which strategy is effective when new, but related, products could be offered at highly competitive prices? a. conglomerate diversification b. related diversification c. unrelated diversification d. forward integration e. related integration

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Answer 1

The strategy that is effective when new, but related, products could be offered at highly competitive prices is B: "related diversification".

Related diversification strategy is effective when new, but related products could be offered at highly competitive prices. The practice is often used to increase the company's earnings and to reduce risk associated with operating in a single market segment.

Related diversification is a business expansion technique that occurs when a business expands its operations into a similar market, market sector, or product line as its current operations. In contrast to unrelated diversification, which involves expanding into new industries, related diversification allows a business to benefit from economies of scale, cross-selling, and a more comprehensive product line, all of which contribute to increased profits.

Therefore, B- "Related diversification" is the best strategy when new, but related, products could be offered at highly competitive prices.

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market failure occurs when a. market price is equal to marginal cost. b. an unrestrained market allocates too many or too few resources to a specific economic activity. c. markets do not

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Market failure occurs when "an unrestrained market economy leads to either an under-allocation or over-allocation of resources to a specific economic activity". Option B is correct.

This is resulting in an inefficient allocation of goods and services in the economy.

Market failure can occur due to a variety of reasons such as externalities, public goods, natural monopolies, imperfect information, and market power. In such cases, the free market fails to allocate resources efficiently, resulting in a loss of economic welfare.

For instance, when a firm produces goods that cause pollution, it imposes a negative externality on society, and the market fails to internalize the cost of pollution, resulting in an overproduction of goods that cause pollution.

Similarly, in the case of public goods, the market may underproduce them as firms cannot exclude non-payers from enjoying the benefits of the good. Policymakers may intervene to correct market failures by implementing regulations, taxes, subsidies, or providing public goods themselves.

Option B holds true.

The complete question:

Market Failure occurs when....

A) A good is too expensive for the market to provideB) an unrestrained market economy leads to too few or too many resources going to a specific economic activityC)one good is superior to another and drives it out of the marketD) the stock market experiences a very large loss

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the productivity gains achieved by specialization are due to part 2 a. scarcity. b. lower opportunity costs from switching production from one good to another. c. comparative advantage. d. absolute advantage.

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The productivity gains achieved by specialization are primarily due to lower opportunity costs, comparative advantage, and absolute advantage.

a) Scarcity is not directly responsible for productivity gains from specialization. Scarcity refers to the limited availability of resources, which can lead to increased production costs or reduced production capacity. While scarcity can encourage specialization, it does not guarantee productivity gains.

b) Lower opportunity costs from switching production from one good to another are a key factor in productivity gains from specialization. When a country or individual specializes in producing a certain good, they can allocate more resources and time to that specific production, leading to increased efficiency and output. This, in turn, lowers the opportunity cost of producing that good, as resources are used more effectively and the cost of switching production is reduced.

c) Comparative advantage is another essential aspect of productivity gains from specialization. Comparative advantage refers to the ability of an individual or country to produce a good or service at a lower opportunity cost than another producer. By specializing in goods with a comparative advantage, countries and individuals can maximize their overall production and trade with others to obtain goods in which they do not have a comparative advantage.

d) Absolute advantage also plays a role in productivity gains from specialization. Absolute advantage refers to the ability of an individual or country to produce a good or service using fewer resources than another producer. Specializing in goods with an absolute advantage allows producers to increase their output, leading to overall productivity gains in the economy.

In summary, productivity gains achieved by specialization are due to lower opportunity costs, comparative advantage, and absolute advantage, which contribute to increased efficiency, optimal resource allocation, and higher overall production.

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gibson's has sales for the year of $539,400, cost of goods sold equal to 74 percent of sales, and an average inventory of $78,600. the profit margin is 8 percent and the tax rate is 21 percent. how many days, on average, does it take the company to sell an inventory item? assume 365 days per year.

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On average, it takes the company 71.77 days to sell an inventory item.

The cost of goods sold:Cost of goods sold = 74% of sales= (74/100) × 539,400= $399,156The gross profit:Gross profit = Sales - Cost of goods sold= $539,400 - $399,156= $140,244.The net profit:Net profit = Gross profit × Profit margin= $140,244 × 8/100= $11,219.52.

