What do you think happens to the price of an object as it goes through a large number of intermediaries?

Answers

Answer 1
Because the manufacturer is also the entity selling the good or service, prices tend to be lower in a direct distribution channel. Indirect channels, on the other hand, generally see higher prices because of the number of intermediaries involved. The more there are, the higher the price.

Related Questions

Assume that you invest 5 percent of your salary and receive the full 5 percent match from East Coast Yachts. What EAR do you earn from the match

Answers

Answer:

The EAR you earn from the match is 100%.

Explanation:

Since a full 5 percent match will be received if 5 percent of your salary is invested, this implies that 100% will be earned by you from the match up to 5%.

For example, if 5 percent of your salary that you put in is $200, the East Coast Yachts will match the $200. This indicates that effective annual return (EAR) earned by you from the match is 100%.

Therefore, the EAR you earn from the match is 100%.

You can determine a company’s cash situation by analyzing the cash flow statement. The cash flow statement also helps determine whether the company (1) is generating enough cash from its operations to make new investments and pay dividends or (2) will need to generate cash by issuing new debt or selling its assets. A firm has $100 million in revenues. Does that mean it has generated a cash flow of $100 million?

Answers

Answer:

A firm that has $100 million in revenues does not mean that the firm has generated a cash flow of $100 million.

Explanation:

The revenue could be on account, in which case, the firm has literally not generated any cash flow, but decreased the cash flow instead.  To increase the cash flow by $100 million as a result of revenue, this particular firm needs to collect the amount from its customers in cash.  Cash flow is generated when cash is received and not when services or goods are sold.

Which type of layout features departments or other functional groupings in which similar activities are performed

Answers

Answer:

Process-oriented.

Explanation:

A functional (departmental) organizational structure is a type of structure used to organize staffs by dividing them into various departments based on their skill set, roles or functions and knowledge.

These departments which are vertically structured may include, finance, IT, sales and marketing, research and development, customer service etc. Also, the various departments are headed by a functional manager who are saddled with the responsibility of overseeing, managing and reporting to the executive management.

Similarly, a type of layout in the manufacturing process that features departments or other functional groupings in which similar activities are performed is generally referred to as being process-oriented.

One of the main advantages of a process-oriented layout is that it mitigates or reduces difficulties associated with material flow variability for a product.

McBurger, Inc., wants to redesign its kitchens to improve productivity and quality. Three designs, called designs K1, K2, and K3, are under consideration. No matter which design is used, daily production of sandwiches at a typical McBurger restaurant is for 500 sandwiches. A sandwich costs $1.20 to produce. Non-defective sandwiches sell, on the average, for $2.50 per sandwich. Defective sandwiches cannot be sold and are scrapped.
The goal is to choose a design that maximizes the expected profit at a typical restaurant over a 300-day period. Designs K1, K2, and K3 cost $100,000, $130,000, and $150,000, respectively. Under design K1, there is a .80 chance that 90 out of each 100 sandwiches are non-defective and a .20 chance that 70 out of each 100 sandwiches are non-defective. Under design K2, there is a .85 chance that 90 out of each 100 sandwiches are non-defective and a .15 chance that 75 out of each 100 sandwiches are non-defective. Under design K3, there is a .90 chance that 95 out of each 100 sandwiches are non-defective and a .10 chance that 80 out of each 100 sandwiches are non-defective.
The expected profit level of design K1 is $____.
The expected Profit leve of design K2 is___.The expected profit level of design k3 is___.

Answers

Answer:

McBurger, Inc.

The expected profit level of design K1 is $_42,500__.

The expected Profit level of design K2 is_19,063__.

The expected profit level of design k3 is_20,625__.

