The aspect of marketing provides information and useful insight into customer behaviors and interactions that can help answer questions in a concrete way. Therefore, option A is correct.
What is a Customer?A customer is referred to as an individual who purchases a product or service. He may or may not be the consumer. A consumer refers to a person who utilizes or consumes goods and services.
Understanding client demands, opinions about various products and businesses, customer satisfaction, and priorities for product offerings and pricing, may all be gained from marketing research.
Therefore, option A is appropriate.
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THE COMPLETE QUESTION IS PROBABLY
What aspect of marketing provides information and useful insight about customer behaviors and interactions that can help answer questions in a concrete way?
Single Choice Question. Please Choose The Correct Option
A
Marketing data
B
Marketing impressions
C
Marketing strategies
D
Marketing touchpoints
time is limited i have 2 minuets on this
The best time to visit a college campus is:
A) during spring break.
B) Monday through Thursday.
C) over the summer.
D) on any Friday.
At December 31 the records of Kozmetsky Corporation provided the following selected and incomplete data:
Common stock (par $2; no changes during the current year).
Shares authorized, 5,000,000.
Shares issued, ? ; issue price $7 per share.
Shares held as treasury stock, 11,100 shares, cost $5 per share.
Net income for the current year, $462,820.
Common Stock account, $149,000.
Dividends declared and paid during the current year, $2 per share.
Retained Earnings balance, beginning of year, $790,000.
1. shares issued:
shares outstanding:
2. the balance in additional paid-in capital would be:
3. earning per share is:
4. total dividends paid on common stock during the current year is:
5. treasury stock should be reported in the stockholders equity section of the balance sheet in the amount of:
6. assume that the board of directors voted a 2 for 1stock split, the par value per share will be:
1.The number of shares issued would be 5,000,000 - 11,100 = 4,988,900 shares.
2. The balance in additional paid-in capital would be $7 * 4,988,900 = $34,922,300.
3. The number of shares outstanding would be 4,988,900 - 11,100 = 4,977,800 shares. Now, we can calculate the earnings per share by dividing $462,820 by 4,977,800 shares.
4.The total dividends paid on common stock during the current year would be $2 * 4,977,800 = $9,955,600.
5. The treasury stock should be reported in the stockholders' equity section of the balance sheet in the amount of $5 * 11,100 = $55,500.
6.The stock split, the new par value per share would be $2 / 2 = $1 per share.
1. To find the number of shares issued, we need to subtract the number of treasury stock from the total shares authorized. In this case, the total authorized shares are 5,000,000 and the treasury stock is 11,100 shares. Therefore, the number of shares issued would be 5,000,000 - 11,100 = 4,988,900 shares.
2. The balance in additional paid-in capital can be calculated by multiplying the issue price per share by the number of shares issued. In this case, the issue price is $7 per share and the number of shares issued is 4,988,900 shares. Therefore, the balance in additional paid-in capital would be $7 * 4,988,900 = $34,922,300.
3. Earnings per share is calculated by dividing the net income for the current year by the number of shares outstanding. The net income for the current year is $462,820 and the number of shares outstanding is the number of shares issued minus the treasury stock. From our previous calculations, we know that the number of shares issued is 4,988,900 and the treasury stock is 11,100 shares. Therefore, the number of shares outstanding would be 4,988,900 - 11,100 = 4,977,800 shares. Now, we can calculate the earnings per share by dividing $462,820 by 4,977,800 shares.
4. The total dividends paid on common stock during the current year is calculated by multiplying the dividends declared and paid per share by the number of shares outstanding. In this case, the dividends declared and paid per share is $2 and the number of shares outstanding is 4,977,800 shares. Therefore, the total dividends paid on common stock during the current year would be $2 * 4,977,800 = $9,955,600.
5. Treasury stock should be reported in the stockholders' equity section of the balance sheet at its cost. In this case, the cost of the treasury stock is $5 per share and the number of treasury stock shares is 11,100 shares. Therefore, the treasury stock should be reported in the stockholders' equity section of the balance sheet in the amount of $5 * 11,100 = $55,500.