The after-tax profit:After-tax profit = Net profit × (1 - Tax rate)= $11,219.52 × (1 - 21%)= $8,852.22The average inventory turnover period:Inventory turnover period = (Average inventory / Cost of goods sold) × 365Inventory turnover period = (78,600 / 399,156) × 365= 71.77 days.

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an investment had a nominal return of 10.0 percent last year. if the real return on the investment was only 7.6 percent, what was the inflation rate for the year?

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The inflation rate for the year was 2.4 percent.

Nominal return refers to the profit earned from a financial asset or security, which is stated in dollar terms before considering the inflation rate.

On the other hand, real return refers to the profit earned from a financial asset or security, which is adjusted for the inflation rate.

In this case, the nominal return was 10.0 percent, while the real return was 7.6 percent.

Therefore, the inflation rate can be calculated as follows:

Inflation rate = Nominal return - Real return

Inflation rate = 10.0% - 7.6%Inflation rate = 2.4%

Therefore, the inflation rate for the year was 2.4 percent.

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debit cards are examples of question 15 options: electronic funds transfer systems. commodity monies. modern barter systems. legal tender in the united states.

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Examples of electronic funds transfer methods are debit cards. Rupay Platinum Debit Card by Axis, EasyShop Platinum Debit Card-VISA by HDFC, VISA Classic Debit Card by Axis.

Yet we must understand that these are two distinct cards. A PIN-based card with the sole purpose of being used in ATMs is an ATM card. On the other hand, a debit card serves a far wider range of purposes. They are accepted for transactions in many locations, including shops, restaurants, online, and ATMs.

The Visa debit card is maybe the most popular kind of debit card in India and internationally. For all types of online payments and electronic transactions, these cards are widely accepted.

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mac has been driving for almost thirty hours straight because he was promised a $1,000 bonus if he delivers his truckload of refrigerated roses by 5:00 the next morning. as mac drives through the night and gets progressively more tired, he is likely to experience:

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Mac is at risk of experiencing various symptoms related to sleep deprivation and fatigue, including:

Decreased reaction time:

Reduced cognitive function

Reaction time is significantly slowed when a person is sleep deprived,

making it challenging to react quickly to unforeseen events on the road.

Reduced cognitive function: Sleep deprivation can affect one's ability to make decisions, solve problems, and recall information.

Mac may occasionally experience brief "microsleeps" or nod-offs, in which he temporarily loses consciousness.

Mood swings and irritability: Lack of sleep can result in these negative emotions as well as higher stress levels.

The effects of fatigue on vision can include blurriness or other visual disturbances.

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which of the following types of cost is not a typical service cost involved with long-term service contracts? a.direct costs b.initial direct costs v.indirect costs d.initial indirect costs

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"Initial indirect costs" are typically one-time expenses and not ongoing costs associated with long-term service contracts. Thus, Option D is correct.

Indirect costs, also known as overhead costs, are expenses that cannot be directly attributed to a specific service or product, such as rent, utilities, or office supplies. These costs are typically spread out over a period of time and are included in the overall pricing of long-term service contracts.

Direct costs, on the other hand, are expenses that are directly related to providing the service, such as labor, materials, and equipment. Initial direct costs may include expenses related to setting up the service, such as training and equipment purchases.

It is important for service providers to carefully consider all costs associated with long-term service contracts in order to ensure profitability and customer satisfaction.

Option D holds true.

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which one of the following is a limitation on soft money? group of answer choices soft money cannot be used to promote a policy proposal. soft money cannot be used to mobilize voters. soft money cannot be used to elect or defeat a specific candidate. soft money cannot be used to promote a point of view.

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From amongst the given options, the limitation on soft money is that it cannot be used to elect or defeat a specific candidate.

The limitation on soft money is that it cannot be used to elect or defeat a specific candidate. Soft money refers to funds that are raised by political parties or organizations for activities such as voter mobilization and issue advocacy, but it cannot be used to directly support or oppose a particular candidate in an election. This is because soft money is subject to less stringent regulations than "hard money," which refers to funds raised and spent directly by candidates in an election.

