. Because of the many unknowns that require contextual understanding and a dynamic business environment, decision-making in an entrepreneurial setting becomes complicated and hard.
Some factors need to be considered during this decision-making process since every business idea differs from another. Firstly, it needs to decide whether the entrepreneurship venture should be a public or private startup business. The limitation of a private startup is that finding investors or venture capitalists to fund their business could be a challenging process. However, if a company chooses to become public then it will be subjected to higher levels of scrutiny from regulators and its stockholders which includes reporting its financial information in the public domain. For example, small businesses generally choose to become private entities due to the complexities involved in public corporations.
Another aspect that has to be assessed is that the entrepreneur has to understand the market conditions of the business in terms of the location, region, customers, and regulatory laws of the country while setting up the business. For example, a startup idea that is profitable in Asia may not necessarily become popular if the same business is set up in Europe.
what is the discussion of this topic?

Answers

The discussion of this topic revolves around the importance of considering the unique factors and context of each entrepreneurial venture when making strategic and operational decisions.

Entrepreneurs need to understand that what works for one business may not work for another due to various factors such as funding options, market conditions, regulatory environment, and location.The example provided highlights the decision between starting a private or public startup. While a private startup may face challenges in finding investors, a public startup is subjected to higher levels of scrutiny and financial reporting requirements. This decision depends on the specific goals and circumstances of the venture. Additionally, market conditions and regulatory laws vary across different regions and countries. What may be a profitable startup idea in one region may not be as successful in another. Entrepreneurs need to thoroughly understand the market, customer preferences, and regulatory landscape of the specific location where they plan to set up their business. Overall, the discussion emphasizes the need for entrepreneurs to carefully evaluate the suitability of different options and tailor their decisions to the specific characteristics and requirements of their venture.

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How can a leader apply the understanding of Maslow's hierarchy
of needs to leading and managing

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Maslow's hierarchy of needs consists of five levels of needs that can be used to guide leaders in leading and managing. The hierarchy is arranged in a pyramid, with the most basic needs at the bottom and the most complex needs at the top.

Maslow's hierarchy of needs is a psychological theory that suggests that human needs are arranged in a hierarchy of five levels. In other words, Maslow's theory states that human needs must be satisfied in a particular order, with the most basic needs taking precedence over more advanced needs.

For leaders to successfully apply Maslow's hierarchy of needs, they must understand each level of the pyramid. According to Maslow, the five levels of the hierarchy are: physiological, safety, love/belonging, esteem, and self-actualization. Physiological needs are the most basic needs, such as food, water, shelter, and sleep.

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making arrangements to repair a defective item sold to a customer.

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Making arrangements to repair a defective item sold to a customer involves taking necessary steps to rectify any issues or problems that a customer may experience with a product they have purchased from a company or business. This may include assessing the damage or defect.

determining the cause, and developing a plan to repair or replace the item to ensure customer satisfaction.Most companies have a warranty policy for their products, which provides a timeframe for repairs and replacements. When a customer reports a defective item, the company must honor the warranty by repairing or replacing the item within the given timeframe.In order to make arrangements to repair a defective item sold to a customer, the following steps should be taken:1. Identify the issue.

Find out what is wrong with the product and the cause of the defect. This could be through direct communication with the customer or through product testing and analysis.2. Determine the solution: Based on the defect, decide if the item should be repaired or replaced. If it can be repaired, determine the cost and timeframe of the repair.3. Notify the customer: Inform the customer of the issue, the solution, and any costs associated with the repair or replacement.4. Make arrangements: Schedule a time for the customer to bring in or send the item for repair. Ensure that all necessary forms or paperwork are completed and that the customer is aware of the warranty policy.5. Follow-up: Once the repair or replacement has been completed, follow-up with the customer to ensure their satisfaction and to address any further issues or concerns they may have.

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To repair a defective item sold to a customer, certain arrangements must be made. It is the seller's responsibility to ensure that the item is repaired promptly.

A customer who receives a defective item may be unhappy and dissatisfied. The seller must take the necessary steps to ensure that the problem is resolved as soon as possible to keep the customer happy.The seller must request the customer to provide the details of the faulty item, such as the purchase date, the product number, and a brief description of the fault. If the product is under warranty, the seller will check the warranty terms to determine if the product is still covered. If the product is covered under warranty, the seller will contact the manufacturer to arrange for the repair. If the product is not under warranty, the seller must arrange for the repair and cover the cost of the repair. The seller must ensure that the customer is kept informed of the progress of the repair and the expected completion date.

