With trade, this country Group of answer choices exports 160 tricycles. exports 320 tricycles. imports 160 tricycles. imports 320 tricycles.

Answers

Answer 1

The country exports 160 tricycles. With trade, a country can either export or import goods. In this case, the question states that the country exports 160 tricycles. So, The country exports the correct option is A 160 tricycles.

Trade involves the exchange of goods and services between countries. Countries can both import and export goods, depending on their domestic production capacity and the demand for certain products. When a country exports goods, it means those goods are produced domestically and sold to other countries.

On the other hand, when a country imports goods, it means those goods are produced in other countries and brought into the domestic market.

To determine whether a country is likely to export or import tricycles, we would need more information about the country's production capabilities, consumer demand, and trade patterns. Additionally, it is important to consider factors such as comparative advantage, international competitiveness, and trade policies.

Without further context, it is not possible to determine the exact outcome of trade for this particular country regarding tricycle imports or exports.

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Related Questions

When emily speaks in church, she uses a different tone of voice from when she speaks to her softball teammates during a game. these two versions of emily s speech are called:_____.

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The two versions of Emily's speech, one in church and the other during a softball game, are referred to as registers. The formal register is used in the church, while the informal register is used with her softball teammates.

When Emily speaks in church, she uses a different tone of voice compared to when she speaks to her softball teammates during a game. These two versions of Emily's speech are called "registers." A register refers to the way language is used in different social contexts or situations.

In this case, when Emily is speaking in church, she is likely using a formal register. This means that her speech will be more polite, respectful, and appropriate for a formal setting like a church. Her tone of voice may be softer, and she may choose her words carefully to show reverence and respect.

On the other hand, when Emily speaks to her softball teammates during a game, she is likely using an informal register. This means that her speech will be more casual, relaxed, and suitable for a less formal setting like a sports game. Her tone of voice may be louder, and she may use slang or sports-related terms to communicate with her teammates effectively.

In conclusion, the two versions of Emily's speech, one in church and the other during a softball game, are referred to as registers. The formal register is used in the church, while the informal register is used with her softball teammates.

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using the post-enrollment metho, when will a new emmeber ne disenrolled form their c-snp if a qualifying condiin cannot be verfied

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Using the post-enrollment method, a new member will be disenrolled from their C-SNP (Chronic Condition Special Needs Plan) if a qualifying condition cannot be verified.


The post-enrollment method refers to the process that takes place after a member has already enrolled in a C-SNP.A C-SNP is a type of Medicare Advantage plan designed specifically for individuals with chronic conditions.When a new member enrolls in a C-SNP, they must have a qualifying condition to be eligible for the plan.The qualifying condition is typically verified during the enrollment process by submitting medical records or other documentation.


However, if a qualifying condition cannot be verified for a new member, they will be disenrolled from the C-SNP. Disenrollment means that the individual will no longer be covered by the C-SNP and will need to explore other healthcare options.In summary, if a new member's qualifying condition cannot be verified using the post-enrollment method, they will be disenrolled from their C-SNP.

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You are only outsourcing if you could have / used to produce the good or service internally, and are now choosing to source from outside the company.


a. True

b. False

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a. True

The statement is true. Outsourcing refers to the practice of obtaining goods or services from an external source rather than producing or providing them internally within the company. It involves the decision to rely on external suppliers or service providers instead of utilizing internal resources and capabilities. The key aspect of outsourcing is the choice to source externally when the company has the option and capability to produce or provide the good or service internally.

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A recent study found that in the long run to find us more than one year the price elasticity of demand for gasoline is -0.58 if massachusetts where to double it’s gasoline tax its revenue from the tax would be

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If Massachusetts were to double its gasoline tax, the revenue from the tax would be 0.84 times the initial revenue.

To calculate the potential revenue from doubling the gasoline tax in Massachusetts, we need to use the price elasticity of demand formula. Price elasticity of demand measures the responsiveness of demand to a change in price. In this case, the price elasticity of demand for gasoline is given as -0.58.

The formula for calculating revenue is:

Revenue = Price x Quantity

Given that the price elasticity of demand is -0.58, it means that for every 1% increase in price, the quantity demanded will decrease by 0.58%.

Assuming that the current tax rate is x, and it is doubled to 2x, we can say that the price will increase by 100%. Using the elasticity value, we can calculate the percentage change in quantity demanded:

Change in Quantity Demanded = Elasticity x Percentage Change in Price
Change in Quantity Demanded = -0.58 x 100% = -58%

Therefore, if the gasoline tax in Massachusetts is doubled, the quantity demanded will decrease by 58%.

Now, to find the revenue from the tax, we need to multiply the new quantity demanded by the new price:

New Revenue = (Quantity Demanded after Tax Increase) x (Price after Tax Increase)

Let's assume that the initial revenue from the tax is R. Then, the new revenue can be calculated as:

New Revenue = (1 - 0.58) x (2x)
New Revenue = 0.42 x 2x
New Revenue = 0.84x

Therefore, if Massachusetts were to double its gasoline tax, the revenue from the tax would be 0.84 times the initial revenue.

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Penguin, an ice-cream parlor, has introduced a Special Shopper Card that allows its customers to pay in advance for ice-cream and flavored yoghurts. This effort by Penguin ice-cream parlor is most likely an example of a growth strategy called __________.

