Generally, A:Monopolies OR B:Perfectly competitive firms will be more able to earn long-run profits than A:Monopolies OR B: Perfectly competitive firms due to A: barriers to entry B: externalities C:average variable costs OR D:

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Answer 1

A: "Monopolies are generally more able to earn long-run profits compared to" B: "perfectly competitive firms due to" A: "barriers to entry.

In a monopoly market structure, there is only one seller or producer of a particular product or service, giving them significant control over the market. This control allows monopolies to set higher prices and restrict competition, resulting in the potential for long-run profits. On the other hand, in a perfectly competitive market, there are many sellers and buyers, and entry into the market is relatively easy. This leads to intense competition, driving prices down and reducing the ability to earn long-run profits.

Options A , B and A are correct answers.

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You are the CFO of Brutus Co. and expect your firm to generate FCFs of $450,000 per year (starting next year) for 10 years. After that, annual FCFs will grow by 1% per year forever. Therefore, FCF in year 11 would be higher than FCF in year 10, FCF in year 12 would be higher than year 11, and so on. You expect a cost of capital of 6% for Brutus Co. How much would you value Brutus Co.

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To value Brutus Co., we can use the discounted cash flow (DCF) method, which calculates the present value of expected future cash flows. We'll need to calculate the present value of the expected FCFs and the terminal value.

Step 1: Calculate the present value of expected FCFs from year 1 to year 10.

Using the formula for calculating the present value of a growing perpetuity:

PV = FCF / (r - g)

Where PV is the present value, FCF is the annual cash flow, r is the discount rate (cost of capital), and g is the growth rate.

In this case, the FCF for each year from year 1 to year 10 is $450,000, the discount rate is 6%, and the growth rate is 1%.

Calculating the present value of the FCFs from year 1 to year 10:

PV1-10 = $450,000 / (0.06 - 0.01) * [1 - (1.01)^-10] ≈ $3,815,789.47

Step 2: Calculate the terminal value at year 10.

The terminal value is the value of the company beyond the explicit forecast period (10 years) and is calculated using the formula:

Terminal Value = FCF11 / (r - g)

Where FCF11 is the cash flow in year 11 and r and g are the same as before.

To calculate the FCF11, we need to calculate the FCF in year 10 and apply the growth rate of 1%:

FCF10 = $450,000 * (1 + 0.01) ≈ $454,500

Calculating the terminal value:

Terminal Value = $454,500 / (0.06 - 0.01) ≈ $9,090,000

Step 3: Calculate the total present value by summing the present value of the FCFs and the terminal value.

Total Present Value = PV1-10 + Terminal Value ≈ $3,815,789.47 + $9,090,000 ≈ $12,905,789.47

Therefore, the value of Brutus Co. is approximately $12,905,789.47.

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Pick the most correct statement regarding meat and food safety.
a) Consumers can usually see, smell, and accurately detect harmful bacteria in meat.
b) All meats are equally susceptible to bacterial growth.
c) Ground and mechanically tenderized beef are less susceptible to bacterial growth.
d) Ground and mechanically tenderized beef are more susceptible to bacterial growth.

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The most correct statement regarding meat and food safety is that ground and mechanically tenderized beef are more susceptible to bacterial growth.  Hence, Consumers can usually see, smell, and accurately detect harmful bacteria in meat is wrong.

This is because the process of grinding or tenderizing can introduce harmful bacteria from the surface of the meat into the interior, where it is harder to detect and eliminate. This is why it is important to cook ground and mechanically tenderized beef to a safe internal temperature of 160°F to kill any potential bacteria. It is also important to handle all meat products with care and to follow proper food safety practices, such as washing hands and surfaces, keeping raw meat separate from ready-to-eat foods, and refrigerating or freezing meat promptly.

While consumers may be able to detect some signs of spoilage in meat, such as an off odor or slimy texture, it is not always possible to detect harmful bacteria with the senses alone. Therefore, it is important to follow food safety guidelines to reduce the risk of foodborne illness.

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Jackson has a high need for achievement, as that need is described by acquired needs theory. Which of the following actions by his boss is most likely to motivate Jackson?
Select one:
a. offer to help pay for Jackson’s continuing education to obtain a graduate degree
b. allow Jackson to work with a group of co-workers rather than working by himself
c. grant Jackson’s request to work from home when the weather is bad
d. give Jackson a significant raise to compensate for an increased cost of living

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The answers is a. offer to help pay for Jackson’s continuing education to obtain a graduate degree.

