which of the following is not an area of disadvantage of cellular layouts? A. work-in-process inventory. B. cell balance. C. training and scheduling. D. capital investment.

Answers

Answer 1

Capital investment is not an area of disadvantage of cellular layouts. Option D is the correct answer.

The physical arrangement of a business—known as a "cellular layout"—improves productivity, efficiency, and workflow. Work cells, which are little groups of 3–12 employees, must be created for this structure. There are certain numbers of equipment and supplies inside each unit. Option D is the correct answer.

A company's organizational structure is referred to as having a "cellular layout." The idea is to make equipment and supplies available to employees on demand so they won't have to waste time looking for what they need to complete their tasks. The number of personnel and machinery in a department might range from three to twelve, or even more, depending on the size and demands of the business.

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Related Questions

Coach Sieb Has a treadmill desk. Walking on the treadmill will break down her triglyceride Levels 90% faster what is the percent that it breaks down while sitting

Answers

Answer:

0%

Explanation:

Base on the scenario been described in the question, where we saw coach Seib has 90% faster breaking her triglyceride Levels while working, when sitting, she has a 0% of breaking her triglyceride Levels because no movement, there will be no breakdown in the triglyceride Levels

TRUE/FALSE. 13. True or False: If you invest in long
term US Treasury Notes, you will
never have a 3-month period of
negative returns.

Answers

False. Investing in long-term US Treasury Notes does not guarantee that you will never have a 3-month period of negative returns. While they are considered a relatively safe investment, market fluctuations and changes in interest rates can still lead to short-term losses.

US Treasury Notes, also known as Treasury notes or T-notes, are debt securities issued by the United States Department of the Treasury. They are part of the family of US Treasury securities, which also includes Treasury bills (T-bills) and Treasury bonds (T-bonds).

T-notes have a maturity period ranging from 2 to 10 years. They pay interest every six months and return the principal amount at maturity. These securities are issued to fund the government's borrowing needs and finance various projects and expenditures.

Investors can purchase T-notes directly from the US Treasury through auctions or in the secondary market. They are considered relatively low-risk investments because they are backed by the full faith and credit of the US government. The interest income generated from T-notes is subject to federal income tax but exempt from state and local taxes.

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If an agreement can not be made, a democratic leader will
A) LEAVE IT UP TO THE EMPLOYEES
B) WILL MAKE THE FINAL DECISION THEMSELVES

Answers

Answer:

B

Explanation:

cuz u need to talk about it as a group

Answer:

I would say neither or B)

Regardless of their political party, all leaders should collaborate with their workers until an agreement has been reached. Also, note that democracy means that the power is in the hands of the people. But even so, leaders should still play a role in the conversation.

The ______is a financial statement detailing a firm's assets, liabilities, and owners' equity.
A. balance sheet
B. statement of cash flows
C. manufacturing statement
D. income statement

Answers

I had this question before, the answer I got correct is D

The income statement is a financial statement detailing a firm's assets, liabilities, and owner's equity. Thus, option 'D' is the correct option.

What is an income statement?

One of a company's financial accounts, an income statement or profit and loss account, lists the company's revenues and costs for a specific time period. It describes the process through which revenues are converted into net income or net profit.

A period of time is represented by an income statement (as does the cash flow statement). The balance sheet, on the other hand, only depicts one point in time. There are two ways to create an income statement. The Single Step Income Statement calculates the net income by adding up all receipts and deducting all costs.

In order to get at the net income, the Multi-Step income statement makes a number of calculations, beginning with the gross profit and moving on to operational expenditure estimation. then, after taking the gross profit into account, you get income from operations.

Therefore, option 'D' (income statement) is the correct option.

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table 21.1 units of labor units of output 0 0 1 15 2 35 3 45 4 52 what is the marginal physical product of the second unit of labor in table 21.1?

Answers

The second unit of labor produces a marginal physical product of 20. They receive a $100,000 investment after a successful investor presentation, enabling them to increase production to 8,000 units per month.

What does "marginal physical product" entail?

The change in output due to a change in the level of variable input is called marginal physical product (MPP); The MPP is the change in TPP for every unit of change in the quantity of the variable input, to put it another way. With the current production inputs, a startup company is currently producing 2,000 units per month. With the current production inputs, a startup company is currently producing 2,000 units per month. They receive a $100,000 investment after a successful investor presentation, enabling them to increase production to 8,000 units per month.

