a corporation reported cash of $28,800, total assets of $470,000, and current liabilities of $161,090 on its balance sheet. its common-size percent for cash equals: multiple choice 6.13%. 100.00%. 1632.00%. 61.30%. 16.32%.

Answers

Answer 1

On its balance statement, a corporation showed income of $28,800, net revenues of $470,000, and payables of $161,090. Its typical proportion for cash is equal to 6.13%.

How much does cash equal?

Liquid assets must be funds. Financial assets are the dollar sum of available cash that also includes commodities that are comparable to cash. Since cash and cash equivalents are the most current asset, they are always listed just on top line of a company's balance sheet.

The cash equivalent formula is what?

Numerous liquidity measures are calculated using these cash equivalents: Current Liabilities divided by Cash = Cash Ratio. Cash And cash equivalents / Current Liabilities equals the current ratio. (Cash & Counter parts + A/R) / Payables is the quick ratio.

Briefing:

Common Size % for cash = Cash/Total Assets

=28800/470,000

=6.1277%)

Cash = 6.13%.

To know more about cash equals visit:

https://brainly.com/question/16970578

#SPJ4


Related Questions

________________ economists place an emphasis on __________ run economic performance.

A. Phillips; short
B. Keynesian; long
C. Neoclassical; long
D. Says; short

Answers

The performance of the economy in the short term is emphasized by Phillips economists.

What is the Phillips curve in economics?

Since neoclassical economists think that long-term growth will ultimately determine the standard of living and that recessions will eventually pass in a few years, they tend to place a relatively greater emphasis on long-term growth than on fighting them.

An economic concept known as the Phillips curve explains the connection between inflation, or how much prices are rising year over year, and the level of unemployment experienced nationwide.

The Phillips curve shows how the rate of unemployment and inflation interact. In the long run, there is no constant trade-off between inflation and unemployment, as shown by the vertical long-run Phillips curve.

Therefore, the correct answer is option A. Phillips; short.

To learn more about Phillips curve refer to:

https://brainly.com/question/28005556

#SPJ1

which three statements best describes strategic market research

Answers

Strategic market research is a process of collecting and analyzing data to identify opportunities, assess risks, and develop strategies that will help a business succeed in the market. Here are three statements that best describe strategic market research:

Strategic market research is focused on the long-term success of a business. It involves looking beyond immediate challenges and identifying opportunities that can help a business grow and thrive over time. Strategic market research is data-driven. It involves gathering and analyzing data from a variety of sources, including customers, competitors, and industry trends, to inform decision-making and strategy development. Strategic market research is proactive. It involves anticipating market changes and trends, rather than simply reacting to them. By staying ahead of the curve, businesses can position themselves for success in a rapidly evolving market.

Strategic market research is a complex and multifaceted process that requires careful planning and execution. It is a critical component of any successful business strategy, as it provides the insights and data needed to make informed decisions about where to focus resources, how to differentiate from competitors, and how to create value for customers. One of the key aspects of strategic market research is that it is focused on the long-term success of a business. Rather than simply addressing immediate challenges, strategic market research involves looking ahead and identifying opportunities that can help a business grow and thrive over time. This might involve exploring new markets or customer segments, developing new products or services, or refining existing offerings to better meet customer needs. Overall, strategic market research is an essential tool for any business looking to succeed in today's competitive marketplace. By taking a proactive, data-driven approach to understanding customer needs and market dynamics, businesses can position themselves for long-term success and growth.

To know more about Strategic market research visit :

https://brainly.com/question/32417042

#SPJ11

The most expensive' costly entry strategy among the following is:
Exporting
Turnkey project
Joint venture
Greenfield strategy

Answers

The most expensive and costly entry strategy among the options provided is the Greenfield strategy. The Greenfield strategy is the most expensive entry strategy due to the high costs associated with building new infrastructure, conducting market research, recruiting and training a new workforce, and the time and effort required to establish operations from scratch in a foreign country.



Greenfield strategy refers to establishing a new business or facility in a foreign country from the ground up. This involves building new infrastructure, acquiring land, hiring local employees, and setting up operations from scratch.

There are several reasons why the Greenfield strategy is the most expensive option:

1. Infrastructure costs: With the Greenfield strategy, companies need to invest in building new facilities, such as factories, warehouses, or offices. This requires significant capital expenditure to acquire land, construct buildings, and install necessary equipment.