Explanation:

a) Data and Calculations:

Daily production units at a typical McBurger restaurant = 500 sandwiches

Yearly production units =150,000 (500 * 300)

Unit production cost of a sandwich = $1.20

Selling price of non-defective sandwich = $2.50

                                              Design K1   Design K2    Design K3

Calculation of non-defective units:

0.80 * 90/100 * 150,000         108,000

0.20 * 70/100 * 150,000           21,000

0.85 * 90/100 * 150,000                              114,750

0.15 * 75/100 * 150,000                                16,875

0.90 * 95/100 * 150,000                                                 128,250

0.10 * 80/100 * 150,000                                                    12,000

                                              129,000        131,625       140,250

Sales Revenue                  $322,500    $329,063    $350,625

Production cost                   (180,000)     (180,000)     (180,000)

Cost of design                    (100,000)     (130,000)     (150,000)

Expected profit                   $42,500       $19,063      $20,625

Sales revenue = Non-defective sandwiches * $2.50

Product cost = Production units * $1.20

Expected profit = Sales Revenue - (Product cost + Design cost)

Portions of the financial statements for Myriad Products are provided below. MYRIAD PRODUCTS COMPANY Income Statement For the Year Ended December 31, 2021 ($ in millions) Sales $620 Cost of goods sold 217 Gross margin 403 Salaries expense$85 Depreciation expense 72 Amortization expense 5 Interest expense 12 Loss on sale of land 3 177 Income before taxes 226 Income tax expense 113 Net Income $113 MYRIAD PRODUCTS COMPANY Selected Accounts from Comparative Balance Sheets December 31, 2021 and 2020 ($ in millions) Year 20212020Change Cash$108 $104 $4 Accounts receivable 224 238 (14) Inventory 442 454 (12) Accounts payable 150 142 8 Salaries payable 82 90 (8) Interest payable 31 24 7 Income tax payable 21 14 7 Required: Prepare the cash flows from the operating activities section of the statement of cash flows for Myriad Products Company using the indirect method

Answers

Answer:

$233 million

Explanation:

                      Statement of cash flow

              Cash flow from operating activity

Particulars                                                 Amount ($ in millions)

Net income                                                 113

Adjustment in net income

Depreciation                                   72  

Amortization                                    5

Loss on sale of land                        3

Decrease account receivable       14  

Decrease inventory                       12

Increase account payable             8

Decrease salary payable              (8)

Increase interest payable              7

Increase income tax payable        7           120

Net cash flow from operating activity     233

On 1/29, General Electric bought supplies in the amount of $1,500. What account is debited and what account is credited in the required journal entry for General Electric on 1/29? (Select ALL that apply)

Answers

Answer: Debit Supplies

Credit Cash

Credit Accounts payable.

Explanation:

The journal entry is an act of making records of the transactions in an organization which shows the debit and credit balances of the company.

Based on the information given, since General Electric bought supplies in the amount of $1,500, the journal entry will be:

Debit Supply $1500

Credit Cash / Accounts Payable $1500

From 2009 to 2010, nominal gross domestic product (GDP) in the United States grew by 3.8%. Given that prices increased by 1% and the population grew by 1%, we know that per capita real GDP grew by: g

Answers

Answer:

the per capital real GDP would be grew by 2.8%

Explanation:

The computation of the per capital real GDP would be grew by

= Growth of gross domestic product - increase in prices = growth in population

= 3.8% - 1% - 1%

= 2.8%

Hence, the per capital real GDP would be grew by 2.8%

So , the same should be considered

Sheridan Company used high-low data from June and July to determine its variable cost of $12 per unit. Additional information follows: Month Units produced Total costs June 2300 $37600 July 600 17200 If Sheridan’s produces 2900 units in August, how much is its total cost expected to be?

