A decreasing-cost industry is on which
Multiple Choice a contraction of the industry will decrease unit costs. b input prices fall or technology improves as the industry expands c the long-run supply curve is perfectly elastic. d the long-run supply curve is upsloping.

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Answer 1

A decreasing-cost industry is characterized by option b) input prices falling or technology improving as the industry expands, resulting in decreasing unit costs.

In a decreasing-cost industry, as the industry expands and production increases, the costs of inputs or factors of production tend to decrease. This can occur due to economies of scale, improved technology, or other factors that lead to more efficient production processes. As a result, the unit costs of production decrease as the industry grows.

Option a) contraction of the industry will decrease unit costs is not applicable to a decreasing-cost industry because unit costs decrease as the industry expands, not contracts.

Option c) the long-run supply curve is perfectly elastic is not a defining characteristic of a decreasing-cost industry. The elasticity of the long-run supply curve depends on various factors, including the availability of inputs and the industry's structure.

Option d) the long-run supply curve is upsloping is not applicable to a decreasing-cost industry. An upsloping long-run supply curve indicates increasing costs of production as output expands, which is contrary to the concept of a decreasing-cost industry.

Therefore, option b) input prices falling or technology improving as the industry expands accurately describes a decreasing-cost industry.

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Related Questions

Assume that Mrs. Sarah wants to buy 500 shares of a stock that currently priced at $2300 per share in January, 2022, however, she decided to buy the shares later in April, 2022. To reduce the expected risk of a price increase in April, 2022, she buys a call option with an exercise price of $2000 while the purchase price of the option is $3200. Based on that information, match each question with its suitable answer: Underlying price ____ Call option gives ____

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The underlying price is $2300. The call option gives the right to buy the underlying stock at an exercise price of $2000.

By purchasing a call option with an exercise price of $2000, Mrs. Sarah secures the right to buy the underlying stock at that price, regardless of its actual market value in April 2022. This provides her with protection against a potential price increase. However, it's important to note that she paid a premium of $3200 to acquire the call option.

If the price of the underlying stock in April 2022 is below the exercise price of $2000, Mrs. Sarah can choose not to exercise the option and simply let it expire. In this case, her loss would be limited to the premium she paid for the option.

On the other hand, if the price of the underlying stock in April 2022 exceeds $2000, Mrs. Sarah can exercise her option and buy 500 shares at the exercise price of $2000. She can then potentially sell those shares at the higher market price, profiting from the price difference.

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scientists' understanding of how cultural contexts influence cognitive development has been greatly influenced by 's sociocultural theory.

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Lev Vygotsky's sociocultural theory has greatly influenced scientists' understanding of how cultural contexts impact cognitive development.

Scientists' understanding of how cultural contexts influence cognitive development has been greatly influenced by Lev Vygotsky's sociocultural theory. This theory emphasizes the role of social interactions, cultural tools, and cultural practices in shaping an individual's cognitive development. According to Vygotsky, cognitive development is not solely determined by individual maturation but is deeply intertwined with the cultural and social environment in which a person grows and learns. The sociocultural theory emphasizes the importance of language, social interactions, and cultural artifacts in the development of higher-order thinking skills. It suggests that learning and cognitive development occur through collaborative interactions with more knowledgeable others, such as parents, teachers, and peers. Vygotsky's theory has significantly influenced research in various fields, including education, psychology, and anthropology, and has provided valuable insights into the understanding of how cultural contexts shape cognitive processes and intellectual growth.

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In 2016, trivago’s field of business could be described as hotel-related online marketing and distribution. The firm provided a two-sided, online meta-search platform that connected travelers seeking hotel accommodations with more than 200 booking sites and 1.3 million hotels. With 1.4 billion visits and 487 million qualified referrals1 in 2016, trivago was the largest hotel meta-search platform in the world. What differentiated trivago’s business model from that of online travel agents (OTAs) was its value proposition as an independent information provider. trivago did not sell hotel rooms. Instead, it organized large amounts of hotel-related information from multiple sources to offer the optimal basis for making a booking decision. Thus, trivago helped users convert their initial interest into a clear, specific booking intention, thereby fulfilling their personal needs.

The following points are to guide a review and discussion of some important concepts.

• Describe trivago’s corporate-level strategy and discuss the advantages and disadvantages of the company’s matrix organizational structure. Does the organizational design effectively support the needs of trivago’s corporate-level strategy?

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Trivago operated in hotel-related online marketing and distribution in 2016, providing a meta-search platform connecting travelers to booking sites and hotels.

Their differentiation from online travel agents (OTAs) was being an independent information provider.

Trivago's corporate-level strategy focused on organizing hotel-related information to assist users in making booking decisions.

The review should describe this strategy and discuss the advantages and disadvantages of trivago's matrix organizational structure, assessing its effectiveness in supporting the company's corporate-level strategy.

trivago's corporate-level strategy revolved around being an independent information provider in the hotel industry. Unlike online travel agents (OTAs), trivago did not sell hotel rooms. Instead, they organized extensive hotel-related information from various sources, enabling users to make informed booking decisions. This approach aimed to convert users' initial interest into specific booking intentions, fulfilling their personal needs.

trivago's organizational structure was a matrix structure, combining functional departments and cross-functional teams. The advantages of this structure include collaboration, efficient resource utilization, and adaptability to market changes. However, challenges such as complex communication, dual reporting lines, and potential conflicts between departments and teams exist.

To determine if trivago's organizational design effectively supports their corporate-level strategy, it is crucial to evaluate whether the matrix structure enables seamless collaboration, information sharing, and efficient decision-making. The assessment should consider if the advantages of the matrix structure outweigh its disadvantages in trivago's context, ensuring it aligns with and supports the company's corporate-level strategy.