2. Market research and planning: Before implementing the Greenfield strategy, companies need to conduct extensive market research to assess the demand and potential for their products or services in the foreign market. This includes analyzing consumer preferences, studying local competition, and understanding cultural and legal factors. Market research and planning involve additional expenses and time.

3. Recruitment and training: When implementing the Greenfield strategy, companies have to hire and train a new workforce in the foreign market. This includes recruiting local employees, providing training programs, and ensuring compliance with labor laws. Recruitment and training costs can be substantial, especially when establishing operations in a country with a different language and culture.

4. Time and effort: Compared to other entry strategies, such as exporting or joint ventures, the Greenfield strategy requires a significant investment of time and effort. Companies need to navigate through legal and regulatory processes, obtain necessary permits and licenses, and comply with local laws and regulations. This lengthy process can delay the start of operations and increase overall costs.

Learn more about Greenfield strategy here :-

https://brainly.com/question/33630467

#SPJ11

Which of the following is an example of direct distribution channels?

Wholesaler sales

middlemen

E-commerce sales

Retail sales

Answers

Answer:

E-commerce sales

Explanation:

A direct-distribution channel is where the manufacturer sells directly to the end customer like with an E-commerce sale

Emily is deciding whether to buy the same designer jacket her friends have. The jacket is much more expensive than a similar one from a lesser-known brand.

Which questions should she consider before she buys the jacket? Check all that apply.

Is advertising influencing her?
What are her motivations?
Has she compared prices?
Is she buying at the right time?
Will her sister like the jacket too?

Answers

Answer: Is advertising influencing her?

What are her motivations?

Has she compared prices?

Is she buying at the right time?

Explanation:

The questions that she should consider before she buys the jacket include:

• Is advertising influencing her?

• What are her motivations?

• Has she compared prices?

• Is she buying at the right time?

Before buying the jacket, the question "Will her sister like the jacket too?" shouldn't be considered as she is looking to satisfy her own needs and not that if her sister and in this case, he sister shouldn't have an impact on her buying decision.

Answer:

A, B, C, D

Explanation:

edge2021

"Monetary policy can be described either in terms of the money supply or in terms of the interest rate." This statement amounts to the assertion that a. the activities of the Federal Reserve’s bond traders are irrelevant if the Federal Reserve decides to target an interest rate. b. our analysis of monetary policy is not fundamentally altered if the Federal Reserve decides to target an interest rate. c. changes in monetary policy aimed at expanding aggregate demand can be described either as increasing the money supply or as increasing the interest rate. d. rightward shifts of the money-supply curve cannot occur if the Federal Reserve decides to target an interest rate.

Answers

Answer:

b

Explanation:

The monetary policy is not fundamently altered

1. Define the Clinical Diagnostic Model with and Example.
2. How Might you Use this Model as an Administrative Problem-Solving Approach.
3. How Can this Approach be Used to Define a Business Research Problem?
4. In your Opinion, How Far Might this Model be Extended to Larger Situations?

Answers

1) The Clinical Diagnostic Model is a framework used to identify and evaluate potential diagnoses based on symptoms and evidence.

2) The model can be used as an administrative problem-solving approach by applying systematic analysis and decision-making to address organizational challenges.

3) The approach can be used to define a business research problem by utilizing a structured process to identify research objectives and gather relevant data.

4) The extent to which this model can be extended to larger situations depends on the complexity and scope of the problem, but it can serve as a valuable framework for systematic analysis and decision-making.

The Clinical Diagnostic Model is a well-established framework used in the medical field to identify and evaluate potential diagnoses based on symptoms and evidence. It involves gathering information, conducting tests, and analyzing data to arrive at a comprehensive understanding of the patient's condition. This model can be applied as an administrative problem-solving approach by adopting a similar systematic analysis and decision-making process to address organizational challenges. By collecting relevant data, identifying the root causes of issues, and evaluating potential solutions, administrators can make informed decisions and take appropriate actions to resolve problems within the organization.

Furthermore, the Clinical Diagnostic Model can be used to define a business research problem by providing a structured approach to identify research objectives and gather relevant data. Businesses often face complex challenges that require systematic analysis and evidence-based decision-making. By applying the principles of the Clinical Diagnostic Model, researchers can identify the symptoms or issues at hand, collect and analyze relevant data, and draw conclusions to address the research problem effectively.