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Discussion Questions* 1. Angela is now going to evaluate a new salt process delivery system and wants to know if the upper and lower control limits at 3 standard deviations for the new system will meet the upper and lower control specifications noted earlier. The data (in percents) from the initial trial samples are: Sample 1: 1.98, 2.11, 2.15, 2.06 Sample 2: 1.99, 2.0, 2.08, 1.99 Sample 3: 2.20, 2.10. 2.20, 2.05 Sample 4: 2.18, 2.01, 2.23, 1.98 Sample 5: 2.01, 2.08, 2.14, 2.16 2. Given these data, what,kconclusion do you, as a Frito Lays quality control inspector, draw? What report do yod issue to your supervisor Angela? 3. What are the advantages and disadvantages of Frito-Lay drivers stocking their customers' shelves? 4. Why is quality a critical function at Frito-Lay? Frito-Lay's Quality-Controlled Potato Chips Frito-Lay's Quality-Controlled Potato Chips Frito-Lay, the multi-billion-dolla food giant, produces billions of pounds of product every year at its dozens of U.S. and Canadian plants. From the farming of potatoes-in Florida, North Carolina, and Michigan ack to factory and to retail stores, the ingredients and final product of Lay's chips, for example, are inspected at least 11 times: in the field, before unloading at the plant, after washing and peeling, at the sizing station, at the fryer, after seasoning, when bagged (for weight), at carton filling, in the warehouse, and as they are placed on the store shelf by Frito- Lay personnel. Similar inspections take place for its other famous products, including Cheetos, Fritos, Ruffles, and Tostitos. In addition to these employee inspections, the firm uses proprietary vision systems to look for defective potato chips. Chips are pulled off the high-speed line and checked twice if the vision system senses them to be too brown The company follows the very strict standards of the American Institute of Baking (AIB), standards that are much tougher than those of the U.S. Food

Answers

1. The data shows that all samples of the new salt process delivery system have values above the lower specification limit of 1.90%.

However, Sample 4 has a value below the upper specification limit of 2.25%, while Sample 3 has a value above the upper specification limit. Therefore, the conclusion as a Frito Lays quality control inspector is that there are some concerns about the new salt process delivery system meeting the upper specification limit, but it meets the lower specification limit. The report to be issued to supervisor Angela should include the results of the trial samples for the new salt process delivery system, including the upper and lower control limits at 3 standard deviations for the new system and their comparison with the upper and lower control specifications noted earlier.

2. The advantages of Frito-Lay drivers stocking their customers' shelves are that it enables faster product replenishment and better communication with store managers on inventory levels. The disadvantages are that it increases the workload of Frito-Lay drivers and can lead to inconsistency in how products are presented in different stores.

3. Quality is a critical function at Frito-Lay because it is essential to maintain customer satisfaction and loyalty. Consumers expect high-quality products from Frito-Lay, and any failure to meet their expectations could lead to a loss of revenue and market share. Quality control also helps Frito-Lay minimize costs associated with product recalls, rework, and waste.

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Given: Daily demand = 50 with a standard deviation of 4, lead time = 2days, ordering cost = $100 per order, holding cost = $1 per unit per day, and safety stock of 5 units are required.

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Daily demand = 50 with a standard deviation of 4Lead time = 2 days Ordering cost = $100 per order Holding cost = $1 per unit per day Safety stock of 5 units are required. The Economic Order Quantity (EOQ) formula can be used to find out how much stock a business should order each time to minimize inventory costs.

It considers the cost of placing an order, the cost of holding stock, and the rate of demand. The formula for EOQ is: EOQ = √((2DS)/H)Where: D = Annual demand S = Cost of placing an order H = Holding cost per unit per day To determine the optimal order quantity, we can use the following formula EOQ = √((2DS)/H) = √((2*50*2)/1) = 10 units per order (rounded up from 9.02)The safety stock is added to account for fluctuations in demand or lead time. It is used to avoid stockouts, and it is based on a company's desired service level.