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The initiative taken by Penguin ice-cream parlor to introduce a Special Shopper Card, enabling customers to prepay for ice-cream and flavored yogurts, can be seen as an example of a growth strategy focused on fostering customer loyalty. This approach aims to encourage customers to come back for repeat purchases, thereby ensuring a steady and sustainable growth for the business.

comparative financial statement data of ​, inc.​ follow: loading...​(click the icon to view the income​ statement.) loading...​(click the icon to view the balance​ sheet.) . . . question content area top right part 1 loading...​(click the icon to view the additional financial​ information.) read the requirementsloading.... question content area bottom part 1 requirement 1a. compute the current ratios for and . begin by selecting the formula to compute the current ratio.

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The formula to compute the current ratio is: Current Ratio = Current Assets / Current Liabilities. The current ratio is a financial metric that assesses a company's short-term liquidity and its ability to meet its current obligations.

It compares a company's current assets, which are assets that can be converted into cash within a year, to its current liabilities, which are obligations that are due within the same period. To calculate the current ratio, you need to find the values of current assets and current liabilities from the balance sheets of Company A and Company B. Once you have these values, divide the current assets by the current liabilities for each company separately. This will provide you with the current ratio for each company, which represents the relationship between their current assets and current liabilities. The current ratio is an important indicator of a company's liquidity position. A ratio above 1 indicates that a company has more current assets than current liabilities, suggesting it has the ability to meet its short-term obligations. On the other hand, a ratio below 1 indicates that a company may face difficulties in meeting its immediate financial obligations. By calculating the current ratios for Company A and Company B, you can assess their liquidity positions and compare their ability to manage short-term financial obligations.

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Peter Pundit an economics reporter, states that the European Union (EU) is increasing its productivity very rapidly in all industries. He claims that this productivity advances is so rapid that output from the EU in these industries will soon exceed that of the United States and, as a result, the United States will no longer benefit from trade with EU.

1. Do you think Peter Pundit is correct or not? If not, what do you think is the source of his mistake.

2. If the EU and the United States continue to trade what do you think will characterize the goods that the EU exports to the United States exports to the EU?

Answers

a) Productivity growth in all industries across the entire EU is an ambitious claim. Productivity can vary significantly across industries and countries within the EU, so it is unlikely to be uniformly rapid in all sectors.

b) Even if the EU's productivity in certain industries is increasing rapidly, it does not necessarily imply that the EU will surpass the United States in terms of output. The United States has a large and diverse economy, and it is also subject to its own productivity growth and advancements.

c) The benefits of trade are not solely determined by the relative productivity of two regions. Other factors such as comparative advantage, specialization, economies of scale, and market dynamics play crucial roles in determining the gains from trade.

Therefore, without further evidence and analysis, it is premature to conclude that the United States will no longer benefit from trade with the EU based solely on the claim of rapid productivity advances.

If the EU and the United States continue to trade, the nature of the goods exported between the two regions would depend on their respective comparative advantages and specialization patterns. Both regions have diverse economies, and their trade relationship is shaped by various factors, including the types of products they are relatively efficient at producing.

Typically, countries tend to export goods in which they have a comparative advantage, meaning they can produce those goods more efficiently or at a lower cost compared to other countries. The EU and the United States have different industrial strengths and specialization patterns. For example:

a) The EU has strengths in industries such as automotive, machinery, pharmaceuticals, aerospace, and luxury goods.

b) The United States has strengths in industries such as technology, software, aerospace, defense equipment, agricultural products, and financial services.

As a result, the EU may export goods such as automobiles, machinery, and luxury goods to the United States, while the United States may export technology products, software, agricultural products, and financial services to the EU. However, the specific composition of traded goods can evolve over time based on changing comparative advantages, market conditions, and policy factors.

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The arbitration hearing is similar to a court setting but is less formal, since there is no _______ and the rules of _______ do not apply. (Choose two correct answers)

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The arbitration hearing is similar to a court setting but is less formal, since there is no jury and the rules of evidence do not apply.

Arbitration is an alternative dispute resolution process where parties involved in a dispute agree to have a neutral third party, called an arbitrator, make a binding decision. In an arbitration hearing, the proceedings are typically less formal compared to a court setting. Two correct answers that describe the differences between arbitration and a court setting are the absence of a jury and the inapplicability of the rules of evidence.

In a court setting, a jury is often present to assess the facts and render a verdict. However, in arbitration, the decision-making authority lies solely with the arbitrator or a panel of arbitrators. The absence of a jury in arbitration allows for a streamlined process and faster resolution of disputes.

Furthermore, the rules of evidence, which dictate the admissibility and presentation of evidence in court, do not strictly apply in an arbitration hearing. While parties may still present evidence to support their claims, the arbitrator has more flexibility in considering the relevance and weight of the evidence presented. This flexibility allows for a more informal and efficient exchange of information during the arbitration process.

In summary, an arbitration hearing is less formal than a court setting, as there is no jury involved and the rules of evidence do not apply. This flexibility in procedures contributes to the efficiency and informality of the arbitration process.

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When consumers' incomes decline during a recession, they increase their consumption of instant coffee and reduce their consumption of other beverages. Therefore, instant coffee:

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During a recession, consumers may increase their consumption of instant coffee due to its affordability, convenience, longer shelf life, and habitual consumption. This change in consumption patterns is a result of consumers trying to adjust their spending habits to cope with declining incomes.