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Which of the following is consistent with a higher level of free cash flow (FCF) from last year to this year, all other variables held constant? O Fixed assets increase O Accounts receivable increases O None of the arrwers is correct O Inventory increases O Accounts receivable decreases O Two answers are correct

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The answer is, "Accounts receivable decreases," as it is consistent with a higher level of free cash flow (FCF) from last year to this year, all other variables held constant.

Free cash flow (FCF) is a calculation of a company's financial performance that calculates cash available to shareholders after accounting for capital expenditures such as property, plant, and equipment (PP&E). Free cash flow (FCF) is the cash generated by a business after all of its expenditures have been paid, including capital investments. Companies with strong free cash flow are more likely to be able to invest in new projects or repay debt. To understand which of the options is consistent with a higher level of free cash flow (FCF) from last year to this year, let us analyze each option:

Fixed assets increase - It leads to higher capital expenditures, which will result in lower free cash flow. Accounts receivable increase - It ties up cash, which may result in lower free cash flow. None of the answers are correct - It is an invalid option, and there is no argument to support it.

Inventory increases - The cost of keeping an inventory will be high, resulting in lower free cash flow. Accounts receivable decreases - As a result, the cash flow will increase, which is consistent with a higher level of free cash flow (FCF) from last year to this year.

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Which of the following are true of loss contingencies? Each time financial statements are issued, the accrued liability must be reassessed. If a loss is probable and can be reasonably estimated, it only needs to be disclosed in notes. If a loss is probable but cannot be reasonably estimated, it must be disclosed.

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Loss contingencies are uncertainties that may result in a financial loss for a business.

These contingencies are typically discussed in the notes to a company’s financial statements and must be reported if the loss is probable and can be reasonably estimated.Loss contingencies may arise in the form of legal claims against a company or potential liabilities for environmental cleanup. For each type of contingency, companies must assess whether a loss is probable, meaning that the likelihood of a loss occurring is greater than 50 percent. If the loss is probable and can be reasonably estimated, a company must record a liability on its balance sheet. Each time a company issues financial statements, it must reassess the likelihood of any losses and update its accruals if necessary. If a loss is probable but cannot be reasonably estimated, a company must still disclose the contingency in the notes to its financial statements.In conclusion, we can say that if a loss is probable and can be reasonably estimated, it must be accrued and disclosed in the financial statements of the company. While, if a loss is probable but cannot be reasonably estimated, it must be disclosed in the notes to the financial statements of the company. Moreover, each time financial statements are issued, the likelihood of loss contingencies must be reassessed.

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You are given the information of the flowing three Treasury securities.The price quoted are based on a par value of $1,000, and in case of a coupon bond, the coupon is paid semi-annually. All rates are quoted on an annual basis. Maturity (months) 6 12 18 Annualised coupon rate (%) 0.00 8.00 12.00 Yield to maturity (% 7.00 8.00 9.00 a) What are the prices of the 6-, 12- and 18-month bonds? b) Use the information given, calculate the annualised 6-, 12- and 18-month spot rate.

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a) Calculation of the prices of 6-month, 12-month and 18-month Treasury securities are as follows: 1. For 6 months: Coupon = 0.00 * 1000/2 = $0 Face value = $1000 At maturity, the total amount received by the investor is the sum of face value and coupon.

Maturity Value = $1000 + $0 = $1000 Therefore, Price = Maturity Value/(1 + Yield/2) = $1000/(1+0.07/2) = $985.22

2. For 12 months: Coupon = 8.00 * 1000/2 = $40 Face value = $1000 At maturity, the total amount received by the investor is the sum of face value and coupon. Maturity Value = $1000 + $40 = $1040 Therefore, Price = Maturity Value/(1 + Yield/2) = $1040/(1+0.08/2) = $1003.68 3.

For 18 months: Coupon = 12.00 * 1000/2 = $60 Face value = $1000 At maturity, the total amount received by the investor is the sum of face value and coupon. Maturity Value = $1000 + $60 = $1060 Therefore, Price = Maturity Value/(1 + Yield/2) = $1060/(1+0.09/2) = $1028.78

b) Calculation of annualised 6-month, 12-month and 18-month spot rate are as follows: Annualised 6-month spot rate can be obtained by considering the yield to maturity of 6-month Treasury security.

Therefore, the annualised 6-month spot rate is 7%. Annualised 12-month spot rate can be obtained by calculating the semi-annual rate that can be inferred from yield to maturity of 6-month Treasury security. Semi-annual rate = (1 + yield to maturity of 6-month Treasury security)^(6/6) - 1 = 1.07^(1) - 1 = 7.00% Annualised 12-month spot rate can also be obtained by considering the yield to maturity of 12-month Treasury security.

Therefore, the annualised 12-month spot rate is 8%. Similarly, annualised 18-month spot rate can be calculated by considering the semi-annual rates inferred from yield to maturity of 6-month and 12-month Treasury securities. Semi-annual rate = (1 + yield to maturity of 6-month Treasury security)^(6/6) - 1 = 1.07^(1) - 1 = 7.00%Semi-annual rate = (1 + yield to maturity of 12-month Treasury security)^(6/12) - 1 = 1.08^(1/2) - 1 = 3.92%

Therefore, annualised 18-month spot rate is the geometric average of these two semi-annual rates. Annualised 18-month spot rate = [(1 + 0.07) * (1 + 0.0392)]^(2) - 1 = 8.09% (approx.)

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You invested $70,000 in the following stocks: Stock Amount Beta ABC $9,800 0.76 DEF $14,700 1.16 GHI $9,800 1.31 JKL $35,700 1.11 If the risk-free rate is 4.6 percent and the market risk premium is 7.6 percent, what is the expected return on your portfolio? (Round intermediate calculations to 4 decimal places, e.g. 0.3612 and the final answer to 2 decimal places, e.g. 12.36%) Expected return

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To calculate the expected return on a portfolio, we can use the following formula:

Expected Return = Weighted Average of Stock Returns,

where the weighted average is calculated by multiplying the weight of each stock by its expected return and summing them up.