6. If the board of directors voted for a 2 for 1 stock split, the par value per share would be halved. Since the par value is currently $2 per share, after the stock split, the new par value per share would be $2 / 2 = $1 per share.
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6. Describe at least three things a bank would consider about you when deciding whether to give you a loan. (1-3 sentences. 3.0 points)
Explanation:
Your Credit History
Your Ability To Pay The Loan
Your Cash Flow History
An account into which a person deposits money and then can withdraw funds by making a written order to the bank instructing it to pay money from the account to another person or a business is known as
a. a savings account.
b. achecking account.
c. a cashier's account.
d. a credit account.
How can transport affect a business for local factors?
Identify and explain one advantage and one disadvantage to BMW if the government increased value added tax
Answer:
The advantage for BMW is that an increase in value added tax will also affect BMW cars. This means that BMW will be more expensive, making it likely to for BMW earn more revenue, and thus, for its stockholders to earn more profit.
However, the disadvantage is exactly the same, just the other way around: the VAT increase would also affect prices for many parts, supplements, and other goods and services that BMW acquires to make cars. This in turn will also raise production costs, making higher selling prices not only a possibility, but likely a necessity in order to maintain profit margins.
why did the large number of loan defaults negatively impact securities firms and investment banks
The large number of loan defaults can negatively impact securities firms and investment banks for several reasons:Losses on securities and loans,Counterparty risk,Reputation risk.
Losses on securities and loans: Securities firms and investment banks often hold or invest in securities that are backed by loans. When a large number of borrowers default on their loans, the value of these securities can decrease, leading to losses for the firms and banks.
Counterparty risk: Securities firms and investment banks often engage in transactions with other financial institutions. When these counterparties experience losses due to loan defaults, it can create counterparty risk for the firms and banks, as they may not receive the payments or collateral that they are owed.
Reputation risk: Loan defaults can also lead to reputation risk for securities firms and investment banks. If they are associated with a high number of loan defaults, it can damage their reputation and make it more difficult for them to attract clients and investors in the future.
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What is most likely to cause Australia's exchange rate to depreciate? A. an increase in Australia's demand for imports B. an increase in Australia's interest rate c. an increase in demand for Australia's exports D. an increase in tourist visits to Australia
The most likely cause for Australia's exchange rate to depreciate would be: A. an increase in Australia's demand for imports.
When Australia's demand for imports increases, it means that Australians are buying more goods and services from other countries. This leads to a higher demand for foreign currencies to make these international purchases. As a result, the demand for the Australian dollar decreases relative to other currencies, causing the exchange rate to depreciate.
An increase in Australia's interest rate (option B) would typically attract foreign investors, leading to an increase in the demand for the Australian dollar and potentially strengthening the exchange rate.
An increase in demand for Australia's exports (option C) would generally lead to an increase in the demand for the Australian dollar, as foreigners need to buy Australian dollars to pay for those exports. This would likely strengthen the exchange rate.
An increase in tourist visits to Australia (option D) may have some impact on the demand for Australian dollars, but it is generally not as significant as factors like import demand or trade balances.
Therefore, the most likely cause for Australia's exchange rate to depreciate is an increase in Australia's demand for imports (option A).
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4x+2/2 -(-2x)
Like ansa it now
Answer:
6x + 1
Explanation:
Given
4x+2/2 -(-2x)
Required
Solve
To start with, rule of BODMAS must be applied; meaning that we start by simplifying the bracket.
4x+2/2 -(-2x) becomes.
4x + 2/2 + 2x
The next step is to simplify all divisions.
4x + 2/2 + 2x becomes
4x + 1 + 2x
Collect like terms
4x + 2x + 1
6x + 1
Hence,
4x+2/2 -(-2x) is equivalent to 6x + 1
A(n) is a prearranged amount of credit that is available for a business to use as needed
Answer:
Open Credit
Explanation:
Open credit is the type of credit where the borrower has access to a pre-approved loan limit. The lender and borrower agree on the maximum limit that the borrower should not exceed. The borrower continues to have access to funds as long as they do not exceed the set limit. Once the limit is reached, the borrower needs to make repayments to continue accessing the credit services.
Open credit is also known as the line of credit or revolving line of credit.
