The graph that we would expect to see in the market for printing paper is graph C (option c)
What is a demand curve?The demand curve is a graph that depicts the relationship between the price of a good and the quantity demanded of the good. The demand curve slopes downward. This is because there is a negative relationship between the price of the good and the quantity demanded.
When the price of a good increases, the quantity demanded decreases. This would lead to a movement up along the demand curve. A change in other factors other than the price of the good would lead to a movement along the demand curve.
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A machine is available 10 hours a day. Each part takes 80 minutes to fabricate and 10 minutes to setup. 10% of the parts made are defective and must go through the machine again to be reworked, during which both setup and fabrication have to be performed again. The machine is idle for any unused time. On average, 5 good parts are made each day. What is the overall equipment effectiveness of the machine? Multiple Choice 0.80 0.75 0.067 0.667
The overall equipment effectiveness of the machine is 0.75
How to determine the effectiveness?The given parameters are:
Availability = 10 hours ⇒ 600 minutesFabrication time = 80 minutesSetup time = 10 minutesParts made each day = 5Percentage defective = 10%The total production time for 5 parts is:
Time = 5 * (80 + 10)minutes
Time = 450 minutes
The time to replace defective parts is:
Time = Percentage defective * Parts made each day * Production time for one part
This gives
Time = 10% * 5 * (80 + 10) minutes
Time = 45 minutes
The value added time is the difference between the production time and time to replace defective part
Value added time = 500 - 45 = 455 min
The overall equipment effectiveness of the machine is then calculated as:
OEE = Value added time/Availability
This gives
OEE = 455/600
Evaluate
OEE = 0.75
Hence, the overall equipment effectiveness of the machine is 0.75
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_______ is the process of systematically collecting, analyzing, and reporting financial information.
Accounting is the process of systematically collecting, analyzing, and reporting financial information.
Accounting involves the recording, summarizing, and interpretation of financial transactions and events of an organization. It encompasses various activities, including identifying and measuring financial data, preparing financial statements, analyzing financial performance, and communicating the results to stakeholders.
The collection of financial information involves recording transactions and events such as sales, purchases, and expenses.
Analysis of this information includes organizing and summarizing the data to generate financial statements such as the balance sheet, income statement, and cash flow statement.
These statements provide a comprehensive view of the organization's financial position, performance, and cash flow.
Reporting financial information involves presenting the results and analysis in a clear and understandable manner to stakeholders, such as investors, creditors, and regulatory bodies.
The purpose of accounting is to provide reliable and relevant financial information that aids decision-making, facilitates accountability, and ensures compliance with legal and regulatory requirements.
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Describe the population distribution in Guyana
Write any two features of RTGS.
Features of RTGS Transaction
Realtime online fund transfer.
Used for high value transactions.
Safe and secure.
Reliable and backed by RBI.
Immediate clearing.
Funds credited on a one-on-one basis.
Transactions executed on an individual and gross basis.
3. Which of the following is not a characteristic of a good citizen?
obeying laws
being informed about key issues
using natural resources wisely
owning property
Answer:
Owning property
Explanation:
Its the only one that affects solely 1 person rather than benefit the community as a whole
Disadvantages of choosing a job that is extremely popular or in demand
The disadvantage of choosing a job that is very popular or a job that is in high demand is that after a while such a job may become saturated or it would become monotonous.
What is a high demand job?This is the term that is used to refer to a job that the people that wpould employ labor are constantly in need of. Such a job is one that would require the people that have the qualification to opt in and get the places and the roles that they are to fill.
The issues that may arise from such a job that is in high demand is that after a period, such a job may have a lot of persons that would want to fulfil the role.
The number of qualified persons may become more than the job that is available for the people to do in the long run.
Hence this is a disadvantage. Therefore I would conclude by saying that the disadvantage of choosing a highly popular job is that the number of persons that are willing to fulfil the role may exceed the job overtime.
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Which term refers to checks that have been written but not been cashed?