Given the following information:

Stock Amount Beta

ABC $9,800 0.76

DEF $14,700 1.16

GHI $9,800 1.31

JKL $35,700 1.11

First, we need to calculate the weights of each stock by dividing the amount invested in each stock by the total investment:

Weight_ABC = $9,800 / $70,000

Weight_DEF = $14,700 / $70,000

Weight_GHI = $9,800 / $70,000

Weight_JKL = $35,700 / $70,000

Next, we need to calculate the expected return of each stock using the following formula:

Expected Return = Risk-Free Rate + Beta * Market Risk Premium

Expected_Return_ABC = 4.6% + 0.76 * 7.6%

Expected_Return_DEF = 4.6% + 1.16 * 7.6%

Expected_Return_GHI = 4.6% + 1.31 * 7.6%

Expected_Return_JKL = 4.6% + 1.11 * 7.6%

Finally, we can calculate the expected return on the portfolio by multiplying each stock's weight by its expected return and summing them up:

Expected_Return_Portfolio = Weight_ABC * Expected_Return_ABC + Weight_DEF * Expected_Return_DEF + Weight_GHI * Expected_Return_GHI + Weight_JKL * Expected_Return_JKL

Now we can plug in the values and calculate the expected return on the portfolio.

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1.In month 9 the following project information is available: actual cost is $2,000, earned value is $2,100, and planned cost is $2,400. Compute the SV and CV for the project.
2. On day 51 a project has an earned value of $600, an actual cost of $650, and a planned cost of $560. Compute the SV, CV, and CPI for the project. What is your assessment of the project on day 51?

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In month 9 the following project information is available, the Schedule Variance is $-300 and the Cost Variance is $-200. For the project on day 51, the Schedule Variance is $40, the Cost Variance is -$50 and the Cost Performance Index is 0.923.

1. To calculate the SV, subtract the Planned Value (PV) from the Earned Value (EV): SV = EV - PV.

In this case, SV = $2,100 - $2,400 = $-300.

To calculate the CV, subtract the Actual Cost (AC) from the Earned Value (EV): CV = EV - AC.

In this case, CV = $2,100 - $2,000 = $-200.

The Schedule Variance (SV) of -$300 indicates that the project is behind schedule by that amount. The Cost Variance (CV) of -$200 indicates that the project is over budget by that amount. This suggests that the project is not performing as planned and adjustments may be needed to catch up on schedule and control costs effectively.

2. To calculate the SV, subtract the Planned Value (PV) from the Earned Value (EV): SV = EV - PV.

In this case, SV = $600 - $560 = $40.

To calculate the CV, subtract the Actual Cost (AC) from the Earned Value (EV): CV = EV - AC.

In this case, CV = $600 - $650 = -$50.

To calculate the CPI, divide the Earned Value (EV) by the Actual Cost (AC): CPI = EV / AC.

In this case, CPI = $600 / $650 ≈ 0.923.

The positive Schedule Variance (SV) of $40 indicates that the project is ahead of schedule by that amount. However, the negative Cost Variance (CV) of -$90 suggests that the project is over budget. The Cost Performance Index (CPI) of approximately 0.923 indicates that the project is not performing efficiently in terms of cost.

Overall, on day 51, the project is ahead of schedule but over budget. It is important to closely monitor and address the cost overruns to ensure better cost control.

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(1) Why is diversification considered "good" by most professionals? Can you think of a situation where diversification might be "bad"? Please discuss. (2) Pick either "passive" or "active" investment management. Which investment style do you personally prefer? Why?

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(1) Diversification is considered "good" by most professionals because it helps reduce investment risk by spreading investments across different assets or sectors.

It aims to minimize the impact of individual investment losses on the overall portfolio. However, diversification might be "bad" in certain situations where an investor has extensive knowledge and confidence in a specific investment opportunity. In such cases, concentrating investments in that opportunity could potentially yield higher returns than a diversified portfolio.

(2) I personally prefer passive investment management. Passive management involves creating a portfolio that mirrors a specific market index, such as the S&P 500, and aims to match its performance. This approach offers broad market exposure, lower costs, and simplicity, making it suitable for long-term investors. It eliminates the need for frequent trading decisions and allows for a more hands-off approach, which aligns with my preference for a low-maintenance investment strategy. However, it's essential to consider individual goals, risk tolerance, and time commitment when deciding between active and passive management.

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You have $60,000. You put 22% of your money in a stock with an expected return of 10%, $37,000 in a stock with an expected return of 16%, and the rest in a stock with an expected return of 23%. What is the expected return of your portfolio?

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To calculate the expected return of your portfolio, we need to calculate the weighted average return based on the allocation and expected returns of each stock.

The amount invested in the first stock is 22% of $60,000, which is $13,200. The expected return of this stock is 10%.

The amount invested in the second stock is $37,000, and its expected return is 16%.

The remaining amount, which is the rest of the money, is $60,000 - $13,200 - $37,000 = $9,800. This is invested in the third stock, which has an expected return of 23%.

To calculate the weighted average return, we multiply each expected return by its respective allocation, and then sum up the results:

(0.22 * 0.10) + (0.37 * 0.16) + (0.41 * 0.23) = 0.022 + 0.0592 + 0.0943 = 0.1755

Therefore, the expected return of your portfolio is 17.55%.

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FNB offers different bank account packages to various clusters of people with similar needs. These bank account packages include saving and cheque accounts, money markets and fixed loans. Identify the ONE approach FNB uses to divide and cluster its total market.