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drawbacks to the fixed rate exchange system include group of answer choices helps a country with high inflation exports high inflation exports unemployment helps unc beat duke

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A fixed exchange rate system is a system in which the exchange rate of a country is fixed by the government, meaning that the country's currency is tied to a foreign currency at a fixed rate.

Although this system has some advantages, there are several drawbacks as well. One of the main drawbacks of the fixed exchange rate system is that it can be difficult for a country to adjust to changing economic conditions. If a country's economy experiences inflation, for example, the fixed exchange rate may make it difficult for the country's exports to compete with those of other countries, which can lead to high inflation exports.

This, in turn, can lead to unemployment as companies may struggle to sell their goods and services in a highly competitive market.To help mitigate these drawbacks, countries that use a fixed exchange rate system often employ a variety of policy measures. For example, they may set up special exchange rates for certain goods and services, or they may impose tariffs or other trade barriers to protect their domestic industries.

In addition, they may use monetary policy measures, such as adjusting interest rates or increasing the money supply, to help stabilize the economy and promote growth. Overall, while the fixed exchange rate system has its advantages, it also has its drawbacks, and policymakers must carefully balance these factors when making decisions about how to manage their country's economy.

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which of the following result from a reduction in personal income tax rates on consumers? multiple select question. increased take-home income increasing consumer purchases at each possible price level decreased take-home income decreasing consumer purchases at each possible price level

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Increased take-home income and increasing consumer purchases at each possible price level would result from a reduction in personal income tax rates on consumers.

Each and every citizen of the nation must pay taxes. A reduction in income taxes boosts aggregate demand, disposable personal income (but not as much as the change in disposable personal income), and consumption.

When a consumer's income rises, they are more willing to spend money, especially on higher-quality goods. Consumers will spend less when their income declines, especially on higher-quality goods. Despite the fact that they might spend more money on inferior goods.

Lower income tax rates boost consumers' purchasing power and can boost aggregate demand, which can boost the economy's growth (and possibly inflation).

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if the minimum wage is set above the equilibrium wage, a supply and demand diagram of the low-skilled labor market will show unemployment as

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If the minimum wage is set above the equilibrium wage, a supply and demand diagram of the low-skilled labor market will show unemployment as an increase in the quantity of labor supplied that exceeds the quantity demanded.

The law of supply and demand determines the price and the quantity of the goods and services that are being bought and sold. The supply and demand diagram for the low-skilled labor market is shown in the figure below, with the wage rate (w) on the vertical axis and the quantity of labor (L) on the horizontal axis.

The equilibrium wage rate (we) is determined at the intersection of the demand and supply curves. At this point, the quantity of labor supplied is equal to the quantity of labor demanded.

If the minimum wage is set above the equilibrium wage, the result will be a decrease in the quantity of labor demanded, an increase in the quantity of labor supplied that exceeds the quantity demanded, and unemployment.

In other words, firms will demand less labor at higher wage rates, while workers will be willing to supply more labor at higher wage rates. When the minimum wage is set above the equilibrium wage, firms will be willing to hire fewer workers than the number of workers willing to work at that wage rate.

As a result, there will be a surplus of workers, which is unemployment in the labor market.

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a taxpayer purchased 100 shares of eastern corp. stock for $18,000 on april 1 of the prior year. on february 1 of the current year, 50 shares of eastern were sold for $7,000. fifteen days later, the taxpayer purchased 25 shares of eastern for $3,750. what is the amount of the taxpayer's recognized gain or loss?

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To calculate the recognized gain or loss, we need to determine the cost basis of the shares that were sold and compare it to the amount realized from the sale.

The cost basis of the 50 shares that were sold on February 1 is calculated using the average cost method, which assumes that the shares sold came from the earliest purchase. Therefore, the cost basis of the 50 shares is:

(50/100) * $18,000 = $9,000

The amount realized from the sale of the 50 shares is $7,000. Therefore, the recognized loss is:

$7,000 - $9,000 = -$2,000

Since the recognized loss is negative, it means that there is no recognized gain or loss on the sale of the 50 shares. Instead, there is a loss that can be used to offset other gains or reduce taxable income.