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you should not use questions for subheadings as they are wordy and may confuse the reader.

Answers

That statement is generally true. Avoid using questions for subheadings as they can confuse readers.

How to use questions effectively?

Questions can be useful in introducing a topic or framing a discussion, but they may not be the best choice for subheadings. Subheadings should be concise and informative, allowing the reader to quickly understand the main point of the section.

Using questions as subheadings can make the text feel cluttered and disorganized, and may lead to confusion if the reader is not clear on the context of the question.

Instead, it is often better to use descriptive phrases or brief statements as subheadings, highlighting the main theme or idea of the section. This can help to guide the reader through the text and improve their comprehension of the content.

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A decrease in demand, with no change in supply, will lead to ________ in equilibrium quantity and ________ in equilibrium price.

Answers

Blank 1: shortage

Blank 2: increase

You received a signed broker-to-broker transfer initiation form (TIF) from an established customer desiring to transfer a specifically designated part of his account to your firm, which is eligible to use the Automated Customer Account Transfer Service (ACATS). Your firm is obligated to submit the transfer instruction to the carrying member by establishing the instruction in the ACATS

Answers

Your firm must submit the transfer instruction to the carrying member through the ACATS A) Immediately.

What is the Automated Customer Account Transfer Service (ACATS)?

The Automated Customer Account Transfer Service (ACATS) is a standardized and automatic system sanctioned by the Financial Industry Regulatory Authority (FINRA) that transfers financial securities in customers' accounts from one brokerage firm or bank to another.

Under the FINRA's Uniform Practice Code, a customer may transfer some or all of their securities.

Thus, the FINRA's Uniform Practice Code requires that your firm immediately forwards the TIF to the next broker.

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Question Completion with Answer Options:

What does FINRA's Uniform Practice Code require?

A) Immediately.

B) within 1 business day.

C) within 3 business days.

D) within 2 business days.

Javier and Anita Sanchez purchased a home on January 1 of year 1 for $1,000,000 by paying $200,000 down and borrowing the remaining $800,000 with a 6 percent loan secured by the home. The Sanchezes made interest only payments on the loan in years 1 and 2. (Leave no answer blank. Enter zero if applicable.)
1. Assuming year 1 is 2017, how much interest would the Sanchez’s deduct in year 2?
Maximum deductible interest expense 2. Assuming year 1 is 2018, how much interest would the Sanchez’s deduct in year 2?
Maximum deductible interest expense

Answers

1. STEP 1: First, we calculate the interest payment: $800,000 (loan amount) * 6% (interest rate) = $48,000 (annual interest payment)
STEP 2: As year 1 is 2017, the maximum deductible interest expense is still based on the pre-2018 tax laws, which allow for the full deduction of interest paid on a mortgage up to $1,000,000.


Therefore, the Sanchazes can deduct the full $48,000 interest payment in year 2.

2. Assuming year 1 is 2018, the interest that the Sanchezes would deduct in year 2 can be calculated as follows:
STEP 1: We still calculate the interest payment as

$800,000 (loan amount) * 6% (interest rate) = $48,000 (annual interest payment)


STEP 2: As year 1 is 2018, the maximum deductible interest expense is based on the post-2017 tax laws, which limit the mortgage interest deduction to interest paid on mortgage debt up to $750,000.

- To find the deductible interest, we need to calculate the interest payment based on the $750,000 limit:

$750,000 * 6% = $45,000
- Therefore, the Sanchazes can deduct only $45,000 interest payment in year 2 as the maximum deductible interest expense.

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Mr. Porter’s gross pay is $90,000 per year. He files taxes as head of a household, and his income tax percentage is 20%, so that is withheld from his paycheck. When he files his taxes, he owes $16,800 after deductions. Which of the following is true?

Answers

There is no list of options to choose from, but based on the information provided, one possible conclusion is:

Mr. Porter's total income tax is $23,400, which is 26% of his gross pay ($90,000). This means that $6,600 ($23,400 - $16,800) was not withheld from his paychecks and he owed that amount when he filed his taxes.