Group of answer choices
direct deposit checks
outstanding checks
cancelled checks
signature checks
Answer: ill help you
Explanation:
need help asap Bond P is a premium bond with a coupon rate of 8.5 percent.Bond D is a discount bond with a coupon rate of 4.5 percent Both bonds make annual payments.a YTM of 6.5 percenta par value of $1000 and have ten years to maturity a.What is the current yleld for Bond P?For Bond D Note:Do not round intermediate calculations and enter your answers as a percent rounded to 2 decimal places,e.g.32.16 b.If interest rates remain unchanged,what is the expected capital gains yield over the next year for Bond P? For Bond D Note: A negative answer should be indicated by a minus sign.Do not round intermediate calculations and enter your answers as a percent rounded to 2 decimal places,e.g.32.16. Bond P 7.43% 60 Bond D 5.26 .24% a.Current yield b.Capitalgains yield
The current yield for a bond is calculated by dividing the annual coupon payment by the market price of the bond and expressing it as a percentage. The formula is as follows:
Current Yield = (Annual Coupon Payment / Market Price of Bond) * 100
What is the formula to calculate current yield for a bond?a) The current yield is calculated by dividing the annual coupon payment by the market price of the bond. For Bond P, the annual coupon payment is 8.5% of the par value ($1000), which is $85. The market price of the bond is not provided in the question, so we cannot calculate the exact current yield. However, the current yield for Bond P is given as 7.43%.
b) The capital gains yield is the change in the bond's price divided by the initial price. Since Bond P is a premium bond, its price will gradually decrease over time towards its par value as it approaches maturity. The capital gains yield can be calculated by subtracting the current yield from the YTM. In this case, the YTM is 6.5% and the current yield is 7.43%. Therefore, the expected capital gains yield over the next year for Bond P is approximately -0.93% (6.5% - 7.43%).
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با ما
Outline two reasons why a business such as AEC could not be
Successful without other firms providing natural resources
Answer:
Because of product's use of natural resources in its input (1) and dependence on the supply chain system of other companies.
Explanation:
The reason is that all of the companies rely on natural resources that the companies are processing and making it available for the other companies to utilize it to control its cost and complete the production of the products. The energy is a natural resource which every company utilizes and due to this its production is largely dependent on the firms that are processing natural resources to make it available for companies to utilize it.
The next most important thing is supply chain system of natural resource companies that helps the companies like AEC and even an individual to make the use of these natural resources in an efficient and effective manner. If I don't have access to fuel, then I cann't travel and traveling by using horses would be expensive and time consuming. So supply chain system of the other businesses play key role here.
A company sells equipment for $5,000. The original cost was $50,000. The
accumulated depreciation is $45,000. The sale results in
O A. a gain of $1,000
a
B. neither a gain nor a loss
O c. a loss of $1,000
D. a gain of $5,000
Assuming the company sells equipment for $5,000 and the original cost was $50,000. The sale results in: B. neither a gain nor a loss
Gain or lossFirst step is to calculate the book value using this formula
Book value=Original cost-Accumulated depreciation
Let plug in the formula
Book value=$50,000-$45,000
Book value= $5,000
Second step
Since the proceeds (equipment) is the amount of $5,000 in which the book value is as well $5,000 there is neither gain nor a loss.
Inconclusion the sale results in: B. neither a gain nor a loss.
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Qualified Business Income (QBI) Deduction (LO 4.10)Rob operates a small plumbing supplies business as a sole proprietor. In 2018, the plumbing business has gross business income of $421,000 and business expenses of $267,000, including wages paid of $58,000. The business sold some land that had been held for investment generating a long-term capital gain of $15,000. The business has $300,000 of qualified business property in 2018. Rob's wife, Marie, has wage income of $250,000. They jointly sold stocks in 2018 and generated a long-term capital gain of $13,000. Rob and Marie have no dependents and in 2018, they take the standard deduction of $24,000.The income threshold for QBI limitations starts at $315,000 for married filing jointly taxpayers.a. What is Rob and Marie's taxable income before the QBI deduction?$b. What is Rob and Marie's QBI?$154,000What is Rob and Marie's QBI deduction?$** Please give explanation and not just the answer. Thank you! **
Answer:
a. What is Rob and Marie's taxable income before the QBI deduction?
Rob and Marie's taxable income = Marie's wages + long term capital gains - standard deduction = $250,000 + $13,000 - $24,000 = $239,000
b. What is Rob and Marie's QBI?
QBI = total business income - total business expenses = $421,000 - $267,000 = $154,000
What is Rob and Marie's QBI deduction?$
the maximum possible QBI deduction is 20% of the QBI, but it starts to phase out if the couple's other income is more than $315,000 (currently the phase out threshold is a little higher $326,600). Since their taxable income is lower than the threshold, they can deduct the maximum amount = $154,000 x 20% = $30,800
Staind, Inc., has 7.5 percent coupon bonds on the market that have 10 years left to maturity. The bonds make annual payments. If the YTM on these bonds is 8.75 percent, what is the current bond price?
Answer:
Explanation:
Assuming the face value of the bond = $1000. Interest = 1000*7.5% = $75
Current Price = Interest * PVAF (10 years, 8.75%) + Maturity Value * PVF (8.75%, 10 Years)
Current Price = $75 * 6.4889 + $1000*0.4322
Current Price = $486.67 + $432.20
Current Price = $918.87
So, the current bond price is $918.87
Carla has applied for a loan. Which condition makes it likely that she will get an unsecured loan?.