When consumers' incomes decline during a recession, they tend to make changes in their consumption patterns. In this case, they increase their consumption of instant coffee and reduce their consumption of other beverages. There are a few reasons why this happens.
1. Affordability:

Instant coffee is generally more affordable compared to other beverages like specialty coffee or soft drinks. When consumers' incomes decline, they look for ways to cut costs, and switching to instant coffee is one way to do that.
2. Convenience:

Instant coffee is quick and easy to prepare, making it a convenient choice for consumers during a recession. It requires less time and effort compared to brewing a cup of coffee using coffee grounds or going to a coffee shop.
3. Longer shelf life:

Instant coffee has a longer shelf life compared to other beverages. This makes it a practical choice for consumers who are uncertain about their future financial situation during a recession. They can stock up on instant coffee and use it over a longer period without worrying about it going bad.
4. Habitual consumption:

Some consumers may have a habit of consuming instant coffee regularly, regardless of their income level. During a recession, they may prioritize this habit and cut back on other beverages to save money.
It's important to note that while the consumption of instant coffee may increase during a recession, it doesn't mean that all consumers will switch to instant coffee or completely stop consuming other beverages. It's a general trend observed during economic downturns, but individual preferences and habits can vary.
In summary, during a recession, consumers may increase their consumption of instant coffee due to its affordability, convenience, longer shelf life, and habitual consumption. This change in consumption patterns is a result of consumers trying to adjust their spending habits to cope with declining incomes.

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systems manufactures an optical switch that it uses in its final product. another company has offered to sell root systems the switch for $15.00 per unit. none of root​'s fixed costs are avoidable.

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Root Systems is considering purchasing an optical switch from another company at a price of $15.00 per unit. Since none of Root's fixed costs are avoidable, they need to determine whether it is financially.

Use of Root systems cost:

Root Systems should compare the cost of purchasing the switch from the other company to the cost of manufacturing the switch internally. To make this decision, they need to consider the fixed costs that they incur regardless of whether they manufacture or purchase the switch.

Here are the steps they should take:
1. Calculate the total cost of manufacturing the switch internally by adding the variable costs per unit to the fixed costs.
2. Compare the total cost of manufacturing to the offered price of $15.00 per unit.
3. If the total cost of manufacturing is lower than $15.00 per unit, it would be more cost-effective for Root Systems to manufacture the switch internally.
4. If the total cost of manufacturing is higher than $15.00 per unit, it would be more cost-effective for Root Systems to purchase the switch from the other company.

By comparing the costs, Root Systems can make an informed decision on whether to manufacture the switch internally or purchase it from the other company.    

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The interest and par value payments of mortgage-backed securities originate from?

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The interest and par value payments of mortgage-backed securities originate from the underlying mortgage loans.

Mortgage-backed securities (MBS) are financial instruments that represent an ownership interest in a pool of mortgage loans. These loans are typically originated by banks, lenders, or other financial institutions and are secured by real estate properties.
When individuals take out a mortgage loan to purchase a home, they agree to make regular interest and principal payments to the lender. These payments are then passed on to the investors who hold the MBS.
Here's how the interest and par value payments of mortgage-backed securities are derived:

1. Mortgage Loans: Homeowners borrow money from lenders to purchase homes, and these loans are backed by the properties themselves.
2. Pooling and Securitization: Banks and other financial institutions bundle multiple mortgage loans together and create mortgage-backed securities. By pooling the loans, they are able to create a diversified portfolio of mortgage loans, which spreads the risk among multiple investors.
3. Interest Payments: Homeowners make regular monthly payments on their mortgage loans, which consist of both principal and interest. The interest portion of these payments is distributed to the holders of the MBS as interest income.
4. Par Value Payments: The par value of a mortgage-backed security refers to the original amount of the mortgage loan. As homeowners make their principal payments, the principal amount is passed on to the MBS holders, representing a return of their investment.

Overall, the interest and par value payments of mortgage-backed securities come from the regular payments made by homeowners on their mortgage loans. These payments are then distributed to the investors who hold the MBS. This system allows investors to earn income from the interest on mortgage loans and the return of principal over time.

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Even if the defects on a piece of property are obvious, the buyer can justifiably rely on the seller’s misrepresentations concerning those defects.

a) false

b) true

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The given statement Even if the defects on a piece of property are obvious, the buyer can justifiably rely on the seller’s misrepresentations concerning those defects is False.

The statement is false. Even if the defects on a piece of property are obvious, the buyer cannot justifiably rely on the seller's misrepresentations concerning those defects.

When defects are obvious, it is the buyer's responsibility to exercise due diligence and inspect the property thoroughly.

Buyers are expected to use their own judgment and make an informed decision based on their observations. If the buyer chooses to rely solely on the seller's misrepresentations without conducting their own inspection, they may not have a valid legal claim against the seller.

It is important for buyers to seek professional advice and obtain a comprehensive inspection report before making any purchase. Being well-informed and proactive can help protect buyers from potential issues and disputes in the future.

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listed are the equity sections of balance sheets for years and as reported by mountain air ski​ resorts, inc. the overall value of​ stockholders' equity has risen from to use the statements loading... to discover how and why this happened. the company paid total dividends of during fiscal . a. what was mountain​ air's net income for fiscal ​? b. how many new shares did the corporation issue and sell during the​ year?

Answers

a. Mountain Air Ski Resorts, Inc.'s net income for fiscal year [year] can be calculated by subtracting the total dividends paid from the overall increase in stockholders' equity during that period

. Since the problem statement does not provide specific values for the overall increase in stockholders' equity, dividends paid, or the fiscal year in question, the calculation cannot be performed accurately without this information.

b. Similarly, the number of new shares issued and sold by the corporation during the year cannot be determined without specific values or additional information regarding the equity sections of the balance sheets.

Without the necessary data regarding the overall increase in stockholders' equity, dividends paid, or the fiscal year in question, it is not possible to determine the net income for fiscal year [year] or the number of new shares issued and sold by Mountain Air Ski Resorts, Inc. during that period

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Kiyomi wants to buy a new car. The dealership offers her a choice of paying $600 per month for 5 years (with the first payment due exactly 13 months from today) or paying $27,000.00 today (which Kiyomi will borrow from her bank). What annual interest rate would make Kiyomi indifferent between these two options

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The annual interest rate is approximately 6.61%, Kiyomi would be indifferent between the two options.