Which one of these is not a factor when determining ad rates.
"Incomplete".
Although part of your question is missing, you might be referring to this..
A factor when determining ad rates,
Generally, it is calculated based on the circulation and readership of the publication, which it has earned over time. In other words, the more popular a newspaper, the higher the Ad rates.
Size- One of the biggest and most obvious factors in cost will be the size of your ad., Frequency, Quality Content and Design, Regional Rates, Color, A Clearly Defined Target Audience, etc.
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Question 7 of 10
Which of the following best describes what a manager does?
O A. Influences others to purchase certain goods from certain stores
O B. Makes sure that a company is using its resources in a way that
helps it meet its goals
O C. Works for a company and produces resources to make a product
O D. Combines an idea, a plan, and various resources to start a new
business
Omg
Answer:
The answer is B..........
which marines are responsible for creating file plans
What is the key to successful investing?
- Make sure you know what your investing in (DYOR)
- Invest only money your willing to lose
- Learn from others and learn strategies
Chart of Accounts
This is worth 90 points
well well well, we meet again.
An income statement reports information over a period of time, indicating the financial progress of a business in earning a net income or net loss. (PG 182)
Answer:
True
Explanation:
An income statement is among the three important financial statements that a business prepares at the end of every financial year. It is divided into three main sections of revenues, expenses, and income.
The revenue section lists all sources of revenues and any adjustments to obtain the net revenue. The expenses section shows all business expenses and their total. The income section is the difference between revenue and expenses. A positive income means the made profits, while a negative income indicates losses.
What does the concept of scarcity explain?choose three answers
The concept of scarcity explains:
why consumers are willing to pay high prices for items.why decisions must be made on how to use resourceswhy a single resource has more value than another resource.Scarcity as an economic idea "refers back to the basic reality of lifestyles that there exists most effective a finite quantity of human and nonhuman resources which the first-rate technical expertise is capable of the usage of to provide most effective restricted most amounts of each economic appropriate. shortage in economics refers to whilst the call for for a resource is greater than the deliver of that aid, as assets are limited. shortage consequences in purchasers having to make selections on how high-quality to allocate assets a good way to satisfy all simple needs and as many desires as feasible. shortage refers back to the confined availability of a useful resource in contrast to the infinite desires. shortage may be with appreciate to any natural assets or with admire to any scarce commodity. scarcity can also be called paucity of sources.
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Answer:
why consumers are willing to pay high prices for items.
why decisions must be made on how to use resources
why a single resource has more value than another resource.
Explanation:
why a product could lose significant value over time.
why people continue to purchase different products.
why consumers are willing to pay high prices for items.
why decisions must be made on how to use resources
why resources can be both renewable and nonrenewable.
why a single resource has more value than another resource.
(i took the test)
coco promised to sell estee her diamond necklace and estee promised to pay $2,000 for the necklace. what type of contract is this?
Coco promised to sell Estee her diamond necklace and Estee promised to pay $2,000 for the necklace. This is a type of bilateral contract.
This is an instance of a bilateral contract, which is a sort of agreement in which both parties make promises to one another. In this instance, Coco promises to part with her diamond jewelry, and Estee promises to pay $2,000 for it. One of the most prevalent kinds of contracts, bilateral agreements are used for a number of purposes, including the buying and selling of products and services as well as employment arrangements.
The agreement is regarded as legal and binding so long as both parties comply with their promises. Bilateral contracts give parties a mechanism to make a legally enforceable agreement and guarantee that both parties are held responsible for their commitments.
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On your property tax bill, you see the following table. destination share of your taxes roads $241 schools $896 public safety $154 township $177 what percentage of your taxes went to funding public safety? a. 10.49% b. 12.06% c. 11.72% d. 8.94% please select the best answer from the choices provided a b c d
As per the property tax bill received by the person, such person pays around 10.49% of his total tax liabilities towards funding the public safety if $154 are paid.
What are tax liabilities?Tax liabilities are the amount of tax that an eligible taxpayer is under an obligation to pay to the respective tax-collecting authorities.
As per the given information, it has been computed that a person pays a total tax of around $1468 and public safety taxes that are paid are $154.