Answers

Answer:

See below

Explanation:

June 37,600 - 2,300 = 35,300

July 17,200 - 600 = 16,600

Helix Company produces several products in its factory, including a karate robe. The company uses a standard cost system to assist in the control of costs. According to the standards that have been set for the robes, the factory should work 780 direct labor-hours each month and produce 3,900 robes. The standard costs associated with this level of production are as follows:
Total Per Unit of Product
Direct materials $ 78,624 $ 20.16
Direct labor $ 12,870 3.30
Variable manufacturing overhead
(based on direct labor-hours $ 2,340 0.60
$ 24.06
During April, the factory worked only 755 direct labor-hours and produced 4,000 robes. The following actual costs were recorded during the month:
Total Per Unit of Product
Direct materials (14,000 yards) $ 84,000 $ 21.00
Direct labor $ 14,000 3.50
Variable manufacturing overhead $ 7,200 1.80
$ 26.30
At standard, each robe should require 3.2 yards of material. All of the materials purchased during the month were used in production.
Required:
1. Compute the materials price and quantity variances for April: (Input all amounts as positive values. Leave no cells blank - be certain to enter "0" wherever required. Indicate the effect of each variance by selecting "F" for favorable, "U" for unfavorable, and "None" for no effect (i.e., zero variance). Round your intermediate calculations to 2 decimal places and final answers to the nearest dollar amount.)
Materials price variance $ (Click to select)UFNone
Materials quantity variance $ (Click to select)NoneFU
2. Compute the labor rate and efficiency variances for April: (Input all amounts as positive values. Leave no cells blank - be certain to enter "0" wherever required. Indicate the effect of each variance by selecting "F" for favorable, "U" for unfavorable, and "None" for no effect (i.e., zero variance). Do not round your intermediate calculations. Round your final answers to the nearest dollar.)
Labor rate variance $ (Click to select)NoneFU
Labor efficiency variance $ (Click to select)UNoneF
3. Compute the variable manufacturing overhead rate and efficiency variances for April: (Input all amounts as positive values. Leave no cells blank - be certain to enter "0" wherever required. Indicate the effect of each variance by selecting "F" for favorable, "U" for unfavorable, and "None" for no effect (i.e., zero variance). Round your intermediate calculations to 2 decimal places and final answers to the nearest dollar amount.)
Variable overhead rate variance $ (Click to select)UFNone
Variable overhead efficiency variance $ (Click to select)NoneUF

Answers

Answer and Explanation:

The computation is shown below;

1

Material price variance= (Standard Price-Actual Price) × Actual Qty

= (20.16 ÷ 3.2 - 84000 ÷ 14000) × 14000

= $4200 Favorable

Material Quantity variance= (Standard Qty -Actual Qty ) ×Standard Price

= (4000 ×3.2 - 14000) ×6.3

= $7560 Unfavorable

2

Labour rate variance= (Standard Rate-Actual Rate) ×Actual Hour

= (12870 ÷  780-14000 ÷  755) ×755

= $1542.50 Unfavorable

Labour efficiency variance= (Standard Hour -Actual Hour ) × Standard Rate

= (780 × 4000 ÷  3900 - 755) × 16.50

= $742.50 Favorable

3

Variable Overhead rate variance= (Standard Rate-Actual Rate) × Actual Hour

= (2340 ÷  780-7200 ÷  755) × 755

= $4935 Unfavorable

Variable Overhead efficiency variance= (Standard Hour -Actual Hour ) × Standard Rate

= (780 ×  4000 ÷   3900 - 755) ×  3

= $135 Favorable

A company that maintains its books and records under IFRS is applying the revaluation model to a certain fixed asset. In previous years, the value of the asset had declined. In the current year, however, the asset has appreciated in value by an amount that is greater than the cumulative decrease that had occurred previously. How will the company report the asset on the year-end balance sheet for the current year

Answers

Answer: See explanation

Explanation:

The revaluation model is when the fixed asset of a business or an organization is carried at its revalued amount.

Based on the question asked, the asset will be valued based on the new fair value with regards to the increase. It should be noted that the remainder recognized will then be recognized in the other comprehensive income.

Bramble Corp. has the following costs when producing 100000 units: Variable costs $600000 Fixed costs 900000 An outside supplier is interested in producing the item for Bramble. If the item is produced outside, Bramble could use the released production facilities to make another item that would generate $200000 of net income. At what unit price would Bramble accept the outside supplier’s offer if Bramble wanted to increase net income by $140000?