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FNB makes use of market segmentation approach to cluster its total market into different clusters or groups of people with similar needs.

Market segmentation is the process of dividing the total market into smaller groups or clusters of people with similar needs, wants and behaviors. FNB uses market segmentation to identify different groups of people that require different types of banking services and then develops specific bank account packages to cater for the needs of each cluster.

FNB has identified that people have different banking needs and based on their income levels, spending patterns, age, and other demographics, FNB offers different bank account packages. For instance, young professionals may prefer a savings account with no monthly fees, whereas older clients may prefer a cheque account with no transaction fees.FNB has identified different clusters of people based on their needs, and has created specific bank account packages that are suitable for each cluster. This helps FNB to target its customers more effectively and provide them with the services they require. By doing this, FNB is able to retain its customers and attract new ones, which ultimately leads to increased revenue and profitability.

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according to the text, which of the following distinguishes asian americans from other subcultures in the united states?

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The distinctive feature that distinguishes Asian Americans from other subcultures in the United States is their level of achievement and social mobility.

According to the text, Asian Americans in the United States are unique from other subcultures because they have a high level of achievement and social mobility. They tend to be highly educated, have successful careers, and earn more than other minorities in the United States. There are several factors that have contributed to their success, such as their emphasis on education, strong work ethic, and cultural values that promote success and achievement.

These cultural values include a strong emphasis on family, respect for authority, and a focus on community and group harmony. Asian Americans have also faced challenges and discrimination, such as the model minority stereotype, which can mask their experiences of discrimination and inequality. However, their success and achievements are notable and have helped to shape the landscape of the United States.

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In the U.S., consumer prices fell sharply from 1929-1933, the early years of the Great Depression. How did this price deflation worsen the Great Depression?
A. The cost of living rose significantly, while people were already struggling to find jobs.
B. Borrowers took out too many risky loans because of increased access to credit.
C.Banks were less willing to lend money because deflation lowered the real interest rate they received from borrowers.
D. Households delayed spending because they expected prices to fall in the future.

Answers

The correct answer is D. Households delayed spending because they expected prices to fall in the future.

During the Great Depression, the sharp price deflation worsened the economic downturn by causing households to delay their spending. As prices were falling, people anticipated further decreases in prices and held off on making purchases, expecting to get better deals in the future. This reduction in consumer spending had a detrimental impact on the economy. With decreased demand for goods and services, businesses experienced declining sales, which led to production cuts, layoffs, and increased unemployment rates. The cycle continued as high unemployment further decreased consumer spending, exacerbating the economic crisis. Therefore, the price deflation worsened the Great Depression by contributing to a decrease in consumer spending and prolonged economic stagnation.

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PA 13-4 Fashionables is a franchisee of The UnLimited, the.. Use Table 13.4 Answer is complete but not entirely correct. Fashionables is a franchisee of The UnLimited, the well-known retailer of fashionable clothing Prior to the winter season, The UnLimited offers Fashionables the choice of five different colors of a particular sweater design. The sweaters are knit overseas by hand, and because of the lead times involved, Fashionables will need to order its assortment in advance of the selling season.

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Fashionables, a franchisee of The Unlimited, a renowned fashionable clothing retailer, faces the decision of selecting from five different colors of a specific sweater design offered by The UnLimited before the winter season.

These sweaters are meticulously hand-knit overseas, requiring Fashionables to place its order well in advance to accommodate the lead times. As a result, Fashionables must carefully consider the prevailing fashion trends, customer preferences, and market demands to make an informed decision.

By analyzing past sales data, forecasting winter fashion trends, and considering customer feedback, Fashionables aims to order an assortment of sweaters that will captivate its target audience and ensure a successful selling season.

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Conduct a search of recent news articles, journal publications a review of the most recent and emerging trends in Healthcare in your local area. Discuss the trends that you have identified and what specific factors besides COVID-19 have influenced these trends.

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Recent and emerging trends in healthcare in a particular local area are influenced by factors other than COVID-19. A review of news articles and journal publications reveals several trends in healthcare today. One of the emerging trends is the use of technology, such as telemedicine.

Physicians have started offering medical care through video conferencing, phone, and messaging, which has seen a significant increase in usage since the start of the pandemic. Another trend is the use of artificial intelligence (AI) in healthcare. AI has been used to develop predictive models for diagnosing diseases like cancer, assisting in treatment planning, and managing patient care. In addition, there has been a trend towards personalized medicine, a medical approach that takes into account individual variability in genes, environment, and lifestyle for each patient.

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What did movements like the youth counterculture, Black Power, and the Women's Liberation achieve? And why did other Americans oppose the challenges to traditional authority and conventions posed by these social change movements?

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The youth counterculture, Black Power, and the Women's Liberation movements were all major social movements that challenged traditional authority and conventions in the United States. These movements achieved a number of important goals, including:

Increased awareness of and attention to issues of race, gender, and social inequality. These movements helped to raise awareness of the ways in which racism, sexism, and other forms of discrimination were embedded in American society. They also helped to create a space for people to discuss and challenge these issues.

Increased political participation and activism among young people, African Americans, and women. These movements helped to mobilize young people, African Americans, and women to get involved in politics and activism. They also helped to create a new generation of leaders who were committed to social change.

Some legal and policy changes. These movements helped to achieve some important legal and policy changes, such as the passage of the Civil Rights Act of 1964 and the Voting Rights Act of 1965. They also helped to pave the way for future changes, such as the legalization of same-sex marriage.

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Which one of the following is an argument from behavioural finance?
a.investors are best to buy shares when the market is rising
b.cultural differences influence investor behaviour
c.the only important aspects of a share is its expected return and expected risk
d.there are minimal differences in investment behaviour between countries
e. a security's expected risk can be estimated from its price variation

Answers

An argument from behavioural finance is represented by the following statement: Cultural differences influence investor behaviour. Therefore, the correct answer is option B.