Computation of the proportion of percentage of public safety out of the total tax liabilities is shown as below,
\(\rm Tax\ in\ Percentage\ towards\ Public\ Safety= \dfrac{Public\ Safety\ Tax}{Total\ Tax\ Liabilities}x\ 100\\\\\rm Tax\ in\ Percentage\ towards\ Public\ Safety= \dfrac{154}{1468} x\ 100\\\\\rm Tax\ in\ Percentage\ towards\ Public\ Safety= 10.49\%\)
Hence, option A; the person pays around 10.49% of his total tax liabilities towards funding the public safety if he pays $154 for tax liabilities of $1468.
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Answer:
The correct answer is A.
Explanation:
10.49%
consider how transaction costs affect foreign currency exchange. rank each of the following foreign exchanges according to their probable spread
a. An American returning from a trip to Turkey wants to exchange his Turkish lira for U.S. dollars at the airport. b. Citigroup and HSBC, both large commercial banks located in the United States and United Kingdom, respectively,
need to clear several large checks drawn accounts held by each bank.
on
c. Honda Motor Company needs to exchange yen for U.S. dollars to pay American workers at its Ohio manufacturing plant. d. A Canadian tourist in Germany pays for her hotel room using a credit card.
Transaction costs, or the expenses related to converting currencies, have an impact on the likely spread on international exchanges. The spread is expected to be bigger the higher the transaction costs .
According to the provided scenarios, the order of probable distribution is as follows b. Citigroup and HSBC requiring to settle a number of sizable checks written on accounts owned by each bank: Given that both Citigroup and HSBC are sizable commercial banks with ample resources and expertise in foreign currency operations, this is expected to have the lowest spread. Also, the amount of the checks being cleared may provide the banks a chance to net out their holdings, limiting the spread and the requirement for exchange operations.
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Jane, the CEO of a company, is trying to resolve how a new marketing strategy should be conducted. She is taking into account the long-term future of the company, brainstorming with her team, and providing them all with key information. Which type of decision-making style is she using?
Answer:
conceptual decision making
Explanation:
In simple words, Conceptual type decision-making identifies individuals who appreciate the uncertainty with open-ended choices and are inspired to have an influence on the environment. If you're a visionary type decision-maker, you ’re supposed to have day-dreams sometimes and easily come up with fresh suggestions when necessary.
Thus, from the above we can conclude that Jane is using conceptual decision making.
Thinkers who disliked the lack of government intervention characteristic of laissez-faire economic policies during the industrial revolution proposed which new economic alternative?
During the industrial revolution, many thinkers became dissatisfied with the laissez-faire economic policies that were prevalent at the time.
Laissez-faire economic policies were characterized by minimal government intervention in the economy, allowing businesses and individuals to operate with little regulation. As a result, many workers suffered from poor working conditions, low wages, and long hours. In response to this, some thinkers proposed an alternative economic system known as socialism. Socialism advocated for greater government involvement in the economy and the redistribution of wealth and resources to ensure greater equality among individuals. Socialists believed that by controlling the means of production and distribution, the government could create a more equitable and just society. This alternative economic model would go on to influence many countries and movements throughout the 20th century.
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Respond to the following prompt in a post with a minimum of 150 words. Then comment on at least TWO other posts.
Gross Domestic Product (GDP) was designed as a measure of economic activity, specifically a measure of national production. Despite this intent, GDP is widely interpreted as a measure of economic welfare or standard of living (when measured in per capita terms). What are the shortcomings of using GDP as a measure of economic welfare? What would you like to add to (or subtract from) GDP to make it a better reflection of how well people are doing in a nation? Don’t limit yourself to ideas from the tranche.
Answer:
Enhancing GDP Limitations.

Respond to the following prompt in a post with a minimum of 150 words. Then comment on at least TWO other posts. Gross Domestic Product (GDP) was designed as a measure of economic activity, specifically a measure of national production. Despite this intent, GDP is widely interpreted as a measure of economic welfare or standard of living (when measured in per capita terms). What are the shortcomings of using GDP as a measure of economic welfare? What would you like to add to (or subtract from) GDP to make it a better reflection of how well people are doing in a nation? Don’t limit yourself to ideas from the tranche.