Answers

Answer:

Bramble Corp.

Unit price at which Bramble would accept the outside supplier's offer

= $14.40

Explanation:

a) Data and Calculations;

Production capacity in units = 100,000

Variable costs =      $600,000

Fixed costs =             900,000

Total costs =         $1,500,000

Target net income    140,000

Total revenue =   $1,640,000

Alternative income (200,000)

Differential revenue $1,440,000 ($1,640,000 - $200,000)

Unit price at which Bramble would accept the outside supplier's offer =

$14.40 ($1,440,000/100,000)

Which functions do investment companies perform for their investors? Check all that apply: Asset management Diversification and divisibility Investment advice Lower transaction costs Record keeping

Answers

Answer: All of the above

Explanation:

Investment companies such as mutual and closed end funds work to increase the investments of investors by providing superior asset management services. By investing in many different sectors, they give the investors diversification and divisibility benefits which reduce risk to the investor.

Because these investment companies invest for a lot of people, they are able to buy in bulk which lowers transaction costs per investor. They also have to keep records of all these transactions so they provide the benefit of record keeping as well.

The functions that can be attributed to investment companies to their investors are;

Asset management Diversification divisibility Investment advice Lower transaction costs Record keeping

investment companies are those companies that are responsible management Diversification and divisibility Investment advice to their clients.

Therefore, all the provided options are correct.

Learn more about investment companies at;

https://brainly.com/question/11834742

The purpose or objectives of competition policy

Answers

Answer:

to encourage creativity

A business had an inventory cost of $40,000 the last time it was counted.
Since then, it made $80,000 in purchases and sales of $110,000. Its gross
profit was 25%. What is its estimated inventory at cost using the gross pront
method?
O A. $37,500
B. $42,500
C. $35,000
D. $40,000

Answers

Answer is C. Hope I helped have a good day

Answer:

A. 37,500

Explanation:

Hope this helps :)

Baruch co. has 8% coupon bonds on the market that have 10 years left to maturity. The bonds will make annual payments. If the YTM on these bonds is 6%, what is the current bond price

Answers

Answer:

the current bond price is $1,147.20

Explanation:

The computation of the current bond price is shown below:

Given that

NPER = 10

RATE = 6%

PMT = $1,000 × 8% = $80

FV = $1,000

Here we assume the future value be $1,000

The formula is shown below:

= -PV(RATE,NPER,PMT,PV,TYPE)

After applying the above formula, the current bond price is $1,147.20

Explain how the GDP and the interest rate are related to the transactions demand and asset demand for money.

Answers

Answer:

Transaction demand rises as income or GDp rises and falls as income or DP falls. Also high interest rate causes more to be left as asset, thereby reducing money demand

Explanation:

1. Asset demand for money is money that is kept aside for a person holding it to earn interest on. A high interest rate on money asset reduces the demand for money. This increased rate of interest is the opportunity cost of having money as assets. It has a negative relationship with interest rate of an economy.

2. Transaction money is that which is used for the day to day expenditure. This has a positive relationship with GDP. It increases as income or GDP increases and falls as it falls.

How will you use the cloud to stay organized

Answers

I’m so confused what your talking about I’m sorry

Answer:

Explanation:

Develop a Folder Naming System. Decluttering your cloud space will mean developing a file system and then putting everything in its proper place. ...

The systematic examination of the relationships among selling prices, volume of sales and production, costs, and profits is termed: Group of answer choices contribution margin analysis cost-volume-profit analysis budgetary analysis gross profit analysis

Answers

Answer:

cost-volume-profit analysis

Explanation:

Cost-volume-profit analysis also known as breakeven analysis can be defined as a financial accounting method or technique used for determining the number of units a business firm must sell at a specific price so as to cover all of its costs. It is a concept that allow business owners or financial experts to determine and know what they need to sell either on a monthly or annual (yearly) basis, in order to be able to cover the costs of doing the business.