We can calculate safety stock using the following formula: Safety stock = zσ√LWhere:z = the z-score corresponding to the desired service levelσ = the standard deviation of demand per day L = the lead time in days With a desired service level of 95 percent, the corresponding z-score is 1.65.Safety stock = zσ√L = 1.65 x 4 x √2 = 11.78 units, rounded up to 12 units. The total order quantity is the sum of the EOQ and the safety stock. Therefore, the total order quantity is:10 units + 12 units = 22 units per order The company will be placing orders for 22 units, which includes both the EOQ and safety stock. The total cost can be calculated as follows: Total cost = (D/Q)S + (Q/2)H + Dp Where: Q = order quantity D = annual demand S = ordering cost H = holding cost p = product cost Assuming a product cost of $1, the total cost can be calculated as follows: Total cost = (D/Q)S + (Q/2)H + Dp = (50/22) x 100 + (22/2) x 1 + (50 x 1) = $372.73Therefore, the total cost of ordering 22 units each time is $372.73.

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Best Drones (BD) and Finest Drones (FD) comprise a duopoly in the industry of drones and they have to decide how many drones to produce annually. The drones produced by the two firms are perceived by consumers as homogeneous products. The (inverse) market demand curve is P = 50-Q, while the total output is given by Q 9BD + 9FD. Due to differences in labour cost, BD's unit cost equals $3 equals $7 thousand. thousand and FD's unit cost (a) Assuming that the firms simultaneously choose their output levels, compute the equilibrium price as well as each firm's output and profits in the market equilibrium. - (b) Will the above results change if Finest Drones moves first? Discuss briefly these results based on the theory of first/second mover advantag

Answers

a. FD's profit can be = (50 - (QBD + QFD) - 7) * QFD. b. The specific impact of FD moving first depends on the strategic behavior and reactions of both firms.

(a) To compute the equilibrium price and each firm's output and profits in the market equilibrium, we need to solve the duopoly game.

Since the drones produced by BD and FD are homogeneous, the market demand curve can be represented as P = 50 - Q, where P is the price and Q is the total output (Q = 9BD + 9FD).

Let's denote BD's output as QBD and FD's output as QFD. In the market equilibrium, QBD + QFD = Q. We can substitute this into the demand curve to get the equilibrium price:

P = 50 - (QBD + QFD)

To find each firm's output and profits, we need to consider their cost structures. BD's unit cost is $3 thousand, and FD's unit cost is $7 thousand.

In the market equilibrium, each firm maximizes its profits by choosing the output level that maximizes its revenue minus its costs. BD's profit can be calculated as follows:

ProfitBD = (P - Unit CostBD) * QBD

= (50 - (QBD + QFD) - 3) * QBD

Similarly, FD's profit can be calculated as:

ProfitFD = (P - Unit CostFD) * QFD

= (50 - (QBD + QFD) - 7) * QFD

We can solve these equations simultaneously to find the equilibrium output, price, and profits for each firm.

(b) If Finest Drones (FD) moves first, the results may change due to the theory of first/second mover advantage. In a duopoly, the order of decision-making can have an impact on the outcomes.

If FD moves first and chooses its output level, BD can observe FD's choice before making its own decision. This additional information can influence BD's strategy and potentially lead to different outcomes compared to the simultaneous decision-making scenario.

The specific impact of FD moving first depends on the strategic behavior and reactions of both firms. It could result in a different equilibrium output, price, and profits for each firm compared to the case where decisions are made simultaneously.

To fully analyze the impact of FD moving first, a detailed analysis of the firms' strategic interactions and potential reactions would be necessary.

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Question 21 5 pts
You are the HR manager at a department store and the leadership team asks you to come up with a proposal for decreasing turnover.
1. What strategies would you use to gather data? (2-3 sentences)
2. Based on the data you gather, what are some possible strategies for decreasing negative turnover? (2-3 sentences)

Answers

As an HR manager at a department store, to gather data on decreasing turnover, I would use surveys, exit interviews, and data analysis. Based on the data collected, some possible strategies for decreasing negative turnover would be improving employee engagement, creating a positive work environment, and providing opportunities for growth and development.

To gather data on decreasing turnover, I would start by conducting surveys to assess employee satisfaction and identify areas of improvement.

I would also conduct exit interviews to understand why employees are leaving and what changes could have been made to retain them.

Additionally, I would analyze turnover data to identify trends and patterns that can inform our strategies.

Based on the data collected, some possible strategies for decreasing negative turnover could include improving employee engagement by implementing recognition and rewards programs, creating a positive work environment through effective communication and teamwork, and providing opportunities for growth and development through training and career advancement.