According to the acquired needs theory, individuals with a high need for achievement are motivated by challenging tasks and personal growth. Offering to help pay for Jackson's continuing education to obtain a graduate degree aligns with his need for achievement. It provides an opportunity for Jackson to further develop his skills and knowledge, enhancing his chances of professional advancement and personal growth. This action demonstrates recognition of Jackson's ambition and dedication, which is likely to motivate him to perform at a high level. It also signals investment in his long-term career development, fostering a sense of loyalty and commitment to the organization.

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average aggregate inventory for a month can be determined by simply averaging the inventory counts at the end of each business day for that month.

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The statement is not entirely accurate. Simply averaging the inventory counts at the end of each business day for a month may not provide an accurate measure of the average aggregate inventory for that month.

To determine the average aggregate inventory for a month, it is necessary to consider the inventory levels throughout the entire month, rather than just the end-of-day counts. This is because inventory levels can fluctuate throughout the day due to factors such as sales, restocking, and other inventory adjustments.

To calculate the average aggregate inventory for a month, one would typically take the sum of the inventory levels at the beginning of each day for that month and divide it by the number of business days in that month. This approach takes into account the variations in inventory levels throughout the month and provides a more accurate representation of the average inventory.

By averaging the inventory counts at the end of each business day, important fluctuations and changes in inventory levels during the day are not considered. This can lead to an inaccurate estimation of the average aggregate inventory for the month. It is important to consider the entire inventory activity within the month to obtain a more reliable measure of the average inventory.

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practically any mobile-based system that gives a company competitive advantage is a strategic information system. true or false?

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True, a mobile-based system that gives a company a competitive advantage can be considered a strategic information system. These systems help companies improve their efficiency, effectiveness, and overall performance, thus creating a competitive edge in the market.

A system is a set of interconnected or interdependent components that work together to achieve a common purpose or function. It can refer to physical, mechanical, or abstract structures designed to perform specific tasks or processes. Systems can be found in various domains, such as technology, biology, ecology, and social sciences. They can range from simple to complex, involving inputs, processes, outputs, feedback loops, and interactions between different elements. Systems thinking involves understanding the relationships and interdependencies within a system to analyze its behavior and identify opportunities for improvement or optimization. Systems play a crucial role in understanding and managing complex phenomena and solving problems in a holistic manner.

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an employee's actions fall within the scope of his employment if ____.

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An employee's actions fall within the scope of his employment if they are performed in the course of their job duties and responsibilities.

Generally, an employee's actions are considered within the scope of employment if they are performed while carrying out their job duties and responsibilities. The scope of employment typically includes actions that are directly related to the tasks assigned to the employee or actions that are reasonably incidental to their job.

For example, if an employee is hired to drive a delivery truck and they cause an accident while making a delivery, their actions would likely be considered within the scope of their employment. Similarly, if an employee engages interacting with clients or attending work-related events, these actions would typically fall within the scope of employment.

However, there can be exceptions and gray areas depending on the specific circumstances of each case. Factors such as the nature of the employee's job, the time and place of the action, and whether the action was motivated by personal reasons or the employer's interests can influence whether an action is within the scope of employment.

Overall, determining whether an employee's actions fall within the scope of employment involves assessing the connection between the action and the employee's job duties, responsibilities, and the interests of the employer.

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according to the keynesians, a decline in the aggregate demand will have _____ on the price level and _____ on output (and employment).

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According to the Keynesians, a decline in aggregate demand will have a negative impact on  the price level and both output, and employment. This is due to the fact that in the short run, prices are sticky, meaning that they do not adjust quickly to changes in demand.

Therefore, if there is a decrease in demand, firms will continue producing at their current level, which will result in an excess supply of goods. To get rid of this excess supply, firms will have to lower their prices, which will ultimately lead to a decrease in the price level. Moreover, a decline in demand will result in lower production levels, which means that firms will have to lay off workers.

This decrease in employment will, in turn, reduce consumers' income, which will lead to a further decrease in demand, perpetuating a vicious cycle of declining demand, output, and employment. In the long run, however, prices will become more flexible, and the economy will eventually adjust to the new equilibrium level of output and employment.

To combat this decline in aggregate demand, Keynesians recommend increasing government spending or cutting taxes to stimulate demand and increase economic growth. This increase in government spending will increase the aggregate demand and help in stabilizing the economy, leading to an increase in output and employment.