Basically, it helps us to determine the amount of revenue required for the smooth operation of a business, amount of money needed to cover both fixed and variable costs. Using the breakeven analysis, production costs can be categorized as;

1. Variable costs: these are costs that usually change with respect to changes in the level of production or output. Examples are direct labor, maintenance of equipment or machines, raw materials costs etc.

2. Fixed costs: these are the costs which are not directly related to the level of production or not affected by the quantity of output in an organization. Examples are rent, depreciation, administrative cost, research and development costs, marketing costs etc.

Generally, basic break-even analysis is typically based on the principle that variable costs and revenues generated by a business firm or organization, increase in direct proportion to the volume of production i.e as the volume of production of a business firm increase, its variable cost and revenue generated also increases.

Hence, a cost-volume-profit analysis is mainly used by businesses or organizations to determine how changes in differing levels of activities such as costs and volume affect a company's operating income and net income.

A comparable property sold 17 months ago for $115,000. If the appropriate adjustment for market conditions is 0.30% per month (without compounding), what would be the adjusted price of the comparable property

Answers

Answer and Explanation:

The computation is shown below:

Without compounding, the adjusted price of the comparable property is  

= $115,000 × (1+ (0.003 × 17))

= $115,000 × 1.051

= $120,865

And,  

With compounding:

= $115,000 × (1.003)^10

= $115,000 × 1.030408

= $118,496.92

In this way it should be calculated

A ________ is an example of a first-line manager.

Answers

Answer:

shift manager, I believe

Explanation:

office manager is an example of a first line manager

In Fontainebleau Hotel v. Eden Roc, the Eden Roc Hotel sued the Fontainebleau Hotel when Fontainebleau began erecting a 14-story addition to its premises that Eden Roc claimed blocked air and sunlight from its pool and sunbathing areas. The court determined that

Answers

Answer:

The answer is "The structure could be constructed when it is helpful and beneficial, even if it is partially constructed to deliberately damage the plaintiff ".

Explanation:

As court decided for Beau because although Eden Roc has incurred from the interruption of free air and daylight development, this does not do so because the building fulfills a useful or valued need, but because it is harmed by only a regulation. Whether Eden Roc had been decided by the Supreme, future property gains would've been impeded.

It is held throughout all places that, in which a framework encounters a useful and profit-giving need, there is no legal right to free advance of light and air from the bordering country, for neither damage nor even a guideline under the saying sics utere tuo ut extra - terrestrial non-leads, even though the structure damages by trying to remove fresh air and interfering to vi.

Coronado Company has the following equivalent units for July: materials 19000 and conversion costs 18800. Production cost data are: Materials Conversion Work in process, July 1 $ 7800 $ 2000 Costs added in July 53000 45000 The unit production costs for July are: Materials Conversion Costs

Answers

Answer:

1. Per unit material cost = (Beginning WIP cost + Cost added) / Equivalent units for material

Per unit material cost = ($7,800 + $53,000) / $19,000

Per unit material cost = $60,800 / $19,000

Per unit material cost = $3.20

2. Per unit conversion cost = (Beginning WIP cost + Cost added) / Equivalent units for conversion

Per unit conversion cost = ($2,000 + $45,000) / $18,800

Per unit conversion cost = $47,000 / $18,800

Per unit conversion cost = $2.50

The Wall Street Journal reported the following spot and forward rates for the Swiss franc ($/SF):Spot............................................ $0.943230-day forward.......................... $0.948190-day forward.......................... $0.9531180-day forward........................ $0.9594a. Was the Swiss franc selling at a discount or premium in the forward market?b. What was the 30-day forward premium (or discount)?c. What was the 90-day forward premium (or discount)?d. Suppose you executed a 90-day forward contract to exchange 100,000 Swiss francs into U.S. dollars. How many dollars would you get 90 days hence?