These strategies can help improve employee satisfaction, increase retention rates, and ultimately lead to better business outcomes. It is important to continue monitoring and evaluating these strategies to ensure their effectiveness in decreasing turnover.

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Paul works at the UQ Swimming Pool Complex in the cafe. Management of the Pool Complex has a policy that all Pool Complex staff must be trained in CPR. To save money, management is considering cutting this training. Kids Alive is a charity interested in pool safety. One policy of Kids Alive is to encourage more people to obtain CPR training. Which of the following statements are true: UQ Pool's management decision to train its staff in CPR is likely to be a positive externality for Kids Alive. 1fUQ Pool's management decision to train its staff in CPR is a positive externality for Kids Alive, it may be willing to pay the UQ Pool to support its staff CPR training program. O UQ Pool's decision to cut CPR training would logically produce an efficient outcome for management The marginal social benefit curve, when CPR training is given to all staff, would lie to the left of the marginal private benefit curve

Answers

the statement "uq pool's management decision to train its staff in cpr is likely to be a positive externality for kids alive" is true.

by training its staff in cpr, the uq pool complex contributes to pool safety and potentially reduces the risk of drowning incidents. this aligns with kids alive's objective of promoting pool safety, making it a positive externality for them. the training program benefits not only the uq pool complex but also the wider community, including organizations like kids alive.

the statement "if uq pool's management decision to train its staff in cpr is a positive externality for kids alive, it may be willing to pay the uq pool to support its staff cpr training program" is plausible but not explicitly stated in the given information. kids alive, being an organization concerned with pool safety, may see value in supporting the uq pool's staff cpr training program financially or through other means. however, the exact willingness or intention of kids alive to pay for the training program is not specified.

the statement "uq pool's decision to cut cpr training would logically produce an efficient outcome for management" is false. cutting cpr training would likely be a shortsighted cost-saving measure by the uq pool's management. ensuring that staff members are trained in cpr contributes to the overall safety of the pool complex and its patrons. eliminating the training program may compromise safety and increase the risk of accidents or incidents occurring. the statement "the margin social benefit curve, when cpr training is given to all staff, would lie to the left of the marginal private benefit curve" .

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FILL THE BLANK. "Question 66
______ is the total of an employee’s pay and
benefits.
Salary
Compensation
Income
Take-home pay
Question 67
The developmental performance appraisal focuses on an"

Answers

Compensation is the total of an employee's pay and benefits. correct answer is Compensation. The developmental performance appraisal focuses on an employee's future performance.

Salary compensation is the total amount of compensation that a worker receives, including bonuses, incentives, and benefits. In other words, it is the amount of money that an employee earns for the work they do, which may include several incentives and benefits.
Question 67: The developmental performance appraisal focuses on an employee's future performance. The purpose of the developmental appraisal is to identify an employee's strengths and weaknesses, as well as their potential for growth and development. This type of appraisal is intended to provide employees with feedback that will help them improve their performance and develop their skills.
In conclusion, compensation refers to the total amount of pay and benefits that an employee receives, while developmental performance appraisal focuses on an employee's potential for growth and development. It is essential to have a fair compensation system and a well-designed performance appraisal system to help companies retain their employees and increase their productivity.

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Example- Benefits Admin - 55000 - 75000 Bonus Eligible - 6% Annual based on performance Benefits Eligibility for 100% Company paid Benefits after 4 months of service RRSP Company Match up to 3% after 7 months of service Tuition Reimbursement 2500 Annual or a lifetime max of 25000 for courses related to your work field 3 weeks of vacation and after 1 year of service 4 weeks of vacation Working Hours -37.7 hours a week with hour paid lunch break. We offer flex work hours, start time between between 7.30 am to 10 am and complete 7.5 hours of work each day. DO NOT USE THE ABOVE EXAMPLE you can use it for reference Example- Benefits Admin - 55000 - 75000 Bonus Eligible - 6% Annual based on performance Benefits Eligibility for 100% Company paid Benefits after 4 months of service RRSP Company Match up to 3% after 7 months of service Tuition Reimbursement 2500 Annual or a lifetime max of 25000 for courses related to your work field 3 weeks of vacation and after 1 year of service 4 weeks of vacation Working Hours -37.7 hours a week with hour paid lunch break. We offer flex work hours, start time between between 7.30 am to 10 am and complete 7.5 hours of work each day. DO NOT USE THE ABOVE EXAMPLE you can use it for reference

Answers

The Benefits Admin position offers a competitive salary range, eligibility for company-paid benefits, RRSP company match, tuition reimbursement, generous vacation time, and flexible work hours. Based on the information provided, the Benefits Admin position offers a competitive salary range of $55,000 to $75,000  per year .