The extent to which this model can be extended to larger situations depends on the complexity and scope of the problem. While the Clinical Diagnostic Model is primarily used in the medical field, its principles of systematic analysis and evidence-based decision-making can be applied to various domains. However, it's important to consider the specific context and adapt the model accordingly to suit the needs of larger situations.

Learn more about the Diagnostic Model

brainly.com/question/28329362

#SPJ11

When making decisions, managers often must decide between doing what is beneficial for the firm in the short term, and what is beneficial for both the firm and society in the long term. To address this conflict, a firm must

Answers

When making decisions, managers are often faced with a conflict between what is beneficial for the firm in the short-term and what is beneficial for both the firm and society in the long-term.

This conflict arises because the actions that benefit the firm in the short-term may not necessarily align with the interests of society as a whole, which can lead to negative consequences for both the company and society in the long-term.

To address this conflict, a firm must adopt a long-term orientation and consider the broader social and environmental impacts of its decisions. This means looking beyond immediate financial gains and recognizing that actions taken today can have far-reaching implications for the company's reputation, customer loyalty, employee morale, and overall sustainability.

Firms that prioritize social responsibility and sustainable business practices are more likely to build strong relationships with stakeholders, including customers, employees, investors, and regulators. They are also better equipped to weather economic downturns and other disruptions, as they have diversified their risk and invested in building resilient supply chains and communities.

Ultimately, the key to addressing the conflict between short-term gains and long-term benefits is a commitment to corporate social responsibility (CSR) and sustainable business practices. By prioritizing the needs of society and the environment alongside those of shareholders, firms can create value for all stakeholders over the long-term, ensuring their continued success and impact.

learn more about managers here

https://brainly.com/question/32150882

#SPJ11

the direct write-off method of accounting for uncollectible accounts requires a prediction of bad debts expense at the end of each period.
true or false

Answers

The direct write-off method of accounting for uncollectible accounts does not require a prediction of bad debts expense at the end of each period. The statement is false.

The direct write-off method is a simplified approach used to account for uncollectible accounts. Under this method, bad debts are recognized and recorded as an expense only when they are deemed uncollectible.

This means that the prediction or estimation of bad debts expense is not necessary at the end of each period. Instead, when a specific customer's account is determined to be uncollectible, it is directly written off as an expense.

This method is relatively straightforward but is not in accordance with generally accepted accounting principles (GAAP) and is not considered the best practice for estimating and reporting bad debts.

Visit here to learn more about generally accepted accounting principles:

brainly.com/question/28345482

#SPJ11

an employee can be dismissed if their job surplus to requirements' outline why this state ment is false

Answers

Hiring labour is different from buying other goods and services, and the contract between the employer and the employee is incomplete. It does not cover what the employer really cares about, which is how hard and well the employee works.

when the economy is hit by spending fluctuations, the government can try to minimize the effects by

Answers

When the economy is hit by spending fluctuations, the government can try to minimize the effects by implementing various fiscal and monetary policy measures.

These measures are aimed at stabilizing the economy and promoting economic growth. Here are some strategies the government can employ:

Fiscal policy: The government can adjust its spending levels and taxation policies to stimulate or dampen economic activity. During a downturn, the government can increase its spending on infrastructure projects, provide stimulus packages, or reduce taxes to encourage consumer and business spending. Conversely, during periods of excessive spending and inflationary pressures, the government can implement austerity measures, increase taxes, or reduce government spending to cool down the economy.

Monetary policy: The central bank, such as the Federal Reserve in the United States, can use monetary policy tools to influence the money supply, interest rates, and credit availability. In response to spending fluctuations, the central bank can lower interest rates to encourage borrowing and investment, thereby stimulating economic activity. Alternatively, it can raise interest rates to curb inflation and control excessive spending.

Automatic stabilizers: Certain government programs, such as unemployment benefits and progressive taxation, act as automatic stabilizers. During an economic downturn, unemployment benefits provide income support to individuals, helping to maintain consumer spending to some extent. Similarly, progressive taxation ensures that individuals with higher incomes bear a proportionally larger tax burden, which can help stabilize government revenue during periods of reduced economic activity.