Answers

Answer:

The Wall Street Journal Reports

a. The Swiss franc was selling at a premium in the forward market.

b. The 30-day forward premium was: $0.0049.

c. The 90-day forward premium was: $0.0099.

d. Dollars to receive from a 90-day forward contract is $95,310.

Explanation:

a) Data and Calculations:

Spot and forward rates for the Swiss franc ($/SF):

Spot............................................ $0.9432

30-day forward.......................... $0.9481

90-day forward.......................... $0.9531

180-day forward........................ $0.9594

Premium:

30-day forward.......................... $0.9481

Spot............................................   $0.9432

Premium =                             $0.0049

90-day forward.......................... $0.9531

Spot............................................   $0.9432

Premium =                             $0.0099

180-day forward........................ $0.9594

Spot............................................    $0.9432

Premium =                               $0.0162

Dollars to receive from a 90-day forward contract is $95,310 ($0.9531 * SF 100,000)

Consider two firms producing smartphones. Firm A uses a highly automated robotics process, while Firm B uses human workers on an assembly line and pays overtime when there is heavy production demand. Firm A and B have a similar amount of financial leverage. Which firm will have a higher beta

Answers

Answer:

The firm that will have a higher beta is:

Firm B.

Explanation:

The question here is which firm is more volatile.  Since they have a similar amount of financial leverage, Firm B which uses more human workers on its assembly line and pays overtime will appear to be more volatile than Firm A with a highly automated robotics process.  Firm B faces risks of labor strikes and other vagaries associated with the use of more labor than the market.

On January 1, 2022, Concord Company issued $2,800,000 face value, 7%, 10-year bonds at $3,006,070. This price resulted in a 6% effective-interest rate on the bonds. Concord uses the effective-interest method to amortize bond premium or discount. The bonds pay annual interest on each January 1.
(a) Prepare the journal entries to record the following transactions.
i. The issuance of the bonds on January 1, 2022.
ii. Accrual of interest and amortization of the premium on December 31, 2022.
iii. The payment of interest on January 1, 2023.
iv. Accrual of interest and amortization of the premium on December 31, 2023.

Answers

Answer:

Concord Company

Journal Entries:

i. The issuance of the bonds on January 1, 2022:

Debit Cash $3,006,070

Credit Bonds Payable $2,800,000

Credit Bonds Premium $206,070

To record the issuance of bonds at premium.

ii. Accrual of interest and amortization of the premium on December 31, 2022:

Debit Interest expense $180,364

Debit Premium Amortization $15,636

Credit Interest Payable $196,000

To accrue interest and record premium amortization.

iii. The payment of interest on January 1, 2023:

Debit Interest Payable $196,000

Credit Cash $196,000

To record payment of interest.

iv. Accrual of interest and amortization of the premium on December 31, 2023:

Debit Interest expense $179,426

Debit Premium Amortization $16,574

Credit Interest Payable $196,000

To accrue interest and record premium amortization.

Explanation:

a) Data and Calculations:

January 1, 2022:

Face value of bonds issued =  $2,800,000

Proceeds from the bonds issue 3,006,070

Bonds Premium =                        $206,070

Coupon interest rate = 7%

Effective interest rate = 6%

Bonds maturity period = 10 years

Payment of annual interest = each January 1

December 31, 2022:

Interest expense = $180,364 ($3,006,070 * 6%)

Cash payment = $196,000 ($2,800,000 * 7%)

Amortization of premium $15,636 ($196,000 - $180,364)

Bonds' fair value = $2,990,434 ($3,006,070 - $15,636)

December 31, 2023:

Interest expense = $179,426 ($2,990,434 * 6%)

Cash payment = $196,000 ($2,800,000 * 7%)

Amortization of premium $16,574 ($196,000 - $179,426)

Bonds' fair value = $2,973,860 ($2,990,434 - $16,574)

Analysis:

i. The issuance of the bonds on January 1, 2022:

Cash $3,006,070 Bonds Payable $2,800,000 Bonds Premium $206,070

ii. Accrual of interest and amortization of the premium on December 31, 2022:

Interest expense $180,364 Premium Amortization $15,636 Interest Payable $196,000

iii. The payment of interest on January 1, 2023:

Interest Payable $196,000 Cash $196,000

iv. Accrual of interest and amortization of the premium on December 31, 2023:

Interest expense $179,426 Premium Amortization $16,574 Interest Payable $196,000

The current monthly production volume of a company is 1,120 units. Workers are paid $19 per hour, and each worker can produce 4 units per hour. The fixed costs for a month are $4,200. Determine the selling price of the product that the company should charge in order to breakeven its monthly profit.

Answers

Answer:

The selling price of the product that the company should charge in order to breakeven its monthly profit is $8.50 per unit.

Explanation:

Number of hours worked by workers per month = Total monthly units / Units per hour = 1,120 / 4 = 280

Total monthly variable cost = Total monthly wages = Number of hours worked by workers per month * Hourly rate = 280 * $19 = $5,320

Total monthly cost = Total monthly variable cost + Fixed costs for a month = $5,320 + $4,200 = $9,520

Selling price to breakeven = Total monthly cost / Total monthly units = $9,520 / 1,120 = $8.50

Therefore, the selling price of the product that the company should charge in order to breakeven its monthly profit is $8.50 per unit.

Agreement and disagreement among economists
Suppose that Hubert, an economist from a university in Arizona, and Kate, an economist from a school of industrial relations, are arguing over saving incentives. The following dialogue shows an excerpt from their debate:
Kate: Most people recognize that the budget deficit has been rising considerably over the last century. We need to find the best course of action to remedy this situation.
Hubert: I believe that a cut In income tax rates would boost economic growth and raise tax revenue enough to reduce budget deficits.
Kate: I actually feel that raising the top Income tax rate would reduce the budget deficit more effectively.
The disagreement between these economists is most likely due to_____.
Despite their differences, with which proposition are two economists chosen at random most likely to agree?
A. Lawyers make up an excessive percentage of elected officials.
B. Tariffs and Import quotas generally reduce economic welfare.
C. Minimum wage laws do more to harm low-skilled workers than help them.

Answers

Answer and Explanation:

The disagreement arise between this economist is due to the differences in the scientific judgements as they disagree due to the various scientific judgements. And, despite their differences, the proposition of two economists should be chosen at random as the tariff and import quotas normally decreased the economic welfare as it always result in deadweight loss and in this both economist should be agree for the same

what is the major source of competition for motor carrier?​

Answers

Answer: The major source of competition for motor carrier is intermodal in nature.

The major source competition for motor carriers is railroad. This is because rail system is quicker than motor carriers and has been used widely. Railroads do not cover all geographical zones but they have been a trend in several regions.

Explanation:

Economists Mark Blaug and Ruth Towse studied the market for economists in Britain and found that the quantity demanded was about 150 to 200 a year, and that the quantity supplied was about 300 a year. What likely to happen when there is a surplus of economists in Britain

Answers

Answer: See explanation

Explanation:

In this case, since the supply is more than the demand for Economists in the country, this will lead to a lower wage for the Economists that are employed. This is because there are surplus Economists which can be readily called if those employed aren't willing to collect the lower wages.

Also, the excess Economists can move to other countries where their services will be needed. In some cases, they may take jobs that are similar to their practice such as researchers, marketing roles etc.

There are two reasons that an industry prefers self-regulation to government regulation: cost and flexibility. True False

Answers

Answer:

True.

Explanation:

In general, the vast majority of industrial entrepreneurs prefer self-regulation over government regulation. This is so due to two fundamental factors: on the one hand, the maintenance costs of the government regulatory system are paid for through taxes, which means that the higher the regulations, the higher the taxes that each company must pay, while the self-regulation should not spend. more money than that of the control systems, without allocating sums of money to the government; and on the other, flexibility, that is, the possibility of adapting the processes, systems and needs of each company to the necessary regulations, being able to optimize costs and processes.