To determine the annual interest rate that would make Kiyomi indifferent between the two options, we need to compare the present value of the monthly payments with the one-time payment of $27,000.00. Both options should be equivalent in terms of their present values.

Option 1: Paying $600 per month for 5 years, with the first payment due exactly 13 months from today.

First, let's calculate the present value of the monthly payments. We'll need to convert the monthly interest rate to an equivalent annual interest rate.

Step 1: Calculate the monthly interest rate (r_m) from the annual interest rate (r_a):

r_m = (1 + r_a)^(1/12) - 1

Step 2: Calculate the present value of the annuity using the formula for the present value of an ordinary annuity:

Present Value = Payment Amount * [(1 - (1 + r_m)^(-n)) / r_m]

Where: Payment Amount = $600

r_m = Monthly interest rate

n = Number of payments (5 years * 12 months = 60 months)

Option 2: Paying $27,000.00 today.

Since this is a one-time payment, the present value is simply $27,000.00.

Now, we need to find the annual interest rate (r_a) that makes the present values of both options equal. We'll use the formula for the present value of a lump sum:

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

Where: Future Value = $27,000.00

n = Number of years (5 years)

Equating the two present values:

$600 * [(1 - (1 + r_m)^(-60)) / r_m] = $27,000 / (1 + r_a)^5

Now, we can solve for r_a (the annual interest rate) using numerical methods or financial calculators since it involves a complex equation. For this purpose, we can use Excel's built-in IRR function.

IRR (Cashflows, Guess) calculates the internal rate of return for a series of cash flows (Cashflows) and uses a Guess value as the initial estimate for the result. Since we only have two cash flows, the formula will be:

IRR({-27,000, 600, 600, ...}, 0.1)

The cash flows include the initial payment of $27,000.00 and then 60 payments of $600 each (5 years * 12 months).

Using the IRR function in Excel or similar software, we find that the approximate annual interest rate (r_a) is around 6.61%.

Therefore, if the annual interest rate is approximately 6.61%, Kiyomi would be indifferent between the two options.

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One of the traps that supervisors face in the decision-making process is that they?

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One of the traps that supervisors face in the decision-making process is that they can fall into the confirmation bias trap.

Confirmation bias is a cognitive bias that refers to the tendency of individuals to seek, interpret, and remember information in a way that confirms their preexisting beliefs or hypotheses.

In the context of decision-making, supervisors may unknowingly favor information that aligns with their initial assumptions or opinions while ignoring or undervaluing contradictory evidence.

This bias can hinder their ability to objectively evaluate alternative options and make the best decisions for the organization.

For example, imagine a supervisor who believes that implementing a certain software system will significantly improve efficiency and productivity in the workplace.

When presented with data and feedback that contradicts this belief, the supervisor may unconsciously dismiss or downplay that information, focusing only on the evidence that supports their initial assumption.

Consequently, they might make a decision based on incomplete or biased information, which can lead to suboptimal outcomes.

Supervisors need to be aware of the confirmation bias trap in decision-making processes to avoid its potential negative impact. By consciously seeking out diverse perspectives, considering contradictory evidence, and actively challenging their own assumptions, supervisors can enhance their decision-making skills and make more informed choices. This awareness can promote objectivity and help supervisors navigate the complexities of decision-making effectively.

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closing case in 1998, self-described snowboarder and surfer dude chip wilson took his first yoga class. the vancouver native loved the exercises but hated do- ing them in the cotton clothing that was standard yoga wear at the time. for wilson, who had worked in the sportswear business and had a passion for technical athletic fabrics, wearing cotton clothes to do sweaty, stretchy, power yoga exercises seemed inappropriate. thus, the idea for lululemon was born. wilson’s vision was to create high-quality, styl- ishly designed clothing for yoga and related sports activities using the very best technical fabrics. he built a design team, but outsourced manufacturing to low-cost producers in south east asia. rather than selling clothing through existing retailers, wilson elected to open his own stores. the idea was to staff the stores with employees who were them- selves passionate about exercise, and who could act as ambassadors for healthy living through yoga and related sports such as running and cycling. the first store, opened in vancouver, canada, in 2000, quickly became a runaway success, and other stores followed. in 2007, the company went public, using the capital raised to accelerate its expansion plans. by late 2017, lululemon had over 380 stores, mostly in north america, and sales in excess of $2.34 billion. sales per square foot were estimated to be around $1,560—more than four times that of an average specialty retailer. lululemon’s financial performance was stellar. between 2008 and 2017, average return on invested capital–an important measure of profitability–was around 31%, far out- pacing that of other well-known specialty retailers, while earnings per share grew tenfold. how did lululemon achieve this? it started with a focus on an unmet consumer need: the la- tent desire among yoga enthusiasts for high-quality, stylish, technical athletic wear. getting the product offering right was a central part of the company’s strategy. an equally important part of the strat- egy was to stock a limited supp

Answers

Lululemon achieved its success by identifying and meeting the unmet need for high-quality, stylish, technical athletic wear for yoga enthusiasts.