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A company paid $0.82 in cash dividends per share. Its earnings per share is $4.54 and its market price per share is $25.75. Its dividend yield equals (Round you answer to 2 decimal places):

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The company's dividend yield equals 3.18%.

The dividend yield, which is generally expressed as a percentage, refers to a financial ratio that indicates how much a company pays out in dividends each year relative to its stock price.

To calculate the dividend yield, you can use the following formula:

Dividend Yield = (Cash Dividends per Share / Market Price per Share) x 100

In this case, the company paid $0.82 in cash dividends per share, and its market price per share is $25.75. Plugging these values into the formula, we get:

Dividend Yield = ($0.82 / $25.75) x 100

Dividend Yield = 0.031844660194174757 x 100

Dividend Yield = 3.1844660194174757

Rounding to 2 decimal places, the dividend yield equals 3.18%.

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True/False: the operating cycle measures the time from the production of a product to the collection of cash and considers that the costs of production are not necessarily paid immediately.

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True. The operating cycle is a financial management concept that measures the time it takes for a business to convert its resources into cash by producing and selling its products.

True. The operating cycle is a financial management concept that measures the time it takes for a business to convert its resources into cash by producing and selling its products. It is typically calculated as the sum of the inventory conversion period and the accounts receivable collection period. The inventory conversion period measures the time it takes for a business to convert its raw materials into finished goods and then sell those goods to customers. This period takes into account that the costs of production, such as materials and labor, are not necessarily paid immediately. The accounts receivable collection period measures the time it takes for a business to collect payment from its customers for goods or services sold on credit. Together, these two periods make up the operating cycle, which provides insight into the liquidity and efficiency of a business's operations. In summary, the operating cycle measures the time it takes for a business to produce and sell its products and collect cash, taking into account that the costs of production may not be paid immediately. Therefore, the statement in the question is true.

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the level of excess reserves is used to determine the lending capacity of the banking startstrue or falsetrue, unselectedfals. true or false?

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True. The level of excess reserves that a bank holds can determine its lending capacity as it affects the amount of funds available for the bank to loan out to customers.

Banks with higher levels of excess reserves may have greater lending capacity as they have more funds available to lend out.

Lending capacity refers to the ability of an individual, organization, or financial institution to provide loans or credit to borrowers.

It represents the maximum amount of money that a lender is willing and able to lend based on various factors, including their financial resources, risk appetite, regulatory requirements, and internal lending policies.

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Merchant Mart accepts a shipment of nonconforming goods from Nabob Inc. Under the applicable statute of limitations, with respect to pursuing a remedy against the seller for the shipment, the buyer A. must warrant that the goods will be returned. B. is limited to a certain amount of damages. C. is barred from secking damages
D. has a reasonable time to notify the seller of the breach.

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Merchant Mart accepts a shipment of nonconforming goods from Nabob Inc. Under the applicable statute of limitations, with respect to pursuing a remedy against the seller for the shipment, the buyer: D. has a reasonable time to notify the seller of the breach.


The applicable statute of limitations determines the time within which the buyer can pursue a remedy against the seller. The statute of limitations may differ depending on the jurisdiction and the type of contract. In this case, it is not specified which jurisdiction the contract is governed by, so we will assume a general understanding.
Under the statute of limitations, the buyer is given a reasonable amount of time to notify the seller of the breach. This means that Merchant Mart has a certain period within which they must notify Nabob Inc. of the nonconforming goods. The specific amount of time may depend on the terms of the contract and the jurisdiction in which the contract was made.
Once the seller has been notified, the buyer can pursue a remedy against the seller. The buyer may seek damages ormay choose to return the goods. If the buyer chooses to return the goods, they must warrant that the goods will be returned. If the buyer chooses to seek damages, they may be limited to a certain amount of damages depending on the contract terms and jurisdiction.
In summary, with respect to pursuing a remedy against the seller for nonconforming goods, the buyer has a reasonable amount of time to notify the seller of the breach. The buyer may choose to return the goods and must warrant that the goods will be returned, or may seek damages which may be limited depending on the contract terms and jurisdiction.

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The buyer has a reasonable time to notify the seller of the breach.

Under the Uniform Commercial Code (UCC), which governs the sale of goods in the United States, a buyer who receives nonconforming goods has a duty to notify the seller within a reasonable time after discovering the breach of contract. The statute of limitations for pursuing a remedy against the seller generally begins to run from the date of the breach, but the buyer must first give notice of the breach to the seller. Failure to give timely notice may result in the buyer losing the right to pursue a remedy against the seller. However, the UCC does not limit the buyer to a certain amount of damages or require the buyer to warrant that the goods will be returned.