Another benefit offered by the company is the eligibility for 100% company-paid benefits after 4 months of service. This is a great benefit as it means that employees do not have to worry about the cost of their medical, dental, and vision insurance. Employees are also eligible for RRSP company match up to 3% after 7 months of service. This is a great way for employees to start saving for their retirement and the fact that the company is willing to match their contribution is a great incentive.

The company also offers tuition reimbursement of $2,500 per year or a lifetime max of $25,000 for courses related to their work field. This is a great opportunity for employees to continue their education and improve their skills. In terms of vacation, employees receive 3 weeks of vacation and after 1 year of service, they receive 4 weeks of vacation. This is a generous amount of vacation time and allows employees to take the time they need to rest and recharge. Finally, the company offers flex work hours, with a start time between 7.30 am to 10 am and a requirement to complete 7.5 hours of work each day. This allows employees to have some flexibility in their schedule and can help with work-life balance.

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the level of significance can be viewed as the amount of risk that an analyst will accept when making a decision.
t
f

Answers

The statement is False, the level of significance cannot be viewed as the amount of risk that an analyst will accept when making a decision.

The level of significance is used in hypothesis testing and is often set at a value of 0.05 or 0.01. It represents the probability of rejecting the null hypothesis when it is actually true. A lower level of significance means that the analyst is less likely to make a Type I error (rejecting the null hypothesis when it is true), but it also means that they are more likely to make a Type II error (failing to reject the null hypothesis when it is false). Therefore, the level of significance is not directly related to the amount of risk that an analyst is willing to accept when making a decision. Rather, it is a statistical parameter that is used to control the trade-off between Type I and Type II errors. In summary, the statement "the level of significance can be viewed as the amount of risk that an analyst will accept when making a decision" is false.

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SP 9 Serial Problem Business Solutions (Algo) LO P2, P3, C2
Following are some transactions and events of Business Solutions.
February 26 The company paid cash to Lyn Addie for eight days' work at $150 per day.
March 25 The company sold merchandise with a $2,600 cost for $3,200 on credit to Wildcat Services, invoice dated March 25.
Required:
1. Assume that Lyn Addie is an unmarried employee. Her $1,200 of wages have deductions for FICA Social Security taxes, FICA Medicare taxes, and federal income taxes. Her federal income taxes for this pay period total $120. Compute her net pay for the eight days' work paid on February 26.
2. Record the journal entry to reflect the payroll payment to Lyn Addie as computed in part 1.
3. Record the journal entry to reflect the (employer) payroll tax expenses for the February 26 payroll payment. Assume Lyn Addie has not met earnings limits for FUTA and SUTA (the FUTA rate is 0.6% and the SUTA rate is 5.4% for the company).
4. Record the entries for the merchandise sold on March 25 if a 4% sales tax rate applies.
Complete this question by entering your answers in the tabs below.
Required 1
Assume that Lyn Addie is an unmarried employee. Her $1,200 of wages have deductions for FICA Social Security taxes, FICA Medicare taxes, and federal income taxes. Her federal income taxes for this pay period total $120. Compute her net pay for the eight days' work paid on February 26. (Round your answer to 2 decimal places. Do not round intermediate calculations.)
Net pay

Answers

The net pay for the eight days' work paid on February 26 is $1,080

Lyn Addie is an unmarried employee who worked for 8 days at $150 per day.

The given payroll deductions of $1,200 are for FICA Social Security taxes, FICA Medicare taxes, and federal income taxes.

The given federal income taxes for the pay period total $120.

The computation of her net pay for the eight days' work paid on February 26 is as follows: Calculation of net pay: Gross Pay = $150 × 8 = $1,200

Total Payroll Deductions = FICA Social Security taxes + FICA Medicare taxes + federal income taxes = $1,200Net Pay = Gross Pay  

Total Payroll Deductions = $1,200 − $120 = $1,080

Therefore, the net pay for the eight days' work paid on February 26 is $1,080.