Answer: $1,200

Explanation: $90,000*.20=$18,000

$18,000-$16,800=$1200

Life Insurance A 38-year-old woman purchases a $100,000 term life insurance policy for an annual payment of $550. Based on a period life table for the U.S. government, the probability that she will survive the year is 0.999057. Find the expected value of the policy for the insurance company. Round to two decimal places for currency problems. The expected value of the policy for the insurance company is $.

Answers

The expected value of the policy for the insurance company can be calculated by multiplying the death benefit by the probability of the insured's death and subtracting the annual premium. In this case, the death benefit is $100,000, and the probability of survival is 0.999057.

Expected Value = (Death Benefit x Probability of Death) - Annual Premium

Expected Value = ($100,000 x (1 - 0.999057)) - $550

Expected Value = ($100,000 x 0.000943) - $550

Expected Value = $94.30 - $550

Expected Value = -$455.70

Therefore, the expected value of the policy for the insurance company is -$455.70. This means that, on average, the insurance company can expect to lose $455.70 per policy sold, given the provided information.

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which one of these correctly summarizes the future value formula? assume the interest rate is positive. multiple choice question. A. the higher the present value, the lower the future value, all else held constant.
B. the higher the interest rate, the lower the future value, all else held constant.
C. the lower the interest rate, the greater the future value, all else held constant. D. the greater the number of time periods, the higher the future value, all else held constant

Answers

In other words, the greater the present value, the higher the future value, all else held constant. The lower the interest rate, the lower the future value, all else held constant. And the greater the number of time periods, the greater the future value, all else held constant.

The Future Value Formula states that the future value of a given amount (the present value) can be calculated by multiplying the present value by a factor based on the interest rate and the number of time periods. The formula is:
Future Value = Present Value x (1 + Interest Rate) ^ Number of Time Periods

To summarize, the future value formula states that the greater the present value, the lower the interest rate, and the greater the number of time periods, the greater the future value, all else held constant.

This can be demonstrated using a simple example. Consider a present value of $1000, an interest rate of 5%, and 5 years. The future value would be $1,276.28, calculated using the Future Value formula. If the present value remains constant at $1000, and the interest rate is lowered to 3%, the future value would be $1,321.51. Similarly, if the present value remains constant at $1000, and the number of time periods is increased to 10, the future value would be $1,609.89.

In conclusion, the future value formula states that the higher the present value, the lower the future value, all else held constant. The lower the interest rate, the greater the future value, all else held constant. And the greater the number of time periods, the higher the future value, all else held constant.

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ms/d/e/1FAIpQLScBc3LOV5pXKGJHOY319ko
4. Use the following to determine your monthly balance for a monthly net 5 poir
income of $2,100. Monthly Expenses of: Fixed $750; living $1,000; Annual
monthly $375*

Answers

Answer:

400

Explanation:

750+1000-2100=450

The young men below are in colloquial language, “getting their hustle on!” Explain how their business is a sole proprietorship. Secondly, explain why the government will have a difficult time taxing this type of business.

The young men below are in colloquial language, getting their hustle on! Explain how their business is

Answers

These businesses are typically not registered with the government, and they do not have an official structure.

The government may be unwilling or unable to regulate these types of businesses because they are frequently viewed as necessary for economic growth and development.

In colloquial language, the young men below are "getting their hustle on." A sole proprietorship is a type of business that is owned and operated by a single individual. The young men's business can be referred to as a sole proprietorship since they are the sole owners of the business.

They are the ones who started the business, are responsible for all of its operations, and are accountable for all of the profits or losses.The government will have a tough time taxing this type of business for a variety of reasons.

Firstly, these businesses are typically not registered with the government, and they do not have an official structure. As a result, it's difficult for the government to track their activities and evaluate their taxes.

Secondly, many of these businesses operate in the informal sector, and they do not have formal accounting procedures or systems in place. As a result, it's difficult for the government to determine their exact revenue and taxable income.

Thirdly, these businesses are frequently involved in cash transactions, and it's difficult for the government to monitor their cash flow and revenue. As a result, they may not accurately report their earnings or pay the required taxes.