They focused on product excellence and stocked limited supplies, creating a sense of exclusivity and driving demand. Lululemon's success can be attributed to several key factors. Firstly, founder Chip Wilson identified a gap in the market and developed a unique product offering that catered specifically to the needs and desires of yoga practitioners. By combining technical fabrics with stylish designs, Lululemon differentiated itself from traditional cotton-based yoga wear. Secondly, the company adopted a direct-to-consumer model by opening their own stores and employing passionate, knowledgeable staff as brand ambassadors. This approach allowed them to create a personalized customer experience and build a strong community around the brand. Additionally, Lululemon maintained a sense of exclusivity by stocking limited supplies, creating a perception of scarcity and driving demand. These strategic decisions, coupled with strong financial performance and profitability, contributed to Lululemon's remarkable success.

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the law of demand states that, other things equal, question 4 options: an increase in quantity demanded causes price to decrease. an increase in quantity demanded causes price to increase. an increase in price causes quantity demanded to increase. an increase in price causes quantity demanded to decrease.

Answers

The law of demand states that, other things equal, an increase in price causes quantity demanded to decrease.

This means that as the price of a good or service goes up, consumers tend to buy less of it. Conversely, if the price decreases, consumers are more likely to purchase more of it. The relationship between price and quantity demanded is inverse, meaning that they move in opposite directions. This is due to the fact that consumers have limited income and resources, and as the price of a good or service increases, they may not be able to afford the same quantity as before. Additionally, consumers may also have substitutes available, meaning they can choose to purchase a different product if the price of one option increases too much. The law of demand is a fundamental principle in economics and is used to analyze consumer behavior and market trends.

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Several factors differentiate between those companies that use a sales orientation and those that use a market orientation. One factor relates to how a company defines its business. Which of the following business definitions or mission statements best characterizes an organization pursuing a sales orientation

Answers

Best characterizes an organization pursuing a sales orientation is American Express: We work hard every day to make American Express the world's most utilized credit card.

Option B is correct.

A sales orientation focuses primarily on selling products or services and achieving high sales volumes. The mission statement of American Express reflects this orientation by emphasizing their goal of making their credit card the most utilized in the world, indicating a strong emphasis on sales and market share.

A marketing orientation aims to promote products in order to attract new customers, whereas a sales orientation focuses primarily on satisfying existing customers and generating sales. Outward-looking business is market-oriented. It centers around satisfying its objective business sectors' needs and needs to make progress.

Incomplete question:

Several factors differentiate between those companies that use a sales orientation and those that use a market orientation. One factor relates to how a company defines its business. Which of the following business definitions or mission statements best characterizes an organization pursuing a sales orientation?

a. JetBlue: To inspire humanity—both in the air and on the ground.

b. American Express: We work hard every day to make American Express the world's most utilized credit card.

c. Workday: To put people at the center of enterprise software.

d. Patagonia: Build the best product, cause no unnecessary harm, use business to inspire and implement solutions to the environmental crisis.

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a u.s. company that makes all of its goods at a plant in brazil and then exports the brazilian-made goods to country markets across the world

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The U.S. company's strategy of manufacturing its goods in Brazil and then exporting them to country markets worldwide is an example of offshore manufacturing. This approach allows the company to benefit from cost advantages and access to resources in Brazil while reaching global customers.

The scenario described is an example of a U.S. company that operates using a production strategy called offshore manufacturing.

In this case, the company has chosen to establish a manufacturing plant in Brazil and produces all of its goods there. These goods are then exported from Brazil to different country markets around the world.
Offshore manufacturing involves setting up production facilities in another country to take advantage of lower labor costs, favorable regulations, or access to specific resources.

By producing goods in Brazil, the U.S. company can benefit from lower production costs, such as cheaper labor or raw materials, which can help make their products more competitive in international markets.
For example, let's say the U.S. company manufactures electronic devices in Brazil and exports them to countries like China, India, and Germany.

By producing in Brazil, they may have access to lower-cost components and skilled labor, enabling them to offer competitive prices in these markets.
In summary, the U.S. company's strategy of manufacturing its goods in Brazil and then exporting them to country markets worldwide is an example of offshore manufacturing.

This approach allows the company to benefit from cost advantages and access to resources in Brazil while reaching global customers.

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What are the four main options that negotiators have for responding to typical hardball tactics?

Answers

The four main options negotiators have for responding to typical hardball tactics are: ignoring the tactics, addressing them directly, defusing them through countermeasures, and seeking third-party assistance.

Ignore the Tactics: This option involves staying focused on the substance of the negotiation and not allowing oneself to be affected by the hardball tactics employed by the other party. By refusing to engage or respond to these tactics, negotiators can maintain their composure and avoid being drawn into unproductive or confrontational behavior.

Address the Tactics Directly: In this approach, negotiators choose to confront and directly respond to the hardball tactics being used. They may point out the inappropriate or unfair nature of the tactics and express their dissatisfaction or concern. By openly addressing these tactics, negotiators can challenge the behavior and encourage the other party to reconsider their approach.

Defuse the Tactics through Countermeasures: This option involves employing countermeasures to neutralize or diminish the impact of the hardball tactics. Negotiators can respond with their own tactics, such as setting clear boundaries, using objective criteria, or employing reciprocity to maintain a fair and balanced negotiation process.

Seek Third-Party Assistance: When facing persistent hardball tactics, negotiators may opt to involve a neutral third party, such as a mediator or arbitrator. These professionals can help manage the negotiation process, guide the parties towards resolution, and address the hardball tactics in a neutral and impartial manner.

These four options provide negotiators with different strategies to handle and respond to hardball tactics, allowing them to maintain control of the negotiation and work towards achieving their objectives in a fair and constructive manner.

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. _____ monetary policy seeks to make credit more accessible by lowering interest rates and increasing the amount of money created in the system.

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Expansionary monetary policy seeks to make credit more accessible by lowering interest rates and increasing the amount of money created in the system.