Regulatory measures: The government can implement regulations to oversee and manage sectors that are particularly sensitive to spending fluctuations. For example, regulations on lending practices and financial institutions aim to maintain stability in the banking sector and prevent excessive risk-taking that can contribute to economic instability.

It is important to note that the effectiveness of these measures can vary depending on the specific circumstances and the magnitude of the spending fluctuations. The government often employs a combination of these strategies to mitigate the impact of spending fluctuations and foster a more stable and sustainable economy.

To learn more about, monetary policy measures, click here, https://brainly.com/question/32175013

#SPJ11

An importer's financial market hedging alternatives include:
a. Sell the foreign currency with long-dated forward contracts.
b. Use currency swaps to acquire financial assets in the foreign currency.
c. Use a rolling hedge to repeatedly sell the foreign currency.
d. More than one of the above

Answers

Option (d) "More than one of the above" is the correct answer. An importer has multiple financial market hedging alternatives, including selling the foreign currency with long-dated forward contracts, using currency swaps, and employing a rolling hedge strategy.

Explanation:

An importer faces currency exchange rate risk when purchasing goods or services from a foreign country. To mitigate this risk, the importer can employ various financial market hedging alternatives.

a. Selling the foreign currency with long-dated forward contracts: This strategy involves entering into a contract to sell the foreign currency at a predetermined exchange rate at a future date. It allows the importer to lock in a specific exchange rate and protect against adverse currency movements.

b. Using currency swaps to acquire financial assets in the foreign currency: Currency swaps involve exchanging one currency for another with a predetermined agreement to reverse the exchange at a future date. Importers can use currency swaps to obtain the foreign currency needed for transactions while managing exchange rate risk.

c. Using a rolling hedge to repeatedly sell the foreign currency: A rolling hedge strategy involves periodically selling the foreign currency in smaller amounts over time rather than all at once. This approach helps to average out the exchange rate risk and provides flexibility to adjust the hedge as needed.

By considering these various hedging alternatives, importers can effectively manage their exposure to currency exchange rate fluctuations and minimize potential financial risks associated with international transactions.

learn more about financial market here

https://brainly.com/question/28481995

#SPJ11

Company Large in the primary metal manufacturing subsector buys copper ore from a mining company and refines it to make wiring. Company Small in the computer manufacturing subsector buys the copper wiring and uses it to produce communication equipment and cables. How many more production workers for every 600 full-time employees would you expect to find at Company Large than at Company Small?
Company Small will have about 25 more production workers than Company Large.
Company Small will have about 50 more production workers than Company Large.
Company Small will have about 125 more production workers than Company Large.
Company Small will have about 75 more production workers than Company Large.

Answers

Answer:

Company Small will have about 50 more production workers than Company Large.

Explanation:

got it right on edge 2022

how do you manage pasture land for Sheep, goats and chyangras ????explain!! any one know this answer then help meeee​

Answers

Answer:

Your pasture should be divided into small fields or blocks the more the better depending on the #of goats

Explanation:

Set up a schedule where you rotate the goats every day. Your first field should be the last one after the goats graze all the others fields.

Answer:

we can managed the pastureland for sheep,goats and chyangras by the following points:

1) local grasses should be conserved and promoted.

2) Rotational grazing should be practiced.

3) pastureland should be routinely irrigated during the dry season .

4) If it has poor soil fertility, fertilizers should be applied time to time.

5) Based on geographical conditions, various grasses can be planted on the pastureland.

Yeah
Aye' Lewis wassup?
Billy Bang
It's the chemists yall'
My love, do you ever dream of
Have you ever loved someone
So much you'd thought you'd die
Giving so much of yourself it seems the only way
Tell me what you want and now
And I will give it to you (You yeah)
'Cause you are my love do you ever dream of
Candy coated rain drops?
You're the same my candy rain
My love did you ever dream (Dream)
That it could be so right?
I never thought I would find
All that I need in life
All I want all I need now I know
I know I found it in you
'Cause you are my love do you ever dream of
Candy coated rain drops?
You're the same my candy rain
Billy Bang
Mommy call me bang bang like a gun
I make her candy rain let it rain on my tongue
Tell her don't stop get it get it, gimmie gimmie some
Baby don't stop get it get it til we get it done

Answers

Answer:

?????????????????????

Answer:

/: ??????????????

Explanation:

Which macroeconomic goal do investments in human capital and capital goods contribute to? How?