Finally, the government may be unwilling or unable to regulate these types of businesses because they are frequently viewed as necessary for economic growth and development. As a result, they may not be heavily taxed, if at all, since the government may be hesitant to discourage their operations.

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A ground-dwelling plant grows along a chain-link fence

Answers

Answer: Very instresting?

Explanation:

Bank's Balance Sheet
Assets Liabilities and Owners' Equity
Reserves $200 Deposits $1,600
Loans $800 Debt $250
Securities $1,000 Capital (owners' equity) $150
Suppose a new customer adds $100 to his account at Northeastern Mutual Bank, which the owners of the bank then use to make $100 worth of new loans. This would increase the loans account anddecrease the account.
This would also bring the leverage ratio from its initial value of to a new value of .
Which of the following is true of the capital requirement? Check all that apply.

Its intended goal is to protect the interests of those who hold equity in the bank.
It specifies a minimum leverage ratio for all banks.
The higher the percentage of assets a bank holds as loans, the higher the capital requiremen

Answers

This would increase the loans account and increase the deposits account. The initial value of 13.33 to a new value of 14. The higher the percentage of assets a bank holds as loans, the higher the capital requirement. Thus, option (c) is correct.

What is a Balance Sheet?

The balance sheet and details of reconciled transactions for each account are the two most important reports that the accountant will want.

(a) This would increase the reserves account and increase the deposits account.

(b) The bank leverage ratio refers to its Assets divided by Capital (Owner's equity).

Liabilities should match assets. Therefore, keeping both sides equal by adding $100.

= (Reserves + loans + securities)/Capital

= (200 + 800 + 1,000) / 150

initial value of 13.33

After the $100 was borrowed

= (200 + 800 + 1,000 + 100) /150

new value of 14

(c) The capital requirement increases as the proportion of an institution's assets held as loans rises. Given that loans are made from deposits, the capital requirement is intended to safeguard depositors in the event that loans are defaulted upon.

Hence, the significance of the Balance Sheet is aforementioned.

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Which of the following situations might require a feasibility report?

a.
The investigation results of implementing an on-site employee exercise facility

b.
The reporting of monthly sales figures for all divisions

c.
Relaying the status of a large construction project.
A one-page summary of a long article in The New York Times

Answers

The situation that would require a feasibility report is c. Relaying the status of a large construction project.

A feasibility report is a detailed assessment of the practicality and viability of a proposed project or initiative. It analyzes various aspects such as technical, financial, operational, and legal considerations to determine if the project is feasible and if it should proceed. In the context of the given options, investigating the implementation of an on-site employee exercise facility (option a) might require a feasibility report to assess factors like costs, space requirements, and employee demand.

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Cecily just started her very first job she has an entry level position at a large international corporation which of her colleagues would be in the best position to Mentor Cecily​

Answers

Answer: D. Daniel, who has worked his way up from entry-level to manager of Cecily's team within the last five years.

Explanation:

Daniel would be in the best position to help her out of all her colleagues because he started from where she started and has now grown to a higher level. He has also been at the company for a long time and knows how things work.

His advice and mentorship woth good intent, will provide Cecily with valuable help in moving forward because she would have a person who has already trodden the path for her and knows what to do and what not to do.

The other options have either not stayed in the job long enough or have stayed in the job for too long to be the best mentors.

Answer:

D. Daniel, who has worked his way up from entry-level to manager of Cecily's team within the last five years.

Explanation:

Calculate the range of potential annual returns if you invested 10% in bonds and 90% in stocks. How does this compare with the range of potential annual returns if you invested 10% in stocks and 90% bonds?

Answers

Answer:

From the graph, if you invest 10% in bonds and 90% in stocks,  the range of potential return is given as +49.8% to -39.0% with a average of 9.9% whereas if investment is  made by 10% in stocks and 90% in bonds, then the range of annual returns would become +31.2% to -8.2% with a average of 6%.  Therefore, as the investment in stocks increases the average annual returns also increase.

Explanation:

Hope this helps!

when faced with a competitor that could take away a firm’s current customers, the firm should immediately launch a price war. group of answer choices true false

Answers

False. Launching a price war is not typically the best counter strategy when faced with a competitor that could take away a firm's current customers.