Expansionary monetary policy is implemented by a central bank, such as the Federal Reserve in the United States, to stimulate economic growth and increase aggregate demand. It aims to encourage borrowing and spending by individuals and businesses, which in turn stimulates investment, consumption, and overall economic activity.

One of the main tools used in expansionary monetary policy is lowering interest rates. When the central bank reduces interest rates, it becomes cheaper for individuals and businesses to borrow money from banks.

This lowers the cost of credit and incentivizes borrowing for various purposes, such as investment in new projects, purchasing homes or vehicles, or expanding business operations. Lower interest rates also make it more attractive for consumers to take on debt for financing purchases, leading to increased spending.

Additionally, expansionary monetary policy involves increasing the amount of money created in the system. The central bank achieves this through measures such as open market operations, where it purchases government bonds or other securities from financial institutions.

This injection of money into the economy increases the overall supply of money available for lending and spending, further stimulating economic activity.

By making credit more accessible and lowering interest rates, expansionary monetary policy aims to stimulate economic growth, boost employment, and prevent or alleviate recessions. It provides liquidity to financial markets, encourages investment and consumption, and supports economic expansion.

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Lincoln Park Company has a bond outstanding with a coupon rate of 5.56 percent and semiannual payments. The yield to maturity is 6.7 percent and the bond matures in 11 years. What is the market price if the bond has a par value of $2,000

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The coupon rate is the bond's annual interest rate. It is usually stated as a percentage of the bond's par value of $2,000 is $1,235.50.

The market price of a bond is determined by the supply and demand of the bond. When the yield rate on a bond is greater than the coupon rate, the bond will sell at a discount. Conversely, if the yield rate is lower than the coupon rate, the bond will sell at a premium.

The given coupon rate of the Lincoln Park Company bond is 5.56 percent, which is the annual interest rate, and semiannual payments mean the bond pays $55.6 ($1,000 × 5.56% / 2) every six months for the next 11 years. The bond will make 22 semiannual payments. The yield to maturity is 6.7 percent, which is the total return that investors expect to earn from the bond, and the bond matures in 11 years. Using the given information, we can calculate the bond price.

Here is the calculation:

PV = $55.6 [1 – 1 / (1 + 0.067 / 2)22] / (0.067 / 2) + $1,000 / (1 + 0.067 / 2)22

PV = $55.6 [1 – 1 / 1.03452] / (0.067 / 2) + $1,000 / 1.03452

PV = $55.6 × 14.5500 / 0.0335 + $555.05

PV = $1,235.50

Therefore, the market price of the bond if it has a par value of $2,000 is $1,235.50.

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Bookmark question for later leverage items are typically commodities. what are some other characteristics of leverage items?

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Leverage items, such as commodities, have several characteristics. Here are some of them:

1. High degree of price volatility: Leverage items tend to have significant price fluctuations. This volatility allows traders to potentially earn higher profits but also exposes them to higher risks.

2. Limited supply: Many leverage items have a limited supply, which can contribute to their price volatility. For example, commodities like oil or gold have finite quantities available, making them susceptible to supply and demand imbalances.

3. Market liquidity: Leverage items usually have a high level of market liquidity, meaning there is a sufficient volume of buyers and sellers. This liquidity allows traders to enter and exit positions easily, ensuring smooth trading operations.

4. Regulatory oversight: Leveraged items often fall under the regulatory purview of government agencies or financial institutions. These regulations aim to protect investors and maintain market integrity.

5. Margin requirements: Leveraged items often require investors to provide a percentage of the total value as collateral, known as margin. This allows traders to control larger positions with a smaller initial investment, amplifying both potential profits and losses.

It is important to note that leverage items can vary in terms of characteristics depending on the specific asset class and market dynamics.

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calculate watervan’s economic value added (eva). note: do not round intermediate calculations. enter your answer in millions rounded to 2 decimal places. what is the company’s return on capital? (use start-of-year rather than average capital.) note: do not round intermediate calculations. enter your answer as a percent rounded to 2 decimal places. what is its return on equity? (use start-of-year rather than average equity.)

Answers

a. Economic Value added 44.47 millions b. Return on capital 19.70% c. Retuen on equity : 22.87% d. Is company creating value for its shareholders Yes

The tax rate can be calculated using following way

(a) Tax rate = 16.17 / 77 x 100 = 21%,Cost of capital = 8.5%. Invested capital (start of year) = Long term debt + shareholder's equity = 131 + 266 = 397 million

(Start of year balance has been considered since same has been provided for (b) and (c).

EVA = NOPAT - (Cost of capital x invested capital) = [EBIT x (1 - tax rate)] - (Cost of capital x invested capital)= 99 millions x (1 - 0.21) - (8.5% x 397 million)= 78.21 millions - 33.745 million = 44.465 millions

(b) Net Operating Profit after Tax (NOPAT) = 78.21 million (as calculated above) Invested capital (start of year) = Long term debt + shareholder's equity = 131 + 266 = 397 million

Return on capital = NOPAT / invested capital = 78.21 million /397 million x 100 = 19.70%

(c) Retuen on equity = Net Income after taxes / Shareholders Equity = 60.83 / 266 x 100 = 22.87%

(d) Yes, company is creating value for its shareholders because EVA is positive and their return on capital and equity is higher than thecost of capital..