The cost basis of the 25 shares that were purchased 15 days later is:

(25/100) * $18,000 = $4,500

Since the remaining 25 shares have not been sold, there is no recognized gain or loss on them yet.

Therefore, the amount of the taxpayer's recognized gain or loss is a loss of $2,000 on the sale of the 50 shares.

The amount of the taxpayer's recognized gain or loss is 750.$

The given problem can be solved as follows:

Purchased 100 shares of eastern corp. stock for $18,000 on April 1 of the prior year.

Cost per share = $18000/100 = $180.00

On February 1 of the current year, 50 shares of eastern were sold for $7,000.

Average cost per share for 100 shares = $180.00

Total cost of 100 shares = $18,000Total cost of 50 shares = $180.00 x 50 = $9,000

Total cost of remaining 50 shares = $18,000 - $9,000 = $9,000Total sale proceeds for 50 shares = $7,000

Gain or Loss = Sale Proceeds - Total cost of shares= $7,000 - $9,000= -$2,000

Since it is a loss, there is no recognition of a loss until all shares have been sold.Fifteen days later, the taxpayer purchased 25 shares of eastern for $3,750.

Average cost per share for 125 shares = $21,750 / 125 = $174.00 ($21,750 is obtained by adding $18,000 and $3750)

The cost of 25 shares purchased = 25 x $174.00 = $4,350Gain or loss on these 25 shares can be calculated as follows:

Sale price on these 25 shares = Cost + Gain$3,750 = $4,350 + GainGain = $3,750 - $4,350= -$600

Since the gain is negative, there is no recognition of a gain.

Total Gain/Loss= $0 - $2,000 - $600= -$2,600

There is a loss of $2,600, which is not recognized until all shares have been sold.

The recognized gain or loss is the gain or loss upon the sale of the final shares from the lot of 100 shares.

Total number of shares sold = 75 (50 shares sold initially and 25 shares sold later)

Total cost of shares = 100 x $180.00 = $18,000

Total cost of remaining shares = $18,000 - $9,000 - $4,350 = $4,650

Total proceeds from sale of shares = $7,000

Total recognized gain/loss = (Proceeds - Cost) x (Number of shares sold / Total number of shares)= ($7,000 - $4,650) x (75/100)= $2,350 x 0.75= $1,762.50

Therefore, the amount of the taxpayer's recognized gain or loss is $750.

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firms usually offer their customers some form of trade credit. this allowance comes with certain terms of credit, which affect the cost of asset of sale for the buyer as well as the seller.cold duck manufacturing inc. buys on terms of 4/10, net 60 from its chief supplier.if cold duck receives an invoice for $2,100.98, what would be the true price of this invoice?

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The true price of the invoice for Cold Duck Manufacturing Inc. is $2,016.94.

To find the true price of the invoice for Cold Duck Manufacturing Inc., we need to calculate the discount based on the terms of 4/10, net 60.

1. Identify the credit terms:

4/10 means a 4% discount if the invoice is paid within 10 days, and net 60 means the full amount is due within 60 days.

2. Determine the discount:

Since Cold Duck has the option to pay within 10 days and receive a 4% discount, we need to calculate the value of this discount.

Discount = Invoice amount * Discount percentage

Discount = $2,100.98 * 0.04 = $84.04

3. Calculate the true price:

To find the true price of the invoice, we need to subtract the discount from the invoice amount.

True price = Invoice amount - Discount

True price = $2,100.98 - $84.04 = $2,016.94

So, the true price of the invoice for Cold Duck Manufacturing Inc. would be $2,016.94 if they pay within 10 days.

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walgreen company (nyse: wag) is currently trading at $48.50 on the nyse. walgreen company is also listed on nasdaq and assume it is currently trading on nasdaq at $48.75. does an arbitrage opportunity exists and if so how would you exploit it and how much would you make on a block trade of 100 shares?

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Based on the given information, an arbitrage opportunity exists since the same stock is trading at different prices on different exchanges.