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Which of the following(s) is (are) true?
(i) A monetary policy target is a variable that the Fed can affect directly, which then affects one or more of the Fed's policy goals.
(ii) Rising nominal GDP will increase the demand for money and short-term real interest rates.
(iii) Buying a house during a recession may be a good idea if your job seems secure because the Federal Reserve often lowers interest rates during a recession. (
(iv) The Fed can not directly purchase corporate stocks from the market.
(v) The Fed can directly lower the inflation rate.
A. (i) and (ii) only
B. (i), (iii) and (iv) only.
C. (ii), (iv), and (v) only
D. (i) and (iii) only
E. (i), (ii), (iii), (iv), and (v)

Answers

A monetary policy target is a variable that the Fed can affect directly, which then affects one or more of the Fed's policy goals. Rising nominal GDP will increase the demand for money and short-term real interest rates.

Monetary policy targets are the specific variables that central banks like the Federal Reserve can influence directly through their policy actions. By adjusting interest rates or implementing other measures, the Fed can impact these targets, which in turn affect its policy goals such as price stability and maximum employment. This reflects the relationship between the Fed's actions and their impact on the economy.

Rising nominal GDP, which represents the total value of goods and services produced in an economy at current prices, tends to increase the demand for money. As the economy grows, people and businesses require more money for transactions. This increased demand for money can lead to higher short-term real interest rates, which are adjusted for inflation. It is an example of how changes in economic conditions can influence the demand for money and interest rates.

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A unit of account is ..... a. an individual account or deposit b. a means of preserving stored value, c. the measure in which prices are quoted. d. a price regulated by law. e. a medium of exchanging one good for another,

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The correct option is c. A unit of account is the measure in which prices are quoted , and economic values are also expressed.

How is a unit of account defined?

A unit of account refers to the standard measure in which prices are quoted and economic values are expressed. It serves as a common denominator for evaluating and comparing the relative worth of different goods, services, or assets in an economy.

In essence, it provides a consistent and standardized basis for pricing and economic calculations.

By using a unit of account, individuals, businesses, and governments can quantify the value of goods, services, and financial transactions. It allows for effective price comparisons, facilitating efficient decision-making and resource allocation. For example, prices of goods and services are typically quoted in a specific unit of account, such as a national currency.

Moreover, a unit of account plays a crucial role in financial and economic systems by enabling the recording and tracking of economic transactions, measuring wealth and income, and facilitating economic analysis. It provides a framework for measuring economic performance, inflation, and changes in purchasing power over time.

While a unit of account is closely associated with a currency, it is important to note that it is not limited to a specific medium of exchange. It represents a broader concept that underlies the measurement and comparison of economic values within an economy.

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Solve the following MIS problems with short brief answers. No MIS Problem Type Solution HERE 1 You are advising the owner of ABC Computers, a small local computer shop that repairs and also builds custom computers to order. What competitive strategies could ABC Computers employ? Which ones may it have difficulty executing? You are starting a small bike messenger company. Given your type of services (hand-delivering packages within a small geographical area), could your firm be a digital firm? If so, what would make this a digital firm? 3 A colleague at work takes small amounts of office supplies for her own personal use, saying that this is a tiny loss to the company. Do you agree with what she is doing? Why or why not? 2 4 Knowing how low-quality data issues typically occur can help a company correct them. Addressing these errors will significantly improve the quality of company data and the value to be extracted from it. explain two reasons that cause low quality data. 5 You have been hired by a non-profit organization to implement a system to handle donations. The system must be able to handle and record telephone, text, and Internet donations, provide up-to-the-minute reports, and create highly customizable mailing lists. In addition, event fundraisers need to be able to quickly access a donor's information and history. Among these systems (TPS, MIS, DSS, EIS) Which one would you recommend and why?

Answers

Yes, a bike messenger company could be a digital firm if they use digital technologies to enhance their services. For example, they could use mobile apps for scheduling pickups and deliveries, GPS for tracking deliveries in real-time, and online payments for billing customers.

ABC Computers could employ the following competitive strategies:

i. Cost leadership - this involves reducing the cost of production and selling at lower prices than their competitors.

ii. Differentiation - creating a product that is unique and different from their competitors.

iii. Focus strategy - Concentrating on a specific market segment where they have a competitive advantage.

However, ABC Computers may have difficulty executing cost leadership as their larger competitors can afford to lower prices and still make a profit.