While GDP was intended to be a measure of economic activity, its limitations as a measure of economic welfare have become increasingly apparent. One of the main shortcomings of GDP is that it does not account for factors such as income inequality, social welfare, and environmental sustainability. For example, a country with a high GDP may still have significant poverty and inequality, indicating that not all members of society are benefitting equally from economic growth.
To improve GDP as a measure of economic welfare, additional factors such as social welfare, environmental sustainability, and income inequality should be taken into account. For example, the Genuine Progress Indicator (GPI) is a more comprehensive measure of economic welfare that takes into account factors such as income distribution, environmental sustainability, and social welfare. Other measures such as the Human Development Index (HDI) also take into account factors such as education and health, providing a more holistic view of economic welfare.
Moreover, I would suggest adding cultural capital and social capital to the GDP. Cultural capital includes cultural and artistic creations, while social capital includes community organizations and civic engagement. These factors are not typically included in traditional economic measures but are critical for measuring social and cultural well-being.
In summary, while GDP is useful for measuring economic activity, it is not an adequate measure of economic welfare. Additional factors such as social welfare, environmental sustainability, income inequality, cultural capital, and social capital should be considered when measuring economic welfare to provide a more holistic view of how well people are doing in a nation.
Overall, it is important to develop a more comprehensive measure of economic welfare that takes into account not only economic activity but also social, cultural, and environmental factors, to ensure that all members of society benefit equally from economic growth.
Comment 1: I agree with your statement that GDP is an inadequate measure of economic welfare as it does not take into account social welfare, environmental sustainability, and income inequality. I think adding factors such as social and cultural capital would be beneficial in measuring economic welfare. Measuring cultural and artistic creations, as well as community organizations and civic engagement, would provide a more comprehensive view of how well people are doing in a nation.
Comment 2: I like your suggestion of adding cultural and social capital to GDP to provide a more comprehensive view of economic welfare. Social capital is especially important as it can contribute to the development of more cohesive and supportive communities, which is essential for a thriving society. Additionally, I appreciate your mention of GPI and HDI as more holistic measures of economic welfare that take into account a range of factors beyond GDP. It is crucial that we move towards measuring economic welfare more comprehensively to ensure that we are addressing the needs of all members of society.
APR, a rate advertised by ___ is typically ___ than APY
A) lenders; higher
B) borrowers; higher
C) borrowers; lower
D) lenders; lower
answer: D
APR, a rate advertised by lenders is typically lower than APY. The correct answer is D.
What is APR?APR is an acronym for annual percentage rate, it is considered as a cost of borrowing money which is calculated on a percentage that any individual pay each year on their loan. It does not only include the rate of interest but also the fees you must pay to obtain the loan.
APY is an acronym for annual percentage yield, which is considered the actual rate of return on the investment after considering the effect of investment returns.
APR is a rate advertised by lenders that is typically lower than APY as the cost of overall borrowing is lower, and the accounts of APR are also lower. If the difference between APR and APY is higher, the frequency with which interest compounds also increases.
Therefore, option D lenders and lower is the appropriate answer.
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Keesha is the ceo of a publicly-owned company. She was informed by the cfo that the company's earnings were down 30 percent from the prior year due to the recession. The company's stock price has declined by 20 percent. The cfo comes up with a scheme to hide debt and inflate revenues by selling underperforming assets to a special purpose entity affiliated with the company. Keesha is concerned about possible effects on the creditors but ultimately she agrees to the accounting. Keesha is reasoning at.
Keesha, the CEO of a publicly-owned company, is reasoning at Stage 3, which is fairness to others.
Describe Kohlberg's phases of moral development.In 1958, while a graduate psychology student at the University of Chicago, Kohlberg started researching this issue. Pre-conventional, conventional, and post-conventional moral reasoning are three separate levels that Kohlberg established. In order to describe how moral thinking develops, Lawrence Kohlberg created the "Kohlberg phases of moral development" planes of moral sufficiency.
The idea was developed at the University of Chicago while the author was a psychology student. It was motivated by a concern with children's responses to moral quandaries and by the work of Jean Piaget. In 1958, he composed a Ph.D. dissertation at the institution explaining what is now referred to as his stages of moral development.