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variances from standards are group of answer choices expressed on a percentage basis. expressed in total dollars. expressed on a per-unit basis. all of these answers are correct.

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Variances from standards are typically expressed on a per-unit basis, which allows managers to compare actual and expected performance in a meaningful way hence option A)  is correct.

Variances from standards are typically expressed on a per-unit basis, which allows managers to compare actual and expected performance in a meaningful way. By calculating the difference between the actual and standard costs per unit, managers can determine the magnitude and direction of the variance, and use this information to identify areas for improvement or to adjust their performance expectations. For example, if the standard cost for producing a product is $10 per unit, but the actual cost turns out to be $12 per unit, the variance would be calculated as $2 per unit. This information could be used to identify the sources of the variance, such as higher-than-expected material or labor costs, and to take corrective action if necessary. While variances from standards can be expressed in total dollars, this is less common because it does not take into account the scale of production. Similarly, expressing variances as a percentage can be useful for comparing performance across different products or time periods, but it does not provide a per-unit measure that can be used to make meaningful operational or financial decisions, therefore option A) is correct.

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All of the options listed are correct ways to express variances from standards.

Variances can be expressed on a percentage basis, which would show the difference between a company's actual performance and its target or expected performance as a percentage of the target. Variances can also be expressed in total dollars, which would show the difference between a company's actual performance and its target or expected performance as a dollar amount.

Variances can also be expressed on a per-unit basis, which would show the difference between a company's actual performance and its target or expected performance per unit of production.  So, All of the options.

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lucas would like to be a homeowner, but his low credit score makes lenders unwilling to give him a mortgage. what makes the 203(b) loan a more likely option for lucas to qualify for a mortgage?

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In comparison to conventional mortgages, the 203(b) loan has more flexible credit standards and smaller down payment alternatives, making it a more likely choice for Lucas. This makes it easier for those with bad credit to be approved for a mortgage.

The Federal Housing Administration's (FHA) 203(b) lending program may be a better chance for Lucas to obtain a mortgage despite having a bad credit score. This financing program is intended to assist those with poor credit or limited financial means in purchasing a home. Compared to regular lenders, the 203(b) loan has more lenient credit standards and requires lesser down payments. As a result of the FHA's loan insurance, lenders are more likely to give credit to applicants who might not otherwise qualify due to the FHA's lower risk. The 203(b) loan can therefore give Lucas the chance to obtain a mortgage and achieve his dream of becoming a homeowner.

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Which of the following statements regarding consolidation of a VIE with its primary beneficiary is true?
A) The consolidation of a VIE with its primary beneficiary requires the business enterprise to follow a separate process than the one required for consolidations based on voting interests.
B) All intra-entity transactions between the primary beneficiary and the VIE are included in the consolidation.
C) Only intra-entity transactions between the primary beneficiary and the VIE resulting from intra-entity transfers are eliminated in the consolidation.
D) VIEs with controlling interests must include one hundred percent of the primary beneficiary's net income in a consolidation.
E) The allocation of the VIE's net income is based on an analysis of the underlying contractual arrangements between the primary beneficiary and other holders of variable interests.

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The correct statement regarding the consolidation of a VIE with its primary beneficiary is E.

The allocation of the VIE's net income is based on an analysis of the underlying contractual arrangements between the primary beneficiary and other holders of variable interests. Consolidation of a VIE with its primary beneficiary is required when the primary beneficiary has a controlling financial interest in the VIE, even if it does not have a majority voting interest. All intra-entity transactions between the primary beneficiary and the VIE are eliminated in the consolidation, but only those resulting from intra-entity transfers are eliminated. The process for consolidating a VIE with its primary beneficiary is not different from the one required for consolidations based on voting interests. VIEs with controlling interests must include the primary beneficiary's share of net income in the consolidation, but not necessarily 100%. The allocation of the VIE's net income is based on an analysis of the underlying contractual arrangements, including the nature and extent of the variable interests held by other parties.

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the three nations that exported the largest amount of goods to the united states in 2017 were

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The three nations that exported the largest amount of goods to the United States in 2017 were China, Canada, and Mexico.

In 2017, China was the leading exporter of goods to the United States. The strong manufacturing base in China, coupled with its low labor costs, allowed it to produce a wide range of goods at competitive prices. China's exports to the United States included electronic products, machinery, furniture, and apparel.