Behavioural finance is a finance-related study that concentrates on the psychological aspects of the market's conduct. Behavioural finance has developed into a discipline that concentrates on the non-standard dynamics and complexities of financial markets, particularly in terms of investors' behaviour.

The following are some of the behavioural finance factors that contribute to this study:

OverconfidenceLoss aversionMental accountingFraming effectHerding

Behavioural finance examines the various factors that may cause investors to behave irrationally. Many investors are unaware that they are influenced by their own emotions and biases when making investment decisions.

This irrationality is a significant challenge for classical finance's theoretical framework, which implies that investors are rational, self-interested, and effective information processors.

Cultural differences influence investor behaviour is an argument from behavioural finance as it refers to investors' behaviour, which is the primary focus of behavioural finance. Hence, the correct answer is option B.

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Do you think "rational behaviors" begin with moral principles? If so, should we use these principles or behaviors to form laws or inform policy decisions? Think about the fans at sporting events - at what point does this become (or not become) rational behavior? At some point, might this be restricted? What about when the decisions being made are more global? How do behavioral assumptions influence law and economics?

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The term "rational behavior" refers to actions that are taken based on a careful consideration of the costs and benefits of a particular course of action. When it comes to forming laws and policy decisions, it is important to consider a variety of factors, including both rational behaviors and moral principles. At some point, this behavior may be seen as irrational or unacceptable, and restrictions may be put in place to discourage it.

These behaviors can be influenced by moral principles, but they do not necessarily begin with them.

In order to make rational decisions, individuals need to weigh the costs and benefits of different options and choose the option that will provide them with the greatest benefit.

This process does not necessarily begin with moral principles, although these principles can play a role in shaping an individual's decision-making process.

Moral principles can be seen as one of the many factors that influence an individual's decision-making process.

They may be used to inform a person's decision-making process, but they are not the only factor that should be considered. Other factors that may be considered include social norms, personal beliefs, and cultural traditions.

When it comes to forming laws and policy decisions, it is important to consider a variety of factors, including both rational behaviors and moral principles.

Laws and policies should be designed to promote the common good, while still respecting the rights and freedoms of individuals.

The behavior of fans at sporting events can be seen as an example of how individual behavior can be influenced by a variety of factors, including social norms, cultural traditions, and personal beliefs.

At some point, this behavior may be seen as irrational or unacceptable, and restrictions may be put in place to discourage it.

When it comes to global decisions, behavioral assumptions can play a significant role in shaping the way that laws and policies are designed.

It is important to consider the ways in which individuals are likely to respond to different policy proposals, and to design policies that are likely to be effective in promoting the common good.

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In 2009, Internationale Outstanding University (IOU) had an enrollment of 25,929 undergraduates, each of whom paid $6,265 per year in tuition. In 2010, enrollment was 26,586 students, and tuition was raised 3.4%. In 2011, IOU received $186.8M in revenue from student tuition, and enrollment was 26,747 students. In 2012, it is estimated that tuition will be $6,938 and IOU needs to receive 5.9% more total revenue from tuition than in 2011.
What was the tuition in 2010?

Answers

In 2010, the tuition was $6,084.80.

The 2010 tuition can be calculated as follows:Let x be the 2010 tuition paid by each student.

The total tuition revenue is then 26,586 × x. In 2011, IOU received $186.8 million in revenue from student tuition, which implies that the 2011 tuition revenue was 186800000 = 26,747 × y, where y is the 2011 tuition paid by each student.

Therefore:y = 186800000 ÷ 26,747

= 6,982.33

The 2012 tuition needs to be 5.9% more than the 2011 tuition, so it will be 1.059 × 6,982.33 = 7,382.58.

The 2011 tuition was $6,982.33, so the percentage increase from 2010 to 2011 was

(6,982.33 − 6,265) ÷ 6,265

= 0.1144 or about 11.44%.

Therefore, the 2010 tuition was:6,265 × (1 + 0.034 ÷ (1 + 0.1144)) ≈ $6,084.80.

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How long do you need to keep your money in the bank to
get your $500 to $5000 at 7.5 % annual interest.

Answers

It would take approximately 15.98 years to grow $500 to $5000 at a 7.5% annual interest rate.

To determine how long it takes to grow $500 to $5000 at an annual interest rate of 7.5%, we can use the compound interest formula and solve for time (t).

The compound interest formula is given by:

A =[tex]P(1 + r/n)^(nt)[/tex]

A = the final amount ($5000)

P = the principal amount ($500)

r = annual interest rate (7.5% or 0.075)

n = number of times interest is compounded per year (assuming annually, so n = 1)

t = time in years (unknown)

Plugging in the values into the formula, we have:

$5000 = $500(1 + 0.075/1)^(1*t)

10 = [tex](1.075)^t[/tex]

To solve for t, we can take the natural logarithm (ln) of both sides:

ln(10) =[tex]ln(1.075)^t[/tex]

Using the property of logarithms (ln(a^b) = b * ln(a)), we get:

ln(10) = t * ln(1.075)

Now, we can solve for t by dividing both sides by ln(1.075):

t = ln(10) / ln(1.075)

Using a calculator, we find that t is approximately 15.98 years.

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Find a business idea you like or dislike by searching the web. Explain why you think this is a good business idea or not. List additional information the entrepreneur should have to consider for this business, and research the industry on the web using a search engine.

Answers

Online grocery delivery service is not a good business idea due to several reasons. Firstly, grocery stores are located in almost all neighborhoods, making it easier for customers to shop locally. Secondly, it is challenging to differentiate one online grocery store from another in the highly competitive market.