Carla applies for a loan, and the condition that makes the loan likely is that she has a good credit history.
The most common types of secured loans are car loans and mortgages. An unsecured loan is not secured by anything. The lender cannot take your property if you default on the loan. Credit cards, student loans, and personal loans are the most common types of unsecured loans.
When applying for an unsecured loan, no collateral is required. Smaller loan amounts can be disbursed by HDFC Bank, which offers Unsecured Loans. Furthermore, the bank facilitates repayment by offering a flexible Equated Monthly Instalment (EMI) option.
A credit history is a record of a borrower's timely debt repayment. A credit report is a record of a borrower's credit history obtained from a variety of sources, such as banks, credit card companies, collection agencies, and governments.
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Please help...I need legit answers. I will mark brainliest. Thank youuuuu!!!
When property rights are well defined and markets are: competitive market equilibrium violates the conditions for economic efficiency.market equilibrium is consistent with economic efficiency.conditions necessary for economic efficiency no longer apply.quantity supplied will rarely equal the quantity demanded.
Complete Question:
When property rights are well defined and markets are competitive, the
Group of answer choices:
a. market equilibrium violates the conditions for economic efficiency.
b. market equilibrium is consistent with economic efficiency.
c. conditions necessary for economic efficiency no longer apply.
d. quantity supplied will rarely equal the quantity demanded.
Answer:
b. market equilibrium is consistent with economic efficiency.
Explanation:
A property right is the exclusive or sole authority which determines the legal ownership of resources and how these resources are to be used, whether by individuals or government.
Also, a competitive market is a type of market that comprises of numerous producers who compete with each other so as to satisfy or meet the material needs and wants of consumers at a specific period of time.
Hence, when property rights are well defined and markets are competitive, the market equilibrium is consistent with economic efficiency.
This ultimately implies that, when the ownership of resources are well defined and markets are competitive, all benefits from trade between the consumers and producers of goods and services has been maximized, and each units creating more benefit to the consumers than cost have been produced in the economy.
How education is medium to enhance the ability of human beings?
What is the percentage increase in sales from the preceding year to the current year (rounded to one decimal place)?a.22.6%b.29.1%c.51.7%d.6.6%
The percentage increase in the given sales data for a company from the preceding year to the current year is 29.1%. Hence option (b) is the answer. A company's capacity to produce income through sales is gauged by its sales growth rate over a fixed period of time.
What is the typical rate of sales growth?The change in revenue over a predetermined time period is measured by sales growth. The rate of growth—positive or negative—of a corporation can be seen by comparing the revenue between two fiscal quarters.
Many businesses decide to calculate their sales growth rate as the average annual sales growth rate, which is a measure of how much their sales have increased over a period of years. When calculating sales growth, take the net sales of the previous period and subtract them from the current period's net sales. Divide the outcome by the prior period's net sales after that. To find the percentage increase in sales, multiply the figure by 100.
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The complete question is:
Assume the following sales data for a company:
Current Year $831,595 Preceding Year 644,074
What is the percentage increase in sales from the preceding year to the current year (rounded to one decimal place)?a.22.6%b.29.1%c.51.7%d.6.6%
__________ is when the expected cost of a shortage equals the expected cost of having excess units within a single-period inventory system.
Target stocking point is when the expected cost of a shortage equals the expected cost of having excess units within a single-period inventory system.
The amount of inventory a business will keep on hand in terms of days' supply is known as target inventory or target stock level. This level should be high enough to ensure that production capacity can meet demand during peak times and low enough to prevent stocking outs.
It is equal to the maximum in a min-max inventory system. The order point plus a variable order quantity equals the target inventory as a result.
In short, target inventory is the total amount of stock that a company has on hand at any given time.
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What is the basis of the law of demand?
Group of answer choices
Self-interested behavior
Marginal utility
Utility curves
Market timing
market timing
Explanation:
because that way u wont miss customers
which viability factor involves building relationships with a experienced professionals
Relationship factor helps in building relationships with a experienced professionals.
Give a brief account on Business viability.Viability means that the business is (or may be) successful. A viable business is profitable, meaning it generates more revenue than you spend running it. If a company is not profitable, it is difficult to recover. Companies need to increase sales, reduce costs, or both. Profitability is closely related to solvency and liquidity as well as profit.
There are two processes to creating a profitable business. First, it means formulating a marketing strategy by knowing who you are, who you sell to, and who else you sell to. Second, it means your financial home is in order.