Canada was the second-largest exporter to the United States in 2017. The geographical proximity and the close economic relationship between the two countries contributed to Canada's significant exports. Canada supplied a variety of goods to the United States, including crude oil, natural gas, vehicles, and machinery. The North American Free Trade Agreement (NAFTA) also played a role in facilitating trade between the two nations.

Mexico ranked third among the largest exporters to the United States in 2017. Similar to Canada, Mexico's geographic proximity to the United States and the implementation of NAFTA supported its export industry. Mexico's exports to the United States included vehicles, machinery, electrical equipment, and agricultural products.

These three nations, China, Canada, and Mexico, collectively accounted for a substantial portion of the goods imported by the United States in 2017. Their export industries, economic relationships, and favorable trade agreements contributed to their positions as major trading partners with the United States.

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the expected inflation rate is 1.7%. what is the nominal interest rate if the real rate of interest is 2.1%?

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The nominal interest rate is 3.8% if the real rate of interest is 2.1% and the expected inflation rate is 1.7%.

To calculate the nominal interest rate, we need to use the Fisher equation, which states that the nominal interest rate is equal to the sum of the real interest rate and the expected inflation rate. In this case, the expected inflation rate is given as 1.7%, and the real rate of interest is 2.1%.
Using the Fisher equation, we get:
Nominal interest rate = Real interest rate + Expected inflation rate
Nominal interest rate = 2.1% + 1.7%
Nominal interest rate = 3.8%
It's important to note that the nominal interest rate includes both the real interest rate and the expected inflation rate, making it a more accurate representation of the overall cost of borrowing. We can say that understanding the difference between nominal and real interest rates is crucial in managing personal finances and making informed investment decisions. While nominal interest rates are the ones usually quoted by banks and other lenders, they do not reflect the impact of inflation on the cost of borrowing. On the other hand, real interest rates take inflation into account and are a more accurate measure of the true cost of borrowing. By comparing nominal and real interest rates, you can get a better understanding of how much you are really paying for a loan or investment and make more informed financial decisions.

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nepotism is the practice of promoting exclusively from within the firm. group of answer choices true false previousnext

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Nepotism is the practice of promoting exclusively from within the firm. This statement is false.

Nepotism actually refers to the practice of favoritism based on family relationships, where individuals are given preferential treatment or promoted based on their familial ties rather than their qualifications, skills, or experience. It can occur in various settings, including businesses, organizations, and even politics.

Promoting exclusively from within the firm is known as internal promotion or hiring from within, which is a separate concept from nepotism. Internal promotion can have its own benefits, such as increased employee morale, familiarity with company culture, and reduced training costs.

However, it is crucial to distinguish it from nepotism, which is generally viewed as an unethical practice that can harm the work environment and hinder the growth and success of the organization.

In conclusion, the statement that nepotism is the practice of promoting exclusively from within the firm is incorrect, as nepotism focuses on favoritism based on family relationships, while promoting from within the firm refers to internal promotion.

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a machine cost 956000 on april 1 2020 its estimated salves value is 29200 and its rexpected life is 4 years
Calculate the depreciation expense by straight-line for 2020. (Round answer to 0 decimal places, eg. 5,275.) Depreciation expense $ _____

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To calculate the depreciation expense by straight-line for 2020, we need to first determine the depreciable cost of the machine. The depreciable cost is the original cost of the machine minus its estimated salvage value.

Original cost of the machine = $956,000
Estimated salvage value = $29,200
Depreciable cost = $956,000 - $29,200 = $926,800

Next, we need to divide the depreciable cost by the expected life of the machine in years to get the annual depreciation expense.

Annual depreciation expense = Depreciable cost / Expected life

Annual depreciation expense = $926,800 / 4 = $231,700

Finally, we need to prorate the depreciation expense based on the portion of the year the machine was in use. Since the machine was purchased on April 1, 2020, it was in use for 9 months out of the 12-month year.

Depreciation expense for 2020 = Annual depreciation expense x (months in use / 12)

Depreciation expense for 2020 = $231,700 x (9 / 12) = $173,775

Therefore, the depreciation expense by straight-line for 2020 is $173,775.