Price wars can lead to a serious decline in profits for both firms, and this can be especially true for smaller companies with smaller budgets and staff. Additionally, price wars create an environment of distrust, as each side attempts to out-strategize the other. More effective counter strategies include focusing on creating and maintaining good customer service, offering loyalty programs or promotions, innovating and creating unique products or features, and embracing a customer-centric approach that can include better communication with customers.

In other words, focusing on the customer experience should be the main priority, not getting into a costly and damaging price war.

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King, incorporated, has debt outstanding with a face value of $5. 7 million. The value of the firm if it were entirely financed by equity would be $26. 2 million. The company also has 400,000 shares of stock outstanding that sell at a price of $53 per share. The corporate tax rate is 22 percent. What is the decrease in the value of the company due to expected bankruptcy costs? (do not round intermediate calculations and enter your answer in dollars, not millions of dollars, rounded to the nearest whole number, e. G. , 1,234,567. )

Answers

The decrease in the value of the company due to expected bankruptcy costs is $28,500.

The value of the firm's equity is:

Equity value = $26.2 million - $5.7 million = $20.5 million

The market value of the equity is:

Market value of equity = 400,000 shares × $53/share = $21.2 million

The expected bankruptcy cost is:

Bankruptcy cost = (Value of debt) × (Probability of bankruptcy) × (Cost of bankruptcy)

We do not know the probability of bankruptcy, but we can use the market value of the equity to estimate it. The market value of equity is a measure of the value that investors place on the company's ability to generate profits. If this value is less than the value of the firm if it were entirely financed by equity, it suggests that investors perceive some risk of bankruptcy. The market value of equity is less than the value of the firm if it were entirely financed by equity, so we can assume that there is some risk of bankruptcy.

Let's assume a conservative probability of bankruptcy of 5%. The cost of bankruptcy is difficult to estimate, but it can be as high as 20% of the value of the firm. Let's assume a cost of bankruptcy of 10%. Using these values, we can estimate the expected bankruptcy cost:

Bankruptcy cost = $5.7 million × 5% × 10% = $28,500

Therefore, the decrease in the value of the company due to expected bankruptcy costs is $28,500.

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If a drought in kansas reduces the supply of wheat, we would expect the price of wheat to?

Answers

A drought-induced reduction in the supply of wheat in Kansas would lead to an increase in the price of wheat.

If a drought in Kansas reduces the supply of wheat, we would expect the price of wheat to increase. Drought conditions can have a significant impact on agricultural production, especially in regions heavily reliant on rainwater for crop irrigation, such as Kansas. When the supply of wheat is reduced due to a drought, there is less wheat available in the market to meet the demand.

With a decrease in supply and constant or even growing demand for wheat, the market experiences a shift in the supply-demand balance. This leads to a situation where there is more demand for wheat than the available supply, which pushes prices upward. As the availability of wheat decreases, buyers are willing to pay higher prices to secure the limited supply.

Higher wheat prices can have various effects on different stakeholders. Farmers in Kansas may benefit from the increased prices as they can sell their limited supply at higher rates, potentially offsetting some of the losses caused by the drought. However, consumers, such as bakeries, restaurants, and individuals, would likely experience higher prices for wheat-based products, including bread, pasta, and cereals.

In conclusion, a drought-induced reduction in the supply of wheat in Kansas would lead to an increase in the price of wheat.

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What are the 5 stages of group development?

Answers

Storming; forming; feelings Norming, emotions. Feelings and acting. The five stages of group development are Feelings, Termination/Ending,

The fundamental goal of the majority of group development studies is to determine why and how small groups change over time. The degree to which a group is cohesive, the activities they engage in and how frequently, the calibre of the work they do, and the occurrence of group conflict. Those flicks aren't very excellent. They are all the same. You would also be on point. It's not, though, because screenwriters tried to steal an excellent idea on purpose. It's because all of the groups the Mighty Ducks, the Hoosiers, the USA Hockey team, and the Bad News Bears went through the normal stages of group development, which formed the basis of their narratives.

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What are the 6 supply shifters?

Answers

Supply shifters include (1) prices of factors of production, (2) returns from alternative activities, (3) technology, (4) seller expectations, (5) natural events, and (6) the number of sellers.

A variable that can change the quantity of a good or service supplied at each price is called a supply shifter.