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Consider a person who’s drowning in debt with credit cards, car payments, and student loans. What advice would you have for them? what can you do now to make sure you don’t end up in this situation later in life?.
The Following Advice Should be Given to someone who is Drowning in Debt:-
Set up a spending plan.Do away with the superfluous.Stop all investment activity.Avoid taking on any additional debt.You should boost your revenue.Work on the debt snowball immediately.Put an end to the comparison trap.Start implementing the Baby Steps.Q-2) What can you do now to make sure you don’t end up in this situation later in life?
One of the most crucial actions you can do when you're buried in debt is to create a budget. It will reveal where your money is going and the source of your sense of impending doom. This is the first step in gaining financial control and ensuring that you never feel overwhelmed by debt ever more.To Learn more about Debt, click the links
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"A monopsonist faces a market labor supply curve w = 20 + L, where w is the wage rate and Lis the number of workers employed. If the firms labor demand curve is w = 200 − 4L, what isthe optimal wage rate and quantity of labor employed?" w = 50 and L = 30
Which of the following are examples of global small businesses
that operate in more than one country? (Select four answers.)
Daisuki is a graphic designer who works from home and
has clients all over the world.
Scarlett owns three ice cream shops in her community.
Parwana lives in India and owns a tea shop in her city.
Marshall coaches basketball for a few different teams in his
neighborhood.
Naima makes her special hot chocolate powder in packets
that stay fresh and are easy to ship to other locations, so
she can market and ship them to other countries.
Hiyam purchases clothing in Morocco and resells it in the
U.S. for a higher price.
Ramon offers online language classes for people all over
the world to learn Spanish.
Tuan leads local tours for visitors to his city.
Answer:
A,E,F,G
Explanation:
These are the ones that operate in more than one country!
An AD/AS model showing equilibrium in the steep section of the aggregate supply curve suggests
a. the economy is in recession.
b. potential GDP is being exceeded.
c. potential GDP is being met.
Option (c), An AD/AS model showing equilibrium in the steep section of the aggregate supply curve suggests that potential GDP is being met.
This is because the steep section of the aggregate supply curve represents the portion where output is close to the economy's potential level. Therefore, when the economy is operating at this level, it indicates that potential GDP is being met.
The AD/AS model is a framework used to understand the behavior of the economy by examining the relationships between aggregate demand, aggregate supply, and prices. In this model, the equilibrium point represents the point where aggregate demand and aggregate supply intersect, indicating that the economy is producing the quantity of goods and services that are being demanded.
When the equilibrium point is in the steep section of the aggregate supply curve, it indicates that the economy is producing output close to its potential level. This suggests that resources are being utilized efficiently and that there is little slack in the economy. Therefore, the potential GDP is being met, and the economy is operating at a sustainable level.
On the other hand, if the equilibrium point is below the steep section of the aggregate supply curve, it suggests that the economy is producing output below its potential level. This indicates that there is room for growth, and the economy is in a recessionary phase. Conversely, if the equilibrium point is above the steep section of the aggregate supply curve, it suggests that the economy is producing output above its potential level. This indicates that resources are being used unsustainably, and there is a risk of inflation.
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Which career pathways involve high risk due to exposure to dangers?
Firefighters in the Emergency and Fire Management pathway, Correctional Officers in the Corrections pathway, and Detention Officers in the Law Enforcement pathway
Firefighters in the Emergency and Fire Management pathway, Detention Officers in the Corrections pathway, and Intelligence Analysts in the Security and Protective Services pathway
Intelligence Analysts in the Security and Protective Services pathway, Detention Officers in the Corrections pathway, and Police Officers in the Law Enforcement pathway
Firefighters in the Emergency and Fire Management pathway, Detention Officers in the Corrections pathway, and Police Officers in the Law Enforcement pathway
Answer:
Firefighters in the Emergency and Fire Management pathway, Correctional Officers in the Corrections pathway, and Detention Officers in the Law Enforcement pathway.
Explanation:
The career pathways that involve high risk due to exposure to dangers is :
A) Firefighters in the Emergency and Fire Management pathway, Correctional Officers in the Corrections pathway, and Detention Officers in the Law Enforcement pathway.
"Career Pathways"The career pathways that involve high risk due to exposure to dangers is:
Firefighters in the Emergency
Firefighters too give an critical part in teaching the open with respect to fire and security.
Instructing fire anticipation and teaching the open on how to reply in crisis circumstances can offer assistance spare lives.
Fire Management pathway
Candidates require a long time of work encounter in law requirement, fire security, or an crisis administration field.