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FILL IN THE BLANK. Firms such as Textron Inc. that frequently acquire and divest other firms are MOST likely to use the __________ structure.
A. matrix
B. competitive multidivisional
C. hybrid combination
D. horizontal complementary strategic alliance

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Firms such as Textron Inc. that frequently acquire and divest other firms are MOST likely to use the competitive multidivisional structure

B. competitive multidivisional

Firms like Textron Inc., which engage in frequent acquisitions and divestitures, are most likely to use the competitive multidivisional structure. The competitive multidivisional structure is characterized by a parent company (often referred to as the headquarters) that operates multiple semi-autonomous divisions or subsidiaries.

Each division focuses on a specific product, market, or geographic area and has its own profit and loss responsibility. This structure allows the parent company to efficiently manage and coordinate the operations of different divisions while maintaining a competitive and decentralized decision-making approach. It is particularly suitable for firms that engage in diverse business activities or have a portfolio of acquired companies.

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John, Lisa, and Tabir form an LLC. John contributes 60% of the capital, and Lisa and Tabir each contribute 20%. Nothing is decided about how profits will be divided. John assumes that he will be entitled to 60% of the profits, in accordance with his contributions. Lisa and Tabir, however assume that the profits will be divided equally. A dispute over the question arises, and ultimately, a court has to decide the issue. What law will the court apply? In most states, what would result? How could this dispute have been avoided in the first place? Discuss this fully.

Answers

Is always advisable to have a well-drafted operating agreement to establish clear guidelines for decision-making, profit sharing, and dispute resolution within an LLC.

In the absence of an agreement on profit distribution in an LLC, what law will a court typically apply?  

In most states, when the terms of profit sharing are not explicitly defined in an LLC operating agreement, the court would apply the default rules provided by the state's LLC statute. These default rules typically stipulate that profits will be distributed equally among the LLC members, regardless of their capital contributions.

In this case, John, Lisa, and Tabir had differing assumptions regarding the profit distribution. To avoid such disputes, they could have drafted a comprehensive operating agreement before forming the LLC. The operating agreement would have clearly outlined how profits are to be allocated, ensuring all members are aware of the agreed-upon terms. By explicitly addressing profit sharing in the agreement, they could have avoided misunderstandings and potential conflicts, saving time, resources, and potential strain on their relationship. It is always advisable to have a well-drafted operating agreement to establish clear guidelines for decision-making, profit sharing, and dispute resolution within an LLC.

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Suppose that a firm in a competitive market has the following cost curves the firm should exit if the market price is:_______

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Suppose that a firm in a competitive market has the following cost curves: the firm should exit if the market price is below its average variable cost (AVC).

In a competitive market, a firm will make a decision to exit or stay based on its short-run and long-run costs. The short-run costs include fixed costs (FC), which the firm has to pay regardless of its production level, and variable costs (VC), which vary depending on the firm's production output.

A firm will compare the market price to its average total cost (ATC) and average variable cost (AVC) to determine whether to exit the market. If the market price is below the firm's AVC, it would be unable to cover its variable costs and will experience a loss on each unit produced. In this situation, it is more beneficial for the firm to exit the market and minimize its losses.

If the market price is between the firm's AVC and ATC, it can cover its variable costs but not its fixed costs, resulting in a short-term loss. However, the firm may choose to continue operating in the market, hoping for an improvement in market conditions.

Lastly, if the market price is above the firm's ATC, it will cover both its variable and fixed costs and earn a profit. In this case, the firm will continue operating in the market.

In summary, a firm in a competitive market with specific cost curves should exit the market if the market price is below its average variable cost.

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when the tax laws change, which rate is used to value deferred tax assets and liabilities?

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When tax laws change, the rate used to value deferred tax assets and liabilities is the new enacted tax rate.

Deferred tax assets and liabilities are created when there is a difference between the accounting book value of an asset or liability and its tax basis. The difference between the two is recognized as either a deferred tax asset or liability on the balance sheet. When tax laws change, the tax basis of an asset or liability may change, resulting in a change in the deferred tax asset or liability. To value these changes, the new enacted tax rate is used.

When a company prepares its financial statements, it must account for its income taxes. The company must determine the income tax expense or benefit for the year, which is based on the income before taxes and the applicable tax rate. In addition to current income tax expense or benefit, a company must also account for deferred income tax assets and liabilities. Deferred tax assets and liabilities are created when there is a difference between the accounting book value of an asset or liability and its tax basis. The difference between the two is recognized as either a deferred tax asset or liability on the balance sheet. A deferred tax asset arises when an expense is recognized for accounting purposes before it is recognized for tax purposes. For example, if a company has a loss carryforward, it may be able to use the loss to offset future taxable income, which would reduce its tax liability.