To exploit this opportunity, an investor could buy 100 shares of Walgreen Company on the NYSE for a total cost of $4,850 and simultaneously sell 100 shares of Walgreen Company on the NASDAQ for a total revenue of $4,875. This would result in a profit of $25 for the investor.

However, it is important to consider any transaction costs or fees associated with buying and selling the stock on both exchanges. If these costs are high, they could eat into the total revenue and make the arbitrage opportunity less attractive or even unprofitable.

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the monopolist's demand curve is group of answer choices upward sloping. perfectly elastic. perfectly inelastic. downward sloping.

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Answer:

The demand curve for a monopolist is downward sloping because the marginal revenue is less than the price at every level of output. Therefore, the marginal revenue curve remains below the average revenue curve. The demand curve is the average revenue curve in the monopoly market.

The monopolist's demand curve is downward sloping.

The demand curve of the monopolist is downward sloping.A monopoly is a market structure in which a single supplier or a group of suppliers have full control over a commodity or service. In a monopoly, the firm is the sole supplier of a commodity, and hence there are no close substitutes available for that commodity.

This means that the monopolist's demand curve is downward sloping, since the monopolist has market power that allows them to influence the price of the commodity they produce.As a result, the monopolist may decide to charge a higher price to increase profits since there are no close substitutes available for that commodity, which may cause consumers to shift to the monopolist's product if the price is not too high.In conclusion, the monopolist's demand curve is downward sloping.

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in 1977, kenneth h. olsen, then president of digital equipment corp., announced that there was no reason for individuals to have a computer in their home. long since disproven, this is an example of

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In 1977, Kenneth H. Olsen's statement about there being no reason for individuals to have a computer in their home is an example of underestimation of uncertainty. Therefore, the correct option is C.

The statement that Kenneth H. Olsen, the then president of Digital Equipment Corp. made in 1977 can be categorized under underestimation of uncertainty. Underestimation of uncertainty is a term used in decision making to explain the act of underestimating the magnitude or probability of uncertain events. This occurs when the available information on the event is either inadequate or not properly analyzed.

Therefore, Olsen's claim is disproven, which is a reflection of his underestimation of uncertainty. This is because he failed to foresee the potential and importance of personal computers in people's daily lives. Hence, option C is the correct answer.

Note: The question is incomplete. The complete question probably is: In 1977, Kenneth H. Olsen, then president of Digital Equipment Corp., announced that there was no reason for individuals to have a computer in their home. Long since disproven, this is an example of A. overestimation of uncertainty. B. excellent forecasting. C. underestimation of uncertainty. D. good prediction skills.

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are americans becoming ruder in their interactions with one another in the business environment? explain and document your reasoning using scholarly and peer reviewed journal articles and/or texts.

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According to a survey conducted by Weber Shandwick and Powell Tate, a significant percentage of Americans believe that the US has become less civil in recent years.

The survey showed that 70% of Americans believe that incivility in the workplace has reached crisis levels, and 60% believe that it has significantly worsened in the past few years. The survey also found that incivility in the workplace is not only unpleasant but also affects employee productivity, engagement, and loyalty to the company.

Therefore, it is important for companies to promote a culture of civility in the workplace, not only to improve employee satisfaction and retention but also to enhance the overall productivity and success of the organization.

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frank receives a proportionate current (nonliquidating) distribution from the aef partnership. the distribution consists of $10,000 cash and property (adjusted basis to the partnership of $54,000 and fair market value of $60,000). immediately before the distribution, frank's adjusted basis in the partnership interest was $50,000. his basis in the noncash property received is:

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When Frank receives a proportionate current (nonliquidating) distribution from the AEF Partnership, the basis in the noncash property received is $40,000. Therefore, the correct option is B.

Non-liquidating distribution can be defined as a process in which a partner receives his share of partnership assets on a proportionate basis when he is in the process of retiring or selling his interest in the partnership. A non-liquidating distribution has no immediate impact on the partnership's operations, whereas a liquidating distribution usually indicates that the partnership is going out of business

The basis in the noncash property received by Frank in the proportionate current (nonliquidating) distribution from the AEF Partnership is:

Step 1: Determine Frank's basis reduction due to the cash distribution.