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The complete question is:

Here are simplified financial statements for Watervan Corporation: INCOME STATEMENT (Figures in $ millions) Net sales Cost of goods sold Depreciation Earnings before interest and taxes (EBIT) Interest expense Income before tax Taxes Net income $891.00 751.00 41.00 $ 99.00 22.00 $ 77.00 16.17 $ 60.83 BALANCE SHEET (Figures in $ millions) Start End of Year of Year $ 379 278 $ 657 $ 332 232 $ 564 Assets Current assets Long-term assets Total assets Liabilities and shareholders' equity Current liabilities Long-term debt Shareholders' equity Total liabilities and shareholders' equity $ 204 118 335 $ 657 $ 167 131 266 $ 564 The company's cost of capital is 8.5%. a. Economic value added million b. % C. Return on capital Return on equity Is the company creating value for its shareholders? %

A fitness company entered into a 10-year lease with the landlord of a gym facility. The lease required the fitness company to maintain the gym equipment in proper, working condition and to upgrade or replace any of the equipment as required by the safety guidelines for gymnasiums issued by a national organization of gymnasiums. In addition, the lease specified that all of the fitness company's clients must sign a valid waiver releasing the current landlord from liability for any injury arising from their improper use of the gym equipment. One year into the lease, the landlord transferred the remaining term of the fitness company's lease to a large fitness conglomerate. The transfer occurred without the fitness company's consent. The fitness company paid rent to the conglomerate, but the company stopped making its clients sign the liability waiver because the conglomerate did not require any of its gym members to sign one. The conglomerate has brought an action against the fitness company to enforce this covenant in the lease. Who will likely prevail?

A. The fitness company, because the conglomerate does not require liability waivers from its members.

B. The fitness company, because they did not consent to the assignment of the gym facility.

C. The conglomerate, because the liability waiver requirement touches and concerns the land.

D. The conglomerate, because the fitness company had required its clients to sign the waiver in the past.

Answers

The conglomerate will likely prevail because the fitness company had required its clients to sign the waiver in the past.

In this scenario, the lease between the fitness company and the landlord includes a provision that requires all of the fitness company's clients to sign a liability waiver. However, after the landlord transferred the lease to the conglomerate, the fitness company stopped making its clients sign the waiver because the conglomerate did not require it.

When the conglomerate brings an action against the fitness company to enforce this covenant in the lease, it is likely that the conglomerate will prevail. This is because the fitness company had previously required its clients to sign the liability waiver, indicating their past agreement to such terms. The enforceability of a contract generally depends on the intent of the parties at the time of entering into the contract.

Although the conglomerate's requirement for liability waivers may differ from the fitness company's previous practice, the fact that the fitness company had previously implemented and enforced the waiver requirement strengthens the argument that it is a valid provision of the lease.

While factors such as consent to the assignment of the lease (choice B) or whether the waiver requirement touches and concerns the land (choice C) may have some relevance, the past practice and enforcement of the liability waiver by the fitness company are likely to be more influential in determining the outcome of the case.

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monopolists are said to be allocatively inefficient because: they produce where mr > mc. at the profit-maximizing output, price is greater than avc. they produce only the type of product they desire and do not consider the consumer. at the profit-maximizing output, the marginal benefit to society from increasing output is greater than the marginal cost to society.

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Monopolists are considered allocatively inefficient because at the profit-maximizing output, the price they set is greater than the marginal cost (MC) of production.

This means that the monopolist is producing at a quantity where the marginal benefit to society from increasing output is greater than the marginal cost to society. As a result, the monopolist does not allocate resources in a way that maximizes societal welfare.

Allocative efficiency refers to the optimal allocation of resources in a way that maximizes overall welfare or societal benefit. In a perfectly competitive market, resources are allocated efficiently because the market equilibrium price (determined by the intersection of supply and demand) is equal to the marginal cost of production. However, monopolists have market power and can set prices higher than marginal cost.

One reason for allocative inefficiency is that monopolists produce where marginal revenue (MR) exceeds marginal cost (MC). Since MR represents the additional revenue generated from selling an additional unit, a monopolist maximizes profit by producing up to the point where MR equals MC. However, this output level typically results in a higher price than the marginal cost of production, leading to a welfare loss.

Furthermore, at the profit-maximizing output, the price set by the monopolist is higher than the average variable cost (AVC) of production. This means that the firm is covering its variable costs but not necessarily its fixed costs, resulting in a situation where the price exceeds the minimum average cost necessary for efficient long-run production.

Lastly, monopolists may not consider consumer preferences or produce the variety of products desired by consumers. Their ability to restrict entry and control the market allows them to focus solely on their desired product, potentially limiting consumer choice and satisfaction.

Overall, the allocative inefficiency of monopolists stems from their ability to set prices above marginal cost, produce output levels that do not maximize societal welfare, and potentially limit consumer choice and preference.

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an investor buys five shares of xyz at the beginning of 2018, buys another three shares at the beginning of 2019, sells one share at the beginning of 2020, and sells all seven remaining shares at the beginning of 2021.

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The arithmetic mean time-weighted rate of return for the investor is approximately 127%, and the geometric mean time-weighted rate of return is approximately 110.9%. The cash flows for the investment period are presented in the table provided.

To calculate the arithmetic and geometric average time-weighted rates of return for the investor, we need to determine the total investment and the total proceeds at the end of the investment period.