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any
example of any norm create an unethical issue at workplace

Answers

One example of a norm that can create an unethical issue in the workplace is the norm of "loyalty above all else."

While loyalty can be an important value in an organization, if it is taken to an extreme, it can lead to unethical behavior. For example, if employees are expected to prioritize loyalty to their superiors or the organization over ethical considerations, they may engage in activities such as covering up misconduct, turning a blind eye to unethical behavior, or participating in unethical practices to protect the reputation or interests of the organization.

This norm can create a culture where unethical behavior is tolerated or even encouraged, leading to a lack of accountability and a disregard for ethical standards. It can undermine transparency, fairness, and the well-being of employees. Therefore, it is crucial for organizations to establish a balance between loyalty and ethical conduct, promoting a culture that values integrity, honesty, and ethical decision-making.

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You are given the following estimated equation:

log (price) = 3.85 +0.0025sqrft +0.02bdrms - 0.056colonial + 0.00068sqrftcol
(0.18) (0.0006) (0.003) (0.154) (0.00074)
n=88 R² = 0.7034

in which:
price = house price in thousands of dollars;
sqrft = size of the house in square footage;
bdrms = number of bedrooms in the house;
colonial = 1 if the house is of a colonial architecture, and 0 if not;
sqrft.col is an interaction variable equal to sqrft* colonial

a. Provide an appropriate interpretation for each partial slope in the above estimated equation. (4 pts)
b. Test the individual significance of each coefficient estimate from the above estimated equation at 5% significance level. (4pts)
C. With a 5% significance level, test the joint significance of all partial slopes in the above estimated equation. (1 pt)
d. Calculate the estimated change in a house price due to an additional four bedrooms of 200 square feet each i) if the house has a colonial architecture; ii) if the house doesn't have a colonial architecture. (2 pts)

Answers

The estimated equation provides interpretations, significance testing, and calculations for house price determinants and changes.

a. The interpretation of each partial slope in the estimated equation is as follows:

- The coefficient for sqrft (0.0025) indicates that holding other variables constant, a one-unit increase in square footage is associated with a 0.0025 increase in the logarithm of the house price.

- The coefficient for bdrms (0.02) indicates that holding other variables constant, a one-unit increase in the number of bedrooms is associated with a 0.02 increase in the logarithm of the house price.

- The coefficient for colonial (-0.056) indicates that holding other variables constant, having a colonial architecture is associated with a 0.056 decrease in the logarithm of the house price.

- The coefficient for sqrft.col (0.00068) indicates that holding other variables constant, the interaction between square footage and colonial architecture is associated with a 0.00068 increase in the logarithm of the house price.

b. To test the individual significance of each coefficient estimate, we compare the t-statistic for each coefficient to the critical t-value at a 5% significance level. If the absolute value of the t-statistic is greater than the critical t-value, the coefficient is considered statistically significant at a 5% significance level.

c. To test the joint significance of all partial slopes, we use the F-statistic. The null hypothesis is that all partial slopes are equal to zero, and we compare the calculated F-statistic to the critical F-value at a 5% significance level. If the calculated F-statistic is greater than the critical F-value, we reject the null hypothesis and conclude that there is joint significance among the partial slopes.

d. To calculate the estimated change in house price, we multiply the respective coefficients by the given values for the additional four bedrooms of 200 square feet each and evaluate the resulting change in the logarithm of the house price. Exponentiating this change will give us the estimated percentage change in the house price. We perform this calculation separately for houses with and without colonial architecture.