The availability of grocery stores in local neighborhoods makes it convenient for customers to shop locally without the need for online delivery services. This reduces the potential customer base for online grocery delivery.

In the highly competitive market of online grocery shopping, it can be challenging to create brand awareness and differentiate one online store from another. Building a strong customer base and gaining a competitive advantage becomes difficult without a unique selling proposition.

The delivery of groceries involves timely replenishment and ensuring the products' quality upon arrival. Meeting customer expectations for prompt and satisfactory delivery adds complexity and cost to the logistics process.

Starting an online grocery delivery service requires substantial investment in developing an e-commerce platform, building an inventory of products, and hiring a reliable delivery team. These costs can be significant barriers for entrepreneurs looking to enter the industry.

To succeed in the online grocery delivery service industry, entrepreneurs should consider several factors. They should focus on delivering value to customers through discounted prices and other benefits. Building a user-friendly and responsive e-commerce platform is crucial for a seamless customer experience. Collaborating with local grocery stores can ensure a steady supply of groceries and help establish partnerships.

Conducting thorough research on the industry, competitors, and market trends is essential. This enables entrepreneurs to develop a competitive pricing strategy and identify potential opportunities for differentiation.

In conclusion, entrepreneurs should carefully consider the challenges and costs associated with starting an online grocery delivery service. The industry's competitiveness, difficulty in building brand awareness, high logistics costs, and significant upfront investment pose obstacles to success. Entrepreneurs should develop a viable business plan that accounts for all costs, identifies a unique selling proposition, and focuses on delivering value to customers.

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Briefly explain the scenario that could cause per capita
GDP to increase at the same time that real GDP is
decreasing.

Answers

If a country's population decreases faster than its decline in real GDP due to emigration or a decline in the birth rate, the per capita GDP can increase despite the overall decrease in real GDP.

Per capita, GDP is calculated by dividing the total GDP of a country by its population. When the real GDP of a country decreases, it indicates a decline in the overall economic output. However, if the population of the country decreases at a faster rate, for example due to emigration or a declining birth rate, the denominator in the per capita GDP calculation decreases more than the numerator. As a result, even though the real GDP is decreasing, the per capita GDP can still increase.

For instance, suppose a country experiences a decline in real GDP due to a recession or economic downturn, causing businesses to close and unemployment to rise. However, during the same period, a significant number of people leave the country for better opportunities elsewhere or the birth rate decreases, resulting in a smaller population. This reduction in population causes the per capita GDP to increase, as there are fewer people to share the declining economic output.

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Speed generates EBIT of £100 million. It currently does not have debt in the capital structure, but it is considering the use of debt and exploring raising either £500 million or £1,100 million. Interest on debt is payable at the rate of 7%. If tax is payable at 20%, ignoring bankruptcy costs, and assuming all earnings after interest and tax are paid to shareholders as dividends, which is the most attractive capital structure for Speed? Explain (maximum 200 words).

Answers

Raising £1,100 million in debt is the most attractive capital structure for Speed as it generates a tax shield of £15.4 million, increasing its after-tax earnings compared to the £500 million debt option.

To determine the most attractive capital structure for Speed, we need to compare the benefits and costs associated with each debt level. Let's calculate the earnings and dividends for each scenario and analyze them:

£500 million Debt:

Earnings Before Interest and Tax (EBIT): £100 million

Interest Expense: £500 million * 7% = £35 million

Tax (20% of EBIT): £100 million * 20% = £20 million

Earnings After Interest and Tax: £100 million - £35 million - £20 million = £45 million

Dividends: £45 million

£1,100 million Debt:

Earnings Before Interest and Tax (EBIT): £100 million

Interest Expense: £1,100 million * 7% = £77 million

Tax (20% of EBIT): £100 million * 20% = £20 million

Earnings After Interest and Tax: £100 million - £77 million - £20 million = £3 million

Dividends: £3 million

Based on the calculations, the most attractive capital structure for Speed is the one with £500 million debt. In this scenario, the company generates higher earnings after interest and tax (£45 million) compared to the £1,100 million debt scenario (£3 million). Consequently, shareholders receive higher dividends under the £500 million debt structure.

Adding more debt increases interest expenses, which reduce the earnings available for shareholders. While debt can offer tax benefits due to interest deductibility, excessive debt can lead to higher interest payments, potentially leaving little earnings for shareholders.

However, it's important to note that this analysis does not consider bankruptcy costs or other potential risks associated with high levels of debt. These factors should be thoroughly assessed before making a final determination on the optimal capital structure for Speed.

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Define the ff.
1. Innovation
2. Types of Innovation
3. Entrepreneurship
4.Technoprenuership
5. Type of Entrepreneurship
6.Entrepreneurship vs Technoprenuership

Answers

Innovation refers to the development of new ideas, methods, and products, or the modification of existing ones, that result in positive changes and improvements in the world. Innovation refers to the process of introducing something new to the world that is beneficial and useful.

1. Types of Innovation:- There are three types of innovations; product, process, and marketing innovation. Product innovation refers to the development of new products or product features. Process innovation refers to the development of new production methods, or improved methods of delivery, service, or other operational processes. Marketing innovation refers to the development of new marketing methods or strategies.

2. Entrepreneurship: Entrepreneurship is the process of identifying and exploiting new business opportunities by taking risks to develop, organize, and manage a new enterprise or venture.

3. Technoprenuership: Technopreneurship is a form of entrepreneurship that involves the creation, development, and commercialization of innovative technology-based products, services, or solutions.

4. Type of Entrepreneurship: There are four types of entrepreneurship; small business entrepreneurship, scalable startup entrepreneurship, large company entrepreneurship, and social entrepreneurship.

5. Entrepreneurship vs Technoprenuership: Entrepreneurship involves identifying and exploiting new business opportunities by taking risks to develop, organize, and manage a new enterprise or venture, while technopreneur-ship is a form of entrepreneurship that involves the creation, development, and commercialization of innovative technology-based products, services, or solutions.