A
Such investments contribute to the goal of price stability by increasing economic production.

B
Such investments contribute to the goal of economic growth by increasing government spending.

C
Such investments contribute to the goal of price stability by increasing consumer spending.

D
Such investments contribute to the goal of economic growth by increasing economic productivity.

Answers

I think it B I might be wrong but b is the only that make sense

how can you make money at 13 years old.​

Answers

You can clean peoples trash cans and recycling bins in you’re neighborhood. I do this and I’m 16. It’s super easy and you make so much, I charge 20 bucks for both bins and sometimes if ppl are nice, they’ll tip u extra ;). This is super creative and shows a lot about you to others in the neighborhood. All there is to it is spraying the hose in the bin with some dish soap, using some disinfectant spray on the inside, and using a fresh center spray in the bin to make it smell good :) people love this!!

Answer:

Start a online business, sell your old stuff, make money off your own talents if you have a talent. For example: if you like to paint or make jewlery, sell them on etsy or ebay. Make money by babysitting, walking a dog, chores. Sell feet pictures on omegle or kik (some ppl have foot fetishes, i know a friend who made hundreds a month for selling her foot pics).

Explanation:

Your classmate is telling you how they plan to become financially secure.

Which of the following factors can help him do so?


saving money

both saving and investing money

investing money

neither saving nor investing money

it is not just the answer "Saving money" i already took the test and that answer was wrong

Answers

Answer:

both saving and I vesting

You are going to receive $80 at the end of each year for the next 12 years. If you invest each of those amounts at 12%, then what amount of money will you have at the end of the 12th year

Answers

Answer:

FV= $1,930.65

Explanation:

Giving the following information:

Cash flow= $80 a year

Number of periods= 12 years

Interest rate= 12% compounded annually

To calculate the future value, we need to use the following formula:

FV= {A*[(1+i)^n-1]}/i

A= annual deposit

FV= {80[(1.12^12) - 1]} / 0.12

FV= $1,930.65

Connie thinks that her salary and tax rate for next year will be lower than for this year. What step should she take to minimize her taxes in the current year? Select one: a. Accelerate receipt of income. b. Delay deductions. c. Practice tax evasion. d. Accelerate deductions. e. None of these will allow her to minimize her taxes.

Answers

Answer:

d. Accelerate deductions

Explanation:

Tax acceleration is a way that a taxpayer is able to hasten tax deduction.

Taxi is paid in the year that it was incurred instead of in the subsequent year.

This way tax expense that will be paid from the current year is reduced and tax income will increase.

In the given scenario where Connie thinks that her salary and tax rate for next year will be lower than for this year, the best way to minimise her tax expense starting this year is by tax acceleration

In order to determine cash flows from financing activities, we need to examine changes to.

Answers

In order to determine cash flows from financing activities, we need to examine changes to long-term liability and SHE accounts.

What is meant by long term liability?

Long-term liabilities, often known as long-term debts, are sums owed by a corporation to third parties and are due after 12 months. This sets them apart from current liabilities, which a business must settle within a year.

Long-term obligations usually have a maturity date that is more than a year away. Mortgage loans, bonds payable, and other long-term leases or loans, excluding the sum due in the current year, are a few examples of long-term obligations. Liabilities with a short maturity date are due this year.

Read more on long term liability

https://brainly.com/question/27866371

#SPJ1

.In comparing companies with capital structure complexities like stock options, the P/Es should be compared on the basis of basic EPS. True or false

Answers

The given statement "In comparing companies with capital structure complexities like stock options" is true because (EPS) are calculated by subtracting preferred dividends from net income and then dividing by the average number of common shares outstanding during the year.

This measure calculates a firm's profitability on a per-share basis. EPS may be calculated on a historical or forward-looking basis. The capital structure of a corporation refers to the proportion of debt and equity used to finance the company's assets. In comparison, capital structure refers to the mix of a firm's long-term capital. The optimal capital structure is achieved when the company balances its tax advantages against its risk exposure.

The P/E ratio, which stands for price-to-earnings ratio, is one way to evaluate the company's capital structure. The P/E ratio measures a company's stock price relative to its earnings per share (EPS).The price-to-earnings ratio (P/E ratio) is a financial measure that indicates how much investors are willing to pay per dollar of earnings. Investors compare P/E ratios to assess a company's future earnings prospects.