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assume you would like to stimulate investment but leave the level of gdp roughly the same. what policy mix would you propose?

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To stimulate investment while maintaining the level of GDP, a policy mix can be implemented. The proposed mix includes tax incentives for investment, and increased infrastructure investment.

The policy mix aims to incentivize private investment and create a supportive environment for businesses. Tax incentives for investment, such as accelerated depreciation allowances and investment tax credits, encourage businesses to invest in capital expenditures and research and development. Increasing public investment in infrastructure projects not only boosts productivity but also attracts private investment in related sectors.

Streamlined regulations reduce administrative burdens on businesses, making it easier to invest. Access to financing, particularly for small and medium-sized enterprises, can be facilitated through loan guarantee programs and public-private partnerships. Investment in education and skills development ensures a skilled workforce that meets industry demands. Support for research and development fosters innovation and technological advancements. Export promotion initiatives help businesses tap into international markets, attracting investment in export-oriented industries.

Encouraging entrepreneurship through resources and mentoring stimulates investment in new ventures. Promoting sustainable and green investments through incentives and tax credits drives investment in environmentally friendly sectors. Lastly, maintaining economic stability and policy consistency instills confidence in investors and supports a favorable investment climate.

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Which was the minimum capital requirement for market risk in the 1996 BIS Amendment? A. At least 2 times 5-day VaR with a 95% confidence levelB. At least 3 times 7-day VaR with a 97% confidence level C. At least 3 times the 10-day VaR with a 99% confidence level D. 1-day VaR with a 99% confidence level

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The minimum capital requirement for market risk in the 1996 BIS Amendment was established as option A: At least 2 times the 5-day VaR with a 95% confidence level.

The correct answer is option a.

This amendment, introduced by the Basel Committee on Banking Supervision (BCBS), aimed to address market risk in banks' trading portfolios and ensure that they held sufficient capital to cover potential losses.

Value at Risk (VaR) is a risk management tool used to estimate the potential loss in a portfolio over a given period under normal market conditions, at a certain confidence level. In this case, the 5-day VaR with a 95% confidence level indicates the maximum expected loss over a 5-day period, with a 95% probability.

By setting the minimum capital requirement at 2 times the 5-day VaR with a 95% confidence level, the BIS Amendment sought to enhance banks' resilience to market fluctuations and reduce the probability of insolvency due to market risk exposure. This requirement allowed regulators to ensure that banks maintained adequate capital buffers to absorb potential losses arising from their trading activities, ultimately contributing to the stability of the financial system.

Therefore, the correct answer is option a.

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scots glenn manufacturing took out $532,000 of new debt this year and repaid $800,000 of older debt in the same year. the company also issued stock for $353,600 cash and paid dividends of $79,200 for the year. assuming these are the only transactions affecting the financing activities, scots glen will report net cash flows provided by (used in) financing activities of: multiple choice net cash used in financing activities of $347,200. net cash used in financing activities of $268,000. net cash provided by financing activities of $6,400. net cash provided by financing activities of $85,600.

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We can calculate the net cash flows provided by (used in) financing activities of Scots Glen Manufacturing for the year. Financing activities include obtaining and repaying debt, issuing or buying back stocks, and paying dividends.

Here are the transactions that affected the financing activities of Scots Glen:
- New debt was taken out = $532,000
- Old debt repaid = $800,000
- Stock issued = $353,600
- Dividends paid = $79,200
To calculate the net cash flows provided by (used in) financing activities, we need to subtract the cash outflows from the cash inflows. In this case, we have a total cash outflow of $879,200 ($800,000 + $79,200) and a total cash inflow of $353,600 from the stock issuance. The net cash used in financing activities for Scots Glen Manufacturing is:
Net cash used in financing activities = Cash outflows - Cash inflows
Net cash used in financing activities = $879,200 - $353,600
Net cash used in financing activities = $525,600
So, the correct multiple-choice option is Net cash used in financing activities of $347,200.

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you were given a per-unit cost of $0.21 for the first 500,000 units. what is the highest that that per-unit cost could be and still have operating income reach $18,636 in year 10?

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The per-unit cost for the first 500,000 units must not exceed $0.975 to reach the desired operating income in year 10. This calculation assumes that there are no other variable costs and that the selling price remains constant.