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Inflation and Fiscal Policy (15 points) a. Recall the quantity theory of money discussed in class (e.g. slide 17 in Chapter 8 slides). Suppose you analyze a country where money velocity is constant over time, the growth rate of real GDP is 3% per year, and the growth rate of money supply is 5% per year. Calculate the long-run growth rate of inflation in this country according to the quantity theory of money. b. Suppose that due to changes in the financial system, the velocity of money increases at 1% per year. What happens to long-run inflation in this case? c. Now, consider the government budget constraint as shown on slide 30 of Chapter 8 slides (or Chapter 8.5 in the textbook). In that part of the class, we argued that issuing money can be used to finance government spending. The (nominal) amount of revenue the government raises from the inflation tax is AM. In this and following points, you will analyze how large the revenue from this inflation tax is, relative to the size of the economy (nominal GDP): 4. Since the change in money supply (AM) is difficult to work with, we should express the revenue as a function of the growth rate of money supply (4 = 9m). Use this definition of the growth rate of money supply to calculate the revenue from the inflation tax as a share of GDP (99) as a function of 9m and other parameters of the economy. You answer should be something like: 4y = 9m. What is x? Can you give an interpretation of it? d. Look at slide 17 in Chapter 8 slides. Take your answer to part c) of this question and use the quantity theory of money to replace the growth rate of money supply (9m) with a term that includes the inflation rate (and other terms, like the growth rate of output) c. How much revenue is raised from inflation tax as a share of GDP? Suppose that we = 10%, and use the equations from part c) and numbers from part a) of this question. Based on your answer, do you think inflation tax is an important source of revenue for the government? 1 f. What if the government is in dire fiscal need and decides to increase the growth rate of money supply to 100%, holding all other variables constant (which is unlikely to hold in real life, but let's not overcomplicate things). With this inflation rate, how much revenue is raised from inflation tax as a share of GDP? With this kind of inflation rate, is inflation tax a significant source of revenue for the government? If the government has no access to other sources of revenue (taxes or borrowing), do you think increasing money supply is a sensible strategy to follow?

Answers

According to the quantity theory of money, the growth rate of money supply (m) and velocity of money (v) is directly proportional to the price level (P) and real output (Y) (MV=PY).

Therefore, according to the Quantity Theory of Money, the long-run growth rate of inflation in this country is given by:P = MV/Y= (5% x V) / 3% = 5/3 x V, i.e. long-run growth rate of inflation in this country is 5/3 times the velocity of money.b. Suppose the velocity of money increases by 1% per year due to changes in the financial system, the long-run growth rate of inflation in this case would increase to 5/3 x (V+1)c.

The equation for government budget constraint is G = T + ∆M + ∆B, where G is government spending, T is tax revenue, ∆M is the change in the money supply, and ∆B is the change in bonds held by the public. According to this equation, the revenue from the inflation tax is AM, and the nominal GDP (Py) is equal to the government spending (G).

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what organization is implementing an affirmative action program?

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An affirmative action program is a plan created by an organization to increase the number of women and minorities that are represented in its workforce. The goal of affirmative action programs is to help eliminate discrimination and create more diverse workplaces.

One organization that is implementing an affirmative action program is the United States federal government. The government has had a long history of implementing affirmative action programs to help create a more diverse workforce and to promote equality among all Americans. Other organizations that may implement affirmative action programs include private companies, universities, and non-profit organizations. These programs are typically designed to promote diversity in the workforce, and to help eliminate discrimination based on gender, race, ethnicity, religion, age, or disability.

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A 60-Hz induction motor is needed to drive a load at approximately 850 rpm. How many poles should the motor have? Find the Black-Scholes option price for a call option using thefollowing data: S(0) = 100, K = 95, r = 10% (yearly interest rate),T = 3 months, = 50% (yearly volatility). Patterson Planning Corp., You have been hired by Patterson Planning Corp., an events planning company that recently had a fire in which some of the accounting records were damaged. In reviewing the fixed asset records, you find three depreciation schedules that are not labeled. They are listed in the following table. One of the assets has a depreciation rate of $4.30 per hour. Year Schedule A Schedule B Schedule C 1 $12,000 7,200 4,320 2,592 888 $10,125 13,500 13,500 13,500 3,375 $8,600 6,450 7,310 6,450 4,300 6,880 4,730 Total $27,000 $54,000 $44,720 Depreciation 1. Determine which depreciation method is shown in each schedule on the Patterson Planning Corp. panel. Then match each schedule to the asset description that best characterizes the type of assets often depreciated using that method. Asset Description Depreciation Schedule Used Asset producing steady revenues Asset with variable in-service time Asset generating greater revenues in the early years 2. For each of the depreciation schedules shown on the Patterson Planning Corp., fill in the following information. If an amount box does not require an entry, leave it blank. Useful life 5 Residual value $0 $ 30,000 Total operating hours C O 4 0 0 $ $ C $ $ 7x 0 0 10,400 Asset cost O Feedback Check My Work Think about how depreciation is computed under each method Final Questions Review the depreciation schedules on the Patterson Planning Corp. panel, then answer the following questions. 1. How would you adjust Schedule B if, at the beginning of Year 3, the asset was estimated to have 5 more years of life remaining, but with a residual value that was $2,500 higher? 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