P/E ratios can also be used to compare the valuations of different firms. Companies with complex capital structures, such as stock options, may need to be compared using basic EPS. This is done to make sure that comparable firms are evaluated similarly. The price-to-earnings ratio (P/E ratio) is a financial measure that indicates how much investors are willing to pay per dollar of earnings.

The formula for calculating the price-to-earnings ratio is as follows:

P/E ratio = Market price per share / Earnings per share (EPS)

Thus, we can conclude that it is true that in comparing companies with capital structure complexities like stock options, the P/Es should be compared on the basis of basic EPS.

For more about Earnings per share:

https://brainly.com/question/16562972

#SPJ11

Jamal inherited some money when his grandmother died. He decided that he wants to invest it. His friend suggests that he goes to an OTC market. Is this a good idea?

A.
No, that is where he would go to plan his estate.

B.
No, this is where is credit is evaluated by lenders.

C.
Yes, that is a network of brokers and dealers who help with investments.

D.
Yes, this will review all of his purchases and use that information to make suggestions.

Answers

Jamal should go to the OTC market because C. it is a network of brokers and dealers who help with investments.

What is the OTC market?

These are markets where a person can buy or sell shares that are outside of the stock exchange.

The trades here are faciliatated by brokers and dealers who can help one with investments so Jamal can go to the OTC market for investment advice.

Find out more on the OTC market at https://brainly.com/question/25174961.

Explain the importance of team dynamics (plz help)

Answers

Team dynamics in the workplace are important because they impact creativity, productivity and effectiveness. Since group work is integral to organisations, improving group dynamics can lead to better work outcomes, customer satisfaction and an improved bottom line.

Which of the following are characteristics of a scarce resource?
Choose 1 answer:
Choose 1 answer:

(Choice A)
A
The supply of the resource exceeds the demand of the resource.

(Choice B)
B
There is a fixed quantity of the resource available but no demand for it.

(Choice C)
C
There is a demand for that resource with limited supply.

(Choice D)
D
There is limited supply of a resource with no demand for that resource.

(Choice E)
E
The resource has unlimited supply and limited demand.

Answers

There is a demand for that resource with limited supply  are characteristics of a scarce resource. When the demand for a natural resource exceeds the supply, resource scarcity results, which causes the stock of those resources to decrease.

As a result of rising costs that make the demand resource less accessible to those who are least well-off, this might result in unsustainable supply   growth and an increase in inequality. When there aren't enough resources to meet everyone's needs, there is scarce resource. Oil is among the most well-known instances of how resource scarcity affects the United States. Local gas prices will surely climb when oil prices around the world do.

To learn more about scarce resource, click here.

https://brainly.com/question/1581220

#SPJ1

Consider a perfectly competitive industry. Write q for the output of one firm. The total cost function of each firm is given by: c(q) = 36 + 40q+0.25q² (a) Find the average cost, the average variable costs, and the marginal cost of each firm as functions of q; (b) Calculate the value of q that minimizes average cost; (c) Find the minimum average cost; (d) By the long run, we mean a situation where: (i) each firm can avoid its fixed cost by producing q = 0; (ii) firms can enter or exit freely. Find each firm's supply curve. Be careful to specify the ranges of prices; (e) By the short run, we mean a situation where: (i) a given number of firms are in the market and new ones cannot enter; (ii) a firm in the market cannot avoid its fixed cost even if it produces q = 0; and (iii) each firm can vary its output to maximize profit. Find the supply curve of one firm in the market in this situation. Be careful to specify for what range of prices the firm produces q = 0 and for what range it produces positive output; (f) The market demand function is given by Q = 11900 – 50P. Suppose the industry is in long- run equilibrium. Calculate the price, the total quantity, the quantity produced by each firm, the number of firms, and the profit of each firm;

Answers

(a) To find the average cost (AC), average variable costs (AVC), and marginal cost (MC) as functions of q, we can derive these measures from the total cost function.