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When purchasing a $260,000 house, a borrower is comparing two loan alternatives. The first loan is a 90% loan at 8.5% for 25 years. The second loan is an 85% loan for 7.75% over 15 years. Both have monthly payments and the property is expected to be held over the life of the loan. What is the incremental cost of borrowing the extra money? Use IRR method to find incremental cost of borrowing the extra money in percentage

Answers

When purchasing a $260,000 house, a borrower is comparing two loan alternatives. The first loan is a 90% loan at 8.5% for 25 years. The second loan is an 85% loan for 7.75% over 15 years. Both have monthly payments and the property is expected to be held over the life of the loan.

We are supposed to calculate the incremental cost of borrowing the extra money using the IRR method in percentage.So, let us first calculate the monthly payment of the first loan.Using the formula for calculating the monthly payment, we have:\[PMT = PV \times \frac{r(1 + r)^n}{(1 + r)^n - 1}\]Where,\[PV = \$ 260,\!000 \times 0.9 = \$ 234,\!000\]r = 8.5%/12 = 0.70833% (monthly rate)n = 25 x 12 = 300 (total number of payments)Substituting these values, we get:\[PMT = 234,\!000 \times \frac{0.0070833(1 + 0.0070833)^{300}}{(1 + 0.0070833)^{300} - 1}\]\[PMT = \$1,\!874.55\]Therefore, the monthly payment for the first loan is $1,874.55Now, let us calculate the monthly payment of the second loan.Using the formula for calculating the monthly payment, we have:\[PMT = PV \times \frac{r(1 + r)^n}{(1 + r)^n - 1}\]Where,\[PV = \$ 260,\!000 \times 0.85 = \$ 221,\!000\]r = 7.75%/12 = 0.64583% (monthly rate)n = 15 x 12 = 180 (total number of payments)Substituting these values, we get:\[PMT = 221,\!000 \times \frac{0.0064583(1 + 0.0064583)^{180}}{(1 + 0.0064583)^{180} - 1}\]\[PMT = \$ 2,\!062.05\]Therefore, the monthly payment for the second loan is $2,062.05The incremental cost of borrowing the extra money is the additional interest expense that would be incurred by choosing the second loan option rather than the first loan option. It is calculated as follows:Firstly, we need to calculate the total interest payments for both loans.We know that in Loan 1, PV = $234,000 and r = 8.5%/12 = 0.70833%.Using a financial calculator or Microsoft Excel, we get that the total interest paid over the life of the loan is $357,599.17.Next, for Loan 2, PV = $221,000 and r = 7.75%/12 = 0.64583%.Using a financial calculator or Microsoft Excel, we get that the total interest paid over the life of the loan is $168,169.36.Now, the incremental cost of borrowing the extra money is calculated as follows:Incremental cost of borrowing extra money = Total interest paid on Loan 2 - Total interest paid on Loan 1 = $168,169.36 - $357,599.17 = -189429.81We get the negative incremental cost of borrowing extra money, which is illogical.Therefore, this is the answer when purchasing a $260,000 house, a borrower is comparing two loan alternatives. The first loan is a 90% loan at 8.5% for 25 years. The second loan is an 85% loan for 7.75% over 15 years. Both have monthly payments and the property is expected to be held over the life of the loan. The incremental cost of borrowing the extra money cannot be calculated because the total interest paid on Loan 2 is less than the total interest paid on Loan 1.

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Suppose there are two consumers, A and B. The utility functions of each consumer are given by: UA(X,Y)= X + Y UB(X,Y)= Min(X,Y) The initial endowments are: A: X= 1; Y = 1 B: X= 5; Y = 5 Illustrate the initial endowments in and Edgeworth Box. Be sure to label the Edgeworth Box carefully and accurately, and make sure the dimensions of the box are correct. Also, draw each consumer's indifference curve that runs through the initial endowments. Is this initial endowment Pareto Efficient?

Answers

In the Edgeworth Box, the initial endowments for consumers A and B can be illustrated as follows:

- Consumer A: X=1, Y=1

- Consumer B: X=5, Y=5

The Edgeworth Box represents the allocation of goods between the two consumers. The X-axis represents the quantity of good X, and the Y-axis represents the quantity of good Y. The dimensions of the box will depend on the scale chosen for the axes.

To determine the initial endowments in the Edgeworth Box, we locate the respective points (1,1) for Consumer A and (5,5) for Consumer B on the X-Y plane.

Next, we draw each consumer's indifference curve that runs through their initial endowment point. For Consumer A, the indifference curve will be positively sloped and downward-sloping since the utility function is increasing in both X and Y. For Consumer B, the indifference curve will be a straight line with a slope of -1 since the utility function takes the minimum of X and Y.

Whether this initial endowment is Pareto efficient depends on whether there exists an alternative allocation that would make at least one consumer better off without making the other consumer worse off. If the initial endowment lies on both consumers' indifference curves, it indicates that they are already at their highest level of utility given the available resources. In this case, the initial endowment would be Pareto efficient.

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The principle of state sovereignty underpins international law.
Explain?

Answers

The principle of state sovereignty is a foundational concept in international law that recognizes the independent authority and autonomy of each sovereign state. It is based on the idea that states possess the exclusive right to govern their territories, make decisions within their borders, and interact with other states on equal footing.

Under the principle of state sovereignty, each state is considered to be the supreme authority within its own jurisdiction. This means that states have the power to enact laws, regulate their internal affairs, define their political systems, and exercise control over their territory, resources, and population. Other states are generally expected to respect the sovereignty of each state and refrain from interfering in its internal affairs.