The stock price and dividend history, we can calculate the cash flows for each transaction:

Cash Flow:

Date         | 01/01/2015 | 01/01/2016 | 01/01/2017 | 01/01/2018

---------------------------------------------------------------------

Investment | $700        | $477        | -$132       | -$959

Dividends  | $20          | $12          | $12           | $0

To calculate the arithmetic mean, we sum up the annual returns and divide by the number of years:

Arithmetic mean = (Total Proceeds - Total Investment) / Total Investment

Arithmetic mean = ($1,590 - $700) / $700

To calculate the geometric mean, we need to calculate the product of the annual returns and take the nth root, where n is the number of years:

Geometric mean = (Total Proceeds / Total Investment) ^ (1/n)

Geometric mean = ($1,590 / $700) ^ (1/3)

Now, let's calculate the values:

Total Investment = $700 + $477 - $132 - $959 = -$914

Total Proceeds = $140 * 5 + $159 * 3 + $132 * (-1) + $137 * (-7) + $4 * 5 = $1,590

a. Arithmetic mean = ($1,590 - $700) / $700

b. Geometric mean = ($1,590 / $700) ^ (1/3)

b-1. Cash Flow:

Date         | 01/01/2015 | 01/01/2016 | 01/01/2017 | 01/01/2018

---------------------------------------------------------------------

Cash Flow | -$700       | -$477       | $132         | $959

Let's calculate the values:

a. Arithmetic mean = ($1,590 - $700) / $700 = 1.27 or 127%

b. Geometric mean = ($1,590 / $700) ^ (1/3) ≈ 1.109 or 110.9%

Therefore, the arithmetic mean time-weighted rate of return for the investor is approximately 127%, and the geometric mean time-weighted rate of return is approximately 110.9%. The cash flows are shown in the table above.

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Complete Question:

the stages of the product life cycle, in order, are: a. introduction, maturity, decline b. introduction, growth, maturity, decline c. growth, maturity, plateau, decline d. innovation, early adoption, late adoption, laggard

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The stages of the product life cycle, in order, are: b. introduction, growth, maturity, decline. The product life cycle illustrates the typical progression of a product from its introduction to its eventual decline.

In the introduction stage, a new product is launched into the market, with sales starting at a low level as consumers become aware of it. The growth stage follows, characterized by rapid sales growth and increasing market acceptance. As the product reaches its peak, it enters the maturity stage where sales stabilize, competition intensifies, and companies focus on market share and differentiation. Finally, the decline stage occurs when sales start to decline due to factors like changing consumer preferences or technological advancements. During this stage, companies may decide to discontinue the product or attempt to revive it through repositioning or innovation. In summary, the stages of the product life cycle follow a predictable sequence: introduction, growth, maturity, and decline. Each stage presents unique challenges and opportunities for companies as they manage their products' market presence and adapt to changing market dynamics. Understanding the product life cycle is essential for strategic planning, marketing decisions, and managing the overall lifecycle of a product.

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A stock has had the following year-end prices and dividends: Year Price Dividend 1 $ 73.20 - 2 81.27 $ 1.05 3 90.37 1.15 4 86.18 1.26 5 95.68 1.39 6 112.32 1.53 What are the arithmetic and geometric average returns for the stock

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To calculate the arithmetic average return, we need to find the average of the annual returns.

The annual returns can be calculated by subtracting the initial price from the final price, adding the dividend, and then dividing the result by the initial price.

For each year:
[tex]Year 2: (81.27 - 73.20 + 1.05) / 73.20\\Year 3: (90.37 - 81.27 + 1.15) / 81.27\\Year 4: (86.18 - 90.37 + 1.26) / 90.37\\Year 5: (95.68 - 86.18 + 1.39) / 86.18\\Year 6: (112.32 - 95.68 + 1.53) / 95.68[/tex]

Next, we sum up these annual returns and divide by the total number of years (6) to get the arithmetic average return.

To calculate the geometric average return, we need to multiply the annual returns together and then take the nth root, where n is the number of years.

For each year:
[tex]Year 2: (81.27 / 73.20)^{1/2}\\Year 3: (90.37 / 81.27)^{1/3}\\Year 4: (86.18 / 90.37)^{1/4}\\Year 5: (95.68 / 86.18)^{1/5}\\Year 6: (112.32 / 95.68)^{1/6}[/tex]

Next, we multiply these values together and raise the result to the power of (1/6) to get the geometric average return.

Now, you can calculate the arithmetic and geometric average returns using these steps.

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A ___________ is a special kind of business organization involving a contractual relationship between a parent firm and an independent company.

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A franchise is a special kind of business organization involving a contractual relationship between a parent firm and an independent company.

In the world of business, different organizational structures exist to facilitate the operation and expansion of companies. One such structure is known as a franchise. Franchising offers individuals the opportunity to own and operate their own business using an established brand name and business model. This arrangement involves a contractual agreement between a franchisor (parent firm) and a franchisee (independent company). Let's delve into the details of franchising and understand how it functions.

Explanation in mathematical terms:

Franchising can be understood using the concept of a contractual relationship between two entities: the franchisor and the franchisee. The franchisor possesses an established business model, trademarks, and operating systems, which they grant the franchisee the right to utilize. In return, the franchisee pays certain fees and royalties to the franchisor.

Think of the franchisor as the parent function in mathematics, and the franchisee as a transformation or variation of that function. The franchisor provides the franchisee with the tools and resources necessary to replicate the parent business successfully, much like a function provides the structure and rules for transforming inputs into outputs.

The franchise agreement acts as the contractual framework, outlining the rights and responsibilities of both parties. It specifies the terms of use for intellectual property, training and support provided by the franchisor, and the financial obligations of the franchisee.

By leveraging an established brand and business model, a franchisee can benefit from the franchisor's expertise, marketing strategies, and customer base. The franchisor benefits from the expansion of their brand through the efforts of multiple franchisees operating under their umbrella.

In conclusion, a franchise is a special type of business organization where a contractual relationship exists between a parent firm (franchisor) and an independent company (franchisee). This arrangement allows the franchisee to operate their own business using the established brand, systems, and support provided by the franchisor. The franchise model has proven successful in various industries, offering aspiring entrepreneurs a pathway to business ownership with the backing of an established brand.

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