A change in the price of labor or some other factor of production will change the cost of producing any given quantity of the good or service. To produce one good or service means forgoing the production of another. A change in technology alters the combinations of inputs or the types of inputs required in the production process.

Many decisions about production and selling are typically made long before a product is ready for sale. Storms, insect infestations, and drought affect agricultural production and thus the supply of agricultural goods. A change in the number of sellers in an industry changes the quantity available at each price and thus changes supply

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Question 1 of 10 If you make a plan to get a certain amount of a project done each day, what skill have you demonstrated? A. Time management B. Punctuality O C. Moral standards D. Integrity ​

Answers

Answer: A

Explanation: not sure, but i think its correct

Suppose that a firm finance is seasonal (temporary) current assets with long term funds. What is the impact of this decision on the profitability and risk of this firm?

Answers

Financing seasonal current assets with long-term funds can have both positive and negative impacts on a firm's profitability and risk.

On the one hand, using long-term funds to finance seasonal current assets can help to ensure that the firm has adequate liquidity to meet short-term obligations and take advantage of seasonal sales opportunities. This can lead to increased profitability and higher returns for the firm.

On the other hand, financing seasonal current assets with long-term funds can also increase the firm's risk. Long-term funds typically have higher costs than short-term funds, which can reduce the firm's overall profitability. Additionally, if the firm experiences unexpected changes in its operating environment or sales patterns, it may be unable to generate enough cash flow to repay the long-term funds, leading to financial distress and potential default.

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Why did you select your preferred track(s), and how do they relate to your immediate career goals after completing the MQM: Business Analytics program?

Answers

Your track choice should reflect your interests and long-term career goals. The Master of Quantitative Management (MQM) in Business Analytics program is a graduate-level business degree that provides students with analytical skills to solve complex business problems.

To start, it's important to understand that the MQM program offers several tracks, each with its own specific focus. Some of the available tracks include Marketing Analytics, Financial Analytics, and Health Analytics. When selecting your preferred track(s), you should consider your career goals and what areas you are most interested in.

For example, if you have an interest in finance and want to work as a financial analyst or in a related field, you might choose the Financial Analytics track. On the other hand, if you are interested in using data to drive marketing decisions, you might select the Marketing Analytics track. Ultimately, your track choice should align with your long-term career goals and interests.

In terms of how your preferred track(s) relate to your immediate career goals after completing the MQM: Business Analytics program, you should think about the specific skills and knowledge you will gain in your chosen track.

For example, if you choose the Financial Analytics track, you may gain a deeper understanding of financial modeling, data analysis, and risk management. These skills can be valuable in a variety of finance-related positions, such as financial analyst or investment manager.

Overall, your track choice should reflect your interests and long-term career goals, while the skills and knowledge gained from the program can help you achieve those goals.

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With regard to business definition, railroads may have lost business because they:

Answers

With regard to business definition, railroads may have lost business because they defined their business too narrowly.

Railways are a safe land transport system whilst in comparison to different kinds of shipping. Railway transport is capable of excessive stages of passenger and load usage and strength performance however are frequently less flexible and more capital-intensive than avenue delivery when decreased site visitor levels are taken into consideration.

The Railroad become the first advanced in top-notch Britain. a person named George Stephenson efficaciously implemented the steam technology of the day and created the world's first hit locomotive.

The primary engines used in the United States of America had been bought from Stephenson Works in England.

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Substitution and income effects of a change in price of a good may be used to explain the
direct relationship between price and quantity purchased.
O inverse relationship between price and quantity demanded.
direct relationship between price and quantity supplied.
direct relationship between income and demand.

Answers

Substitution and income effects of a change in price of a good may be used to explain the inverse relationship between price and quantity demanded.

What is the income and substitution effect?

The substitution effect looks at the change in price of a good relative to other goods. If the price of a good falls, it becomes cheaper relative to other goods. As a result, consumers buy more of the good relative to other goods.

The income effect looks at how a change in price affects real disposable income. When the price of a good decreases, real disposable income increases. As a result, consumers can afford to buy more of the good as the consumers purchasing power has increased, holding money income constant.

So, when price falls, there is an increase in the quantity demanded. This is an inverse relationship.