Crisis administration executives ordinarily require a bachelor's degree
Correctional Officers in the Corrections pathway
Corrections officers may do a few or all of the taking after:
supervise prisoners' day by day schedule, which incorporates feast, work and amusement times. screen, evaluate and oversee the conduct and security of detainees watch jail buildings and grounds.
Detention Officers in the Law Enforcement pathway.
A detainment officer forms prisoners, keeps up imprison security, serves dinners, transports detainees, gets and forms detainees into care of educate, looks detainees, and takes charge of individual property and gives detainees with opportunity to call their lawyer or relative.
A Career Pathway traces the positions, compensation, and preparing required to development in an industry.
Thus, the correct answer is A.
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Circle the expression(s) equivalent to 42 divided by the sum of 2/3 and 3/4 (2/3+3/4) divided by 42 (42 divided by 2/3) + 3/4 42 divided by (2/3+3/4) 42/ 2/3+3/4
The expression equivalent to 42 divided by the sum of 2/3 and 3/4 (2/3+3/4) divided by 42 is 23/4.
Expressions that are equivalent do the same thing even when they have distinct appearances. When we enter the same value for the variable, two algebraic expressions that are equivalent have the same value.
The equivalent expressions for the specified algebraic expression are shown by the Equivalent Expression Calculator, a free online application. The computations and simplification are expedited by BYJU's online equivalent expression calculator tool, which also quickly shows the equivalent phrase.
The expression equivalent to 42 divided by the sum of 2/3 and 3/4 (2/3+3/4) divided by 42 is:
42/2/3 + 3/4 = 23/4
Therefore, the expression equivalent to 42 divided by the sum of 2/3 and 3/4 (2/3+3/4) divided by 42 is 23/4.
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What are two ways people can find money to save?
Answer:
By Increasing the income or by lowering the expenditure.
Explanation:
By increasing income means that the person must invest the money which would result in increase in the annual income. This increase in annual Income would help you to save more.
The second method is by decreasing the expenditure which are not necessary or are associated with luxury lifestyle. If the person has lowered its expenses then he has started saving more and this money he or she can use elsewhere which as per their future planning.
cash paid to purchase long term investments would be reported
Cash paid for long-term investments is reported in the statement of cash flows under the investing activities section.
When a company purchases long-term investments, such as stocks or bonds, it needs to report the cash paid in its financial statements. This information is important for investors and stakeholders to understand the company's investment activities.
The cash paid for long-term investments is typically reported in the statement of cash flows, specifically in the investing activities section. The statement of cash flows provides information about the cash inflows and outflows from operating, investing, and financing activities.
The cash paid for long-term investments would be categorized as a cash outflow in the investing activities section. This means that it is considered a use of cash for the company.
It is important for companies to accurately report their cash flows to provide transparency and help users of financial statements make informed decisions.
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if $625 is invested at an interest rate of 7% per year and is compounded continuously, how much will the investment be worth in 12 years? use the continuous compound interest formula: a
The investment will be worth approximately $1,335.54 in 12 years if it is compounded continuously.
To calculate the future value of the investment compounded continuously, we can use the continuous compound interest formula: A = Pert, where A is the future value, P is the principal amount, e is the base of the natural logarithm (approximately 2.71828), r is the interest rate, and t is the time in years.
In this case, the principal amount (P) is $625, the interest rate (r) is 7% (or 0.07 as a decimal), and the time (t) is 12 years. Plugging these values into the continuous compound interest formula, we get:
A = 625 * e^(0.07 * 12)
Using a calculator, we can evaluate the exponential function to find:
A ≈ $1,335.54
Therefore, the investment will be worth approximately $1,335.54 in 12 years if it is compounded continuously.
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The complete question is:
If $625 is invested at an interest rate of 7% per year and is compounded continuously, how much will the investment be worth in 12 years? Use the continuous compound interest formula: A = Pert.
fill in the blank. Holt Computer Services received $200 from a customer that it had billed earlier in the month. Illustrate how to record the transaction to the T-accounts by completing the following sentences.
Accounts receivable would be ________(debited/credited) on the _____________(left/right) side of the T-account, and Cash would be ___________(debited/credited) on the __________(left/right) side of the T-account.
Accounts receivable would be credited on the right side of the T-account, and Cash would be debited on the left side of the T-account.
Cash would be deducted from the T-left account's side, while Accounts Receivable would be credited to the right side. This is because when a company receives payment from a customer, the company's accounts receivable account is decreased (credited) and the company's cash account is increased (debited).
The T-account is a visual representation of a company's accounts, with the left side representing debits and the right side representing credits. Therefore, the transaction would be recorded as a credit to accounts receivable on the right side of the T-account and a debit to cash on the left side of the T-account.
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