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The complete question is:
Keesha is the CEO of a publicly-owned company. She was informed by the CFO that the company's earnings were down 30 percent from the prior year due to the recession. The company's stock price has declined by 20 percent. The CFO comes up with a scheme to hide debt and inflate revenues by selling underperforming assets to a special purpose entity affiliated with the company. Keesha is concerned about possible effects on the creditors but ultimately she agrees to the accounting. Keesha is reasoning at:
Stage 1
Stage 2
Stage 3
Stage 4
What are some factors that would influence supply? Explain
Answer:
6 Factors Affecting the Supply of a Commodity (Individual Supply) |
Price of the given Commodity: ADVERTISEMENTS: ...
Prices of Other Goods: ...
Prices of Factors of Production (inputs): ...
State of Technology: ...
Government Policy (Taxation Policy): ...
Goals / Objectives of the firm:
Explanation:
Please mark as brain list
suppose a monopoly can separate its customers into two groups. if the monopoly practices price discrimination, it will charge the lower price to the group with:
If a monopoly can separate its customers into two groups, it may choose to practice price discrimination, which means charging different prices to different groups. In this case, the monopoly will charge the lower price to the group that is more price-sensitive or has a higher elasticity of demand.
This is because the group that is less price-sensitive or has a lower elasticity of demand is willing to pay a higher price for the same product or service.
For example, if a monopoly can separate its customers into business and leisure travelers, it may charge a lower price to leisure travelers who are more price-sensitive than business travelers. Business travelers, on the other hand, are less sensitive to price and may be willing to pay a higher price for the convenience and flexibility that the monopoly's product or service provides.
By practicing price discrimination, the monopoly can increase its profits by capturing more consumer surplus from the group with a lower elasticity of demand while still charging a higher price to the less price-sensitive group.
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Documents of Trade
Fill in the blanks.
A customer sends a/an __________ to a trader asking for a/an __________ , which
gives details of the goods on offer. The customer then studies the __________and places a/an __________. When the goods are sent a/an __________ may be sent with them followed by the __________, which shows the amount owed.
Words: Letter of Enquiry; Quotation; Order; Delivery note; Invoice; Statement of Account; Receipt; Credit Note
Answer:
Here's ur answer
Explanation:
letter of enquiryQuotationreceiptorderdelivery notecredit noteHope it's helpful.. if so mark me as brainlist n thank me also
How important is money
Answer:
very important
Explanation:
money is a global income source for everyone. we all have different types but it is all still money. now say one country got rid of money and had people pay for stuff using other things. if china did that lots of different countries wouldn't be able to get stuff from there unless they had so much of that product they could just give it up.
a. How much would the firm’s revenue change if it lowered price from $12 to $10? Is demand elastic or inelastic in this range? Revenue change: $ -3.66 -3.66 Incorrect Demand is elastic Correct in this range b. How much would the firm’s revenue change if it lowered price from $4 to $2? Is demand elastic or inelastic in this range? Revenue change: $ 20 20 Incorrect Demand is inelastic Correct in this range c. What price maximizes the firm’s total revenues? What is the elasticity of demand at this point on the demand curve? Price that maximizes total revenues: $ 7 7 Correct Demand is unitary elastic Correct at this point
If the firm lowers the price from $12 to $10, the percentage change in price is 16.67% [(12-10)/12] and assuming that the quantity demanded increases by 25%, the price elasticity of demand is -$3.00
It can be calculated as:
Formula: Elasticity of demand = percentage of the change in quantity demanded / percentage of the change in price
Elasticity of demand = 25% / 16.67%
Elasticity of demand = 1.5
Since the elasticity of demand is greater than 1, demand is elastic in this range. The revenue change can be calculated as:
Revenue change = percentage change in quantity demanded x percentage change in price x original revenue
Revenue change = -25% x 16.67% x $12
Revenue change = -$3.00
Therefore, if the firm lowers the price from $12 to $10, the revenue change would be -$3.00. And the price that maximizes total revenue is $7 and the elasticity of demand at this point on the demand curve is unitary elastic (i.e., -1).
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