To answer your question, we need to use some basic accounting and math principles. Let's start by calculating the total revenue needed to reach the operating income of $18,636 in year 10. We don't have that information, so let's assume a 10-year linear projection of unit sales and prices.
Assuming unit sales and prices remain constant for the next 10 years, and the per-unit cost is the only variable cost, we can calculate the total revenue required to reach the operating income of $18,636 in year 10. If the first 500,000 units had a per-unit cost of $0.21, we can assume that the selling price is $1.00 per unit (otherwise, the operating income would be negative).
Assuming a linear growth rate of 5% per year, the projected unit sales in year 10 would be 772,202 units. Therefore, the total revenue required to reach the operating income of $18,636 in year 10 would be:
Total Revenue = Unit Sales x Selling Price
Total Revenue = 772,202 x $1.00
Total Revenue = $772,202
Now, we need to calculate the total variable costs to reach that revenue level, assuming the highest per-unit cost. Let's call this cost "x".
Total Variable Costs = Unit Sales x Per-Unit Cost
Total Variable Costs = 772,202 x x
Finally, we can calculate the operating income by subtracting the total variable costs from the total revenue:
Operating Income = Total Revenue - Total Variable Costs
Operating Income = $772,202 - (772,202 x x)
We know that the operating income should be $18,636, so we can set up an equation and solve for "x".
$18,636 = $772,202 - (772,202 x x)
$772,202 x x = $753,566
x = $0.975
Therefore, the highest per-unit cost that would still allow the operating income to reach $18,636 in year 10 is $0.975, or roughly $0.98 per unit. This assumes that all other costs remain constant and that the selling price remains at $1.00 per unit.

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received cash for sale of a computer, plant asset no. 284, $300.00. m29 and r456.

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For Received cash for sale of a computer, plant asset No. 284, $300 M29 / R456 the journal entry is given.

A double-entry accounting system that utilises both a general ledger and a general journal is likely the finest way to track a company's entire financial data and maintain operations that are both profitable and efficient.

One must first realise the many functions connected with these two crucial elements, general ledgers and general journals, in order to fully comprehend how such a system of accounting records operates.

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General journal entry:

debit - depreciation expense (store/office equipment) - 300

credit - accum. depreciation (store/office equipment) - 300

cash receipts

accum. depreciation (store/office equipment)

if a loss, loss on plant assets - office equipment

if a gain, store equipment - gain on plant assets

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Complete question:

Dec. 28 Received cash for sale of a computer, plant asset No. 284, $300 M29 / R456

when looking at a grain size distribution curve, the steeper the slope the less uniform the grain size fraction.

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When looking at a grain size distribution curve, the steepness of the slope is an indication of the variation in grain size within the sample. A steep slope indicates that there is a significant difference between the smallest and largest grain sizes present in the sample. Therefore, the steeper the slope, the less uniform the grain size fraction.

On the other hand, a gentle slope indicates that the range of grain sizes is narrow and that the majority of grains are similar in size. Therefore, the steeper the slope, the less uniform the grain size fraction. In other words, the sample contains a wide range of grain sizes, indicating that the sediment may have been transported over a longer distance or may have undergone multiple processes of erosion and deposition. This information can be useful in understanding the depositional environment of the sediment.

For example, a steep slope in a sediment sample collected from a riverbed may indicate that the sediment has been transported over a longer distance, whereas a gentle slope may suggest that the sediment was deposited locally. Overall, understanding the grain size distribution of a sediment sample can provide valuable insights into its depositional history and the processes that have shaped it. The steepness of the slope on the grain size distribution curve is just one of many factors to consider when interpreting sediment data.

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Fill in the blank: ​_____ give the project managers an opportunity to seek input and conduct brainstorming sessions.

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The Answer Is Project status

given that insurance companies aim to offset risk by setting premiums high enough to cover the losses of the highest-risk members, how would you expect this to affect low-risk insurance buyers?

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High premiums set by insurance companies to cover losses of high-risk members may negatively impact low-risk insurance buyers financially.

When insurance companies set high premiums to offset the potential losses associated with high-risk members, it results in a general increase in premiums for all policyholders. This affects low-risk insurance buyers in two ways.

Firstly, they have to pay higher premiums despite their lower risk profile, which can be financially burdensome. Secondly, the high premiums may deter some low-risk individuals from purchasing insurance altogether, as the cost may outweigh the perceived benefits. This can create an adverse selection problem for insurance companies, where the risk pool becomes skewed towards higher-risk individuals, further driving up premiums.

Ultimately, the aim of setting premiums based on risk is to ensure the financial sustainability of the insurance system, but it can have unintended consequences for low-risk insurance buyers.

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