Average Cost (AC):AC = c(q) / q

AC = (36 + 40q + 0.25q²) / qAC = 36/q + 40 + 0.25q

Average Variable Cost (AVC):

AVC = (36 + 40q + 0.25q² - 36) / qAVC = 40 + 0.25q

Marginal Cost (MC):

MC = d(c(q)) / dq

MC = d(36 + 40q + 0.25q²) / dqMC = 40 + 0.5q

(b) To find the value of q that minimizes average cost, we can take the derivative of the average cost function with respect to q and set it equal to zero.

d(AC)/dq = -36/q² + 0.25

0 = -36/q² + 0.2536/q² = 0.25

q² = 36/0.25q² = 144

q = ±12

However, since q represents the output quantity, it must be positive, so q = 12.

(c) To find the minimum average cost, substitute q = 12 into the average cost function:

AC = 36/12 + 40 + 0.25(12)AC = 3 + 40 + 3

AC = 46

The minimum average cost is 46.

(d) In the long run, each firm can enter or exit freely, and they can avoid fixed costs

portion of the marginal cost curve above the minimum average variable cost.

(e) In the short run, a given number of firms are in the market, and they cannot avoid fixed costs even if they produce q = 0. The supply curve for one firm in the short run will be the portion of the marginal cost curve above the minimum average variable cost. If the price is below the minimum average variable cost, the firm will produce q = 0. If the price is above the minimum average variable cost, the firm will produce positive output.

(f) To calculate the long-run equilibrium values, we equate market demand with the total quantity supplied by all firms:

Q = 11900 - 50PQ = Nq  (since each firm produces q)

Where N is the number of firms. We can substitute Nq for Q:

Nq = 11900 - 50P

To find the equilibrium price, we set the quantity supplied equal to the quantity demanded:

Nq = 11900 - 50P

The number of firms can be determined based on the cost structure and market conditions. Finally, the profit of each firm can be calculated by subtracting the total cost from the total revenue.

Learn more about revenue here:

https://brainly.com/question/14952769

#SPJ11

Regina, a 25-year-old professional, wants to start an investment portfolio. What strategy may her financial advisor suggest? Start a low-risk portfolio, then shift to bonds.
Invest only in national companies.
Buy 100% international stocks.

Answers

The strategy may her financial advisor suggest would be: Choose a high-risk portfolio now and change it, if needed, in the future. Therefore, the correct option is D.

Given that Regina is 25 years old, she has a longer investment horizon and can afford to take on more risk in her portfolio. A high-risk portfolio typically includes a higher allocation to stocks or equity-based investments, which have the potential for greater returns over the long run. As she has more time to ride out market fluctuations and benefit from compounding, a higher-risk approach may be suitable for her current stage in life.

Thus, the ideal selection is option D.

Learn more about portfolio here:

https://brainly.com/question/31032186

#SPJ12

The complete question might be:

Regina, a 25-year-old professional, wants to start an investment portfolio. What strategy may her financial advisor suggest?

A Start a low-risk portfolio, then shift to bonds.

B Invest only in national companies.

C Buy 100% international stocks.

D Choose a high-risk portfolio now and change it, if needed, in the future.

State two reasons why people work

Answers

Answer:

earn money, make a change, fulfill their dreams

Explanation:

Money isn't the only reason why people work it's also for independence and have more control over their own life.

Explanation:

when you work you are also getting more skills and making more friends with people you have meet in you'r job.

A company produces 10 items, charges $45 per item. When it produces 20 items, it charges $40 per item. Cost to produce 10 items is $450, cost to produce 20 items is $650. What is the price, cost, revenue, profit functions. What is the break-even points, max profit and items to produce to get max profit.

Answers

Answer:

a. The price, cost, revenue, profit function = Revenue - Cost = (price * quantity - cost)

b. Break-even point = Total Revenue = Total Cost

= $450 = $450

break-even point in units = 10 items

c. Maximum profit = $150

Items to produce to get max profit = 20 items

Explanation:

a) Data and Calculations:

Sales Revenue for 10 items = $450 ($45 * 10)

Cost of sales for 10 items = $450

Sales Revenue for 20 items = $800 ($40 * 20)

Cost of sales for 20 items = $650

The price, cost, revenue, profit function = Revenue - Cost = (price * quantity - cost)

For 10 items, function yields = {($45 * 10) - $450} = 0

For 20 items, function yields = {($40 * 20) - $650} = $150

what type of cost changes in proportion to a company production volume? a. fixed cost. b. controllable cost. c. variable cost. d. opportunity cost

Answers

The type of cost that changes in proportion to a company's production volume is variable cost. The correct answer is option c.