Other Questions
There are 75 balloons in each package. How many are in 20 packages What is the missing number in the synthetic division problem below?23 -22 46 8 203 4 ? 24A. 2.B. 8aC. 10D. -6 jill calculates it would take 95 minutes to run 7 miles but it actually take 80 minutes what is percent of error The relationship between the decay constant () and the half-life (t12) is given by the equation t(1/2) = 0.693/. Use the equation for N to derive this relationship.Hint: when t = t(1/2), N/No = 0.5 (1 point)A sample of carbon-14 initially consists of 5 1024 particles. Carbon-14 has a half-life of 5730 years. a. What is the decay constant for carbon-14? (Answer in units of yr1.) (1 point)b. How many radioactive particles of the sample remain after 100 years? (1 point)c. What percentage of the radioactive particles remains after 500 years? (1 point)d. How many radioactive particles of the sample remain after 1000 years? (1 point)e. How much time will it take for 50% of the particles to decay? (1 point)f. How much time will it take for 99% of the particles to decay? (1 point)g. How many half-lives will it take for 99% of the sample to decay? (1 point)h. What is the initial decay rate of the sample? (Answer in decays/yr.) (1 point)i. After 200 years, what is the decay rate of the sample? (1 point)j. How long will it take for the decay rate to decrease to 1015 decays/year? (1 point)k. How many half-lives have passed after the time you found in part (j)? (1 point) When will you say a body is in (i) uniform acceleration? (ii) non-uniformacceleration? Suppose you are developing a data visualization application DataViz which calls some functions from a statistics library class SuperStats. You recently heard about another statistics library UberStats with supposedly significantly better performance than SuperStats. Explain how you would redesign the DataViz class using the Adapter pattern so that DataViz can be configured at runtime to use either SuperStats or UberStats. Does your design use dependency inversion and/or dependency injection? Explain How was the pandemic a great way for us to focus on our self and family HELPPPPP PLEASEEE!!!! Suppose you have 10 helium-filled party balloons tied to a digital camera, so you can take photos of the core of a storm. With 10 balloons the camera will slowly but surely rise. As a storm approaches the atmospheric pressure drops. Assuming the air temperature and density are the same, the volume of each balloon will increase. When you let go, the speed of ascent will be which of the following sentences from martin luther king, jr.'s nobel price acceptance speech best demonstrates king's hope for the future?a. i accept this award today with an abiding faith in america and an audacious faith in the future of mankind.b. every time i take a flight, i am always mindful of the many people who make a successful journey possible the known pilots and the unknown ground crew.c. i refuse to accept the cynical notion that nation after nation must spiral down a militaristic stairway into the bell of thermonuclear destruction. d. i accept the nobel prize for peace at a moment when 22 million negroes of the united states of america are engaged in a creative battle to end the long night of racial injustice. HELP ASAP, i don't get this Question 9The triangles shown are 28 - f =30.5 What is the value of f A report states that the mean household income last year for a certain rural county was $46,200 and the median was $54,500. If a histogram were constructed for the incomes of all households in the county, would you expect it to be skewed to the right, to the left, or approximately symmetric What is the distance from A to B along the S-shaped curve? Given the equation: ( x + 3)2 + ( y - 4)2 = 251. Center: ( , ) ??2. Radius: ??3. Diameter: ?? can anyone help me with this ( no links ) The Latin root -val- means "strong." Based on this definition, what can you conclude is the meaning of the underlined word in the following sentence?The facts provided by the article validated my thesis statement for my research report. a weakened the argument b showed no relevance to the argument c strengthened to make justifiable d strongly contradicted Marian has--- very well since shewas six years old. O a) singingO b) singsO c) sungO d) sang Write a program named split_me.py that accepts a string in the format Age.FirstName and returns the value FirstName is Age years old. Length of Mary is X. Example: 22.Mary >> Mary is 22 years old. Length of Mary is 4