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Over 50% of Americans have no long-term savings. Why do you think it's so
difficult for so many people to save money? Explain your opinion.

Answers

Answer:

because they cant stop spending money

Explanation:

money is money

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given u= (-10,-3) and v= (4,8) , what is proj vu What is the kinetic energy of an object with a mass of 10 kilograms traveling at a speed of 10 meters per second? Assume that no other forces act upon the object.Group of answer choicesa. 50,000 Jb. 100 Jc. 500 Jd. 1000 J simplify the expression 12( a+ 5) Tomato sauce and spaghetti noodles are complementary goods. A decrease in the price of tomatoes will (a) increase consumer surplus in the market for tomato sauce and decrease producer Surplus in the market for spaghetti noodles. (b) increase consumer surplus in the market for tomato sauce and increase producer surplus in the market for spaghetti noodles. (c) decrease consumer surplus in the market for tomato sauce and increase producer surplus in the market for spaghetti noodles. (d) decrease consumer surplus in the market for tomato sauce and decrease producer surplus in the market for spaghetti noodles. Suppose the nation of Canada forbids international trade. In Canada, you can obtain a hockey stick by trading 5 baseball bats. In other countries, you can obtain a hockey stick by trading 8 baseball bats. These facts indicate that (a) if Canada were to allow trade, it would export hockey sticks. (b) Canada has an absolute advantage, relative to other countries, in producing hockey sticks. (c) Canada has a comparative advantage, relative to other countries, in producing baseball bats. (d) All of the above are correct RE GEN ethylene is a very combustible gas. write a balanced equation for the complete oxidation reaction that occurs when ethylene (c2h4) burns in air. can someone please help me with this!!!! Olympus Corporation, an international Japanese manufacturer of optics and reprography products, has adopted a structure that interconnects business units and functions such as manufacturing and R&D to create global integration with local responsiveness. This is an example of what type of structure? Which of the following statements accurately characterizes the physical impact of using the written coping strategy?a. The control group had fewer health center visits, indicating a physical benefit of not writing about one's thoughts and feelings.b. The expermental group had more health center visits, indicating a negative physical impact of writing about one's thoughts and feelergs. c. Both groups had the same number of health center visits, indicating the written coping strategy had no physical impact. d. The experimental group had fewer health center visits, indicating a physical benefit of writing about one's thoughts and feelings. A circle is centered at thepoint (-7, -1 and passes through the point (8, 7).The radlus of the circle lsunits. The point (-15,)lies on this circle.UndoNext What is the relationship like between Guido and his son, Joshua? Explainhow you know with specific examples. (in life is beautiful) Refer to the equation a x 9 = b. If a =3, what is the value of b PART B: Which of the following quotes best supports the answerPart A?A "Well, my first thought was to get that rope off. It looked...(stops, his face twitches)...but Harry, he went up to him, and hesaid, 'No, he's dead all right, and we'd better not touchanything." ( Paragraph 23)B "Well, that's interesting, I'm sure. (seeing the birdcage) Has thebird flown?" ( Paragraph 137)C "No, Peters, it's all perfectly clear except a reason for doing it...If there was some definite thing. Something to show -something to make a story about - a thing that would connectup with this strange way of doing it - "(Paragraph 163)D "I want to go over everything. I'm not satisfied that we can't dobetter." ( Paragraph 166) can someone tell me if this is correct. By 1913, the united states produced one-third of the world's industrial output. this was more than _________. A checking account is set up with an initial balance of $4800, and $400 is removed from the account each month for rent (no other transactions occur on the account).a) What are the independent and dependent variables?b) What is the slope and what does it mean in context?c) What is the y-intercept and what does it mean in context?b) What is the x-intercept and what does it mean in context?d) Write a function that models the amount of money in the account after m months. What happens when there is a loss of lymphatic fluid? How to print an exception in Python 3? does a gas give off energy or absorb energy when it changes into a liquid? how about a solid changing into a liquid? francesco fantozzi, s.c., pietro bartocci and umberto desideri, rotary kiln slow pyrolysis for syngas and char production from biomass and waste part ii: introducing product yields in the energy balance. gas turbine power Simplify the Expression:O 15O 23O5.429.4[2(10-4)+3] +5