Variable costs are expenses that vary with the level of production or output. They include costs such as raw materials, labor, and utilities. As production increases, variable costs also increase.

For example, if a company produces 100 units of a product and the cost of raw materials is $10 per unit, the total variable cost would be $1,000. If the company increases production to 200 units, the total variable cost would increase to $2,000.

Fixed costs, on the other hand, do not change with the level of production. They include expenses such as rent, insurance, and property taxes.

Controllable costs are those that can be managed or controlled by the company, while opportunity costs are the potential benefits that are lost when a company chooses one alternative over another.

The correct answer is option c.

To know more about changes in proportion refer here:

brainly.com/question/12878318#

#SPJ11

Other Questions
Based on the connotations of the words in lines 45 through 52, what mood does the poet create? A The poet creates a warm and cheerful mood by describing how the buildings look B The poet creates a gloomy mood by describing buildings as cold stone structures. C The poet creates a solemn mood by describing the buildings as proud. D The poet creates an energetic mood by describing the sun. Giannis Company sells a single product for $100 per unit. Budgeted sales units for January are 2,400 units. Total budgeted sales is: 12 Multiple Choice 1.5 points 01:00:24 $250,000 $260,000 $220,000. $230,000. $240,000. one of the most successful diversification strategies is to diversify into unrelated products or unrelated markets to spread the risk. T/F? consider the integral 0112x12f(x,y)dydx. sketch the region of integration and change the order of integration. 2. What is the relationship between concurrent engineering and life-cycle design? 3. What is the difference between toxic waste reduction and waste minimization? 4. You work for a company that makes wooden furniture (e.g., desks, chairs, Tables) and are responsible for ensuring that the company is in compliance with all environmental regulations. What federal regulations apply to this industry based on the description of the process below (please list the corresponding regulations for each process/chemical described below)? The primary input for wood furniture manufacturing is raw lumber, and the production processes include steps such as drying, sawing, planning, sanding, gluing and finishing. The primary outputs from the sawing, planning and sanding operations are wood chips and saw dust. Adhesives are used during assembly - these contain solvents such as methyl isobutyl ketone (MIBK), methyl ethyl ketone (MEK), xylene, toluene, and 1,1,1-trichloroethylene. Solvents are also used to clean equipment such as adhesive spray guns. Coatings and finishes are usually applied in a spray booth. Other finishing wastes may result from wood bleaching operations, staining, filling of pores, and painting. You need to make an aqueous solution of 0.173 M zinc fluoride for an experiment in lab, using a 500 mL volumetric flask. How much solid zinc fluoride should you add A sphere has a radius of 1. 5 inches. What is the volume of the sphere rounded to the nearest tenth? Use 3. 14 for pi. What are the 3 forms of linear equations? Please help , easy 7th grade work . The SECOND BOX is for the DEFINITION , the THIRD BOX is for an EXAMPLE/ What is the purpose of the play within a play in Act 3?. Discuss the importance of taboos on the sustainable use of our natural resources which factors cause transitions between the liquid and gas state? check all that apply.A gas can be converted into a liquid by decreasing the pressure of a gas sample.A liquid can be converted to a gas by heating.A gas can be converted into a liquid by increasing the pressure of a gas sample.A liquid can be converted to a gas by cooling.A gas can be converted into a liquid by cooling.A gas can be converted into a liquid by heating. How much would I need to save monthly to have $1 million when I retire? (Per Month) Whats is the equation of this line in slope intercept form? 2x+3y=-6 A study showed that in Orange County, more speeding tickets were issued to minorities than to whites. Conclusion: In Orange County, minorities speed more than whites NEED HELP ASAP!Which of the following activities require balance?A. WalkingB. BicyclingC. Balance beamD. All of the above which of the following people would be considered structurally unemployed a taxi driver canyou please answer these questions and write all the steps legibly.Thank you.Series - Taylor and Maclaurin Series: Problem 10 (1 point) Find the Taylor series, centered at c= 3, for the function 1 f(x) = 1-22 f() - The interval of convergence is: Note: You can earn part the patient has an order for cephalexin (keflex) 275 mg orally. the medication available is cephalexin 250 mg/2 ml. how many ml will the nurse administer? ml (if needed, round to the nearest tenth.) alcohol is eliminated from the body at approximately what rate percent per hour?