The principle of state sovereignty is crucial for maintaining order and stability in the international system. It helps to prevent undue interference and intervention by external actors in the domestic affairs of a state. By recognizing the independence and self-determination of each state, the principle of sovereignty promotes peaceful coexistence, respect for territorial integrity, and the preservation of national identity.

Sovereign states have the right to enter into treaties, establish diplomatic relations, engage in trade, and participate in international organizations. These interactions are conducted on the basis of mutual respect for sovereignty and the principle of equality among states. International law, which is built upon the principle of state sovereignty, provides a framework for regulating these interactions and resolving disputes between states.

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Businesses tend to introduce new products within existing products, other forms develop entirely new products, when this happens and all of the products a firm offers to sale are offered this is considered a firms a)product line b)product mix c)monopolisitc competition d)product differentiation

Answers

Product differentiation is important because it is what makes a business unique from its competitors.

Businesses tend to introduce new products within existing products, other forms develop entirely new products, when this happens and all of the products a firm offers to sale are offered, this is considered a firm's product line. The answer is option A. Product lineWhen businesses introduce new products within their existing products, it is known as product line extension. Product line extension is done to improve the market share of an existing product or to introduce a new product to the market. It is done to attract the attention of new customers and to keep current customers engaged. Product line extension allows companies to target a different market segment that they might not have previously targeted.The content loaded Businesses tend to introduce new products within their existing product line to give customers more options and to increase their chances of gaining market share. Customers are becoming more discerning, and their demands are evolving as technology and other market trends change, and so businesses must constantly adapt. Product differentiation is a marketing strategy that businesses use to distinguish their products from those of their competitors. Businesses use this strategy to convince customers that their product is superior to that of their competitors.

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Consider the maximum flow problem shown below. Which one of the following constraints shows the flow balance equation for node D? OX BD+X CD=X_DE+X_DF OX_BE+X_CE+X_DE-X_EF O 7X BD+4X_CD= 3 X DE+6X DF O2 X BE +6 X_CE+ 3 X_DE= 9 X EF

Answers

The constraint that shows the flow balance equation for node D is: 7XBD + 4XCD = 3XDE + 6XDF.

In the maximum flow problem, the flow balance equation for a node states that the total flow into the node must equal the total flow out of the node. In this case, node D is the focus. The constraint 7XBD + 4XCD = 3XDE + 6XDF represents the flow balance equation for node D. The left-hand side represents the total flow into node D, with 7XBD coming from node B and 4XCD coming from node C. The right-hand side represents the total flow out of node D, with 3XDE going to node E and 6XDF going to node F.

Among the given options, the constraint 7XBD + 4XCD = 3XDE + 6XDF represents the flow balance equation for node D in the maximum flow problem. This equation ensures that the flow into node D is equal to the flow out of node D, contributing to the overall solution of the maximum flow network.

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You are required to write a
SERVICE or PRODUCT LINE of a POULTRY
CHICKEN FARMING which will convince the lender that your
business is highly viable in Australia.

Answers

Service/Product Line: Poultry Chicken Farming in Australia

At [Business Name], we are dedicated to providing high-quality poultry chicken farming services in Australia.

comprehensive service/product line offers a compelling proposition that showcases the viability and profitability of our business to potential lenders.

1. Poultry Chicken Breeding and Sales:We specialize in breeding and selling a wide variety of poultry chicken breeds. Our focus is on providing genetically superior and disease-resistant chicken breeds that are well-suited to the Australian climate. By offering diverse breeds, we cater to the specific needs and preferences of our customers, including backyard chicken enthusiasts, commercial farms, and small-scale poultry businesses.

2. Day-Old Chicks and Hatchery Services:

Our state-of-the-art hatchery facility produces high-quality day-old chicks. We employ advanced incubation techniques and maintain strict biosecurity measures to ensure healthy and robust chicks. Our day-old chicks are in high demand, serving as the foundation for successful poultry operations across the country.

3. Organic and Free-Range Chicken Products:We understand the growing demand for organic and free-range chicken products in Australia. To meet this market trend, we offer organic and free-range chicken products that are raised in spacious, natural environments with access to outdoor areas. Our commitment to animal welfare and sustainable farming practices sets us apart and appeals to conscious consumers who prioritize high-quality, ethically sourced poultry.

4. Poultry Farm Consultancy:

In addition to our farming operations, we provide consultancy services to aspiring and existing poultry farmers. Our experienced team offers expert advice on farm setup, management techniques, biosecurity protocols, and market trends. We empower farmers with the knowledge and skills needed to succeed in the competitive poultry industry, fostering sustainable growth and profitability.

5. Poultry Equipment and Supplies:To support poultry farmers across Australia, we also offer a range of high-quality poultry equipment and supplies. From feeding systems and housing solutions to health supplements and vaccinations, our comprehensive selection ensures that farmers have access to the essential tools and resources required for efficient and successful poultry operations.

Why Choose [Business Name] for Poultry Chicken Farming:

- Expertise and Experience: With years of experience in the poultry industry, we have honed our knowledge and skills to deliver exceptional farming services and products. Our team comprises industry experts who are well-versed in the nuances of poultry farming in Australia.

- Commitment to Quality: We prioritize the health, welfare, and quality of our chickens and products. By adhering to strict biosecurity measures, ethical farming practices, and stringent quality control standards, we ensure that our customers receive the highest standards of poultry products and services.

- Market Demand: The poultry industry in Australia continues to experience significant growth, driven by rising consumer demand for poultry products. With our diversified service/product line, we are well-positioned to cater to this demand and capture a substantial market share.

- Sustainability and Responsibility: We are committed to sustainable farming practices that minimize our environmental impact. By incorporating responsible waste management, efficient resource utilization, and renewable energy solutions, we strive to operate in an environmentally conscious manner while maintaining economic viability.

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