Frank's adjusted basis in the partnership interest before the distribution was $50,000. He received $10,000 in cash, so his basis is reduced by $10,000.

New basis in partnership interest = $50,000 - $10,000 = $40,000.

Step 2: Determine the basis of the noncash property received.

Frank's basis in the noncash property received is equal to his remaining basis in the partnership interest after the cash distribution. In this case, that is $40,000.

So, the basis in the noncash property received is b. $40,000.

Note: The question is incomplete. The complete question probably is: Frank receives a proportionate current (nonliquidating) distribution from the AEF Partnership. The distribution consists of $10,000 cash and property (adjusted basis to the partnership of $54,000 and fair market value of $60,000). Immediately before the distribution, Frank's adjusted basis in the partnership interest was $50,000. His basis in the noncash property received is: a. $0. b. $40,000 c. $50,000. d. $54,000. e. $60,000

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what is the best method for communicating with responders and emergency management? a. cert damage assessment form b. any written documentation that denotes what happened c. the method specified by the emergency management plan or sponsoring agency d. any cert-specific forms

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The best method for communicating with responders and emergency management is option (c) the method specified by the emergency management plan or sponsoring agency

The best method for communicating with responders and emergency management depends on the specific emergency management plan or sponsoring agency. Each agency or organization may have its own communication protocols and procedures that are tailored to their specific needs and resources.

It is important to follow the established communication procedures to ensure that accurate and timely information is transmitted to the appropriate responders and emergency management personnel. This can help to ensure that the appropriate resources are deployed and that response efforts are coordinated effectively.

While written documentation, such as the CERT damage assessment form or other CERT-specific forms, may be useful for documenting the situation and tracking progress, they should not be relied upon as the primary means of communication with responders and emergency management.

Therefore, the correct option is (c) the method specified by the emergency management plan or sponsoring agency

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albert's printing and pressing company is a t-shirt printing shop with four processes: printing (p1), pressing (p2), sealing (s), and finishing (f). the arrival time and processing sequence for three upcoming jobs is shown below. job arrival time processing sequence (processing time in minutes) 1 0 p1(10), p2(20), s(15), f(10) 2 10 p1(10), p2(10), s(15) 3 20 p1(20), s(5), f(10) using the fno rule, what scheduling decision should the dispatcher make at time 45?

Answers

The  scheduling decision should the dispatcher make using  FNO (First Non-delayed Operation) rule at time 45 is processing Job 3's first operation, P1(20).

According to the information provided,

The jobs and their respective arrival times and processing sequences are as follows,

Job 1,

Arrival time = 0, Processing sequence = P1(10), P2(20), S(15), F(10)

Job 2,

Arrival time = 10, Processing sequence = P1(10), P2(10), S(15)

Job 3,

Arrival time = 20, Processing sequence = P1(20), S(5), F(10)

Using the FNO (First Non-delayed Operation) rule,

The dispatcher should prioritize the jobs based on the processing time of their first operation that has not yet started.

At time 45, Job 1 has already arrived and started processing its first operation, P1(10), which has a remaining processing time of 10 minutes.

Job 2 has also arrived and started processing its first operation, P1(10), which has a remaining processing time of 10 minutes.

Job 3 has arrived but has not yet started processing its first operation, P1(20).

Based on the FNO rule, the dispatcher should prioritize Job 3 as it has the highest remaining processing time for its first operation.

Therefore, the scheduling decision at time 45 should be to start processing Job 3's first operation, P1(20).

As it has not yet started and has the highest remaining processing time among the three jobs.

Once Job 3's P1(20) is started, Job 1's P1(10) and Job 2's P1(10) will be the next priority, respectively.

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mr. denniston owns a mid-sized business. he sets wages based on the contribution that the employee makes to the business. mr. denniston subscribes to which theory of inequality?

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Mr. Denniston's approach to setting wages based on employee contributions aligns with the contribution theory of wages, which values the contributions that employees make to a business above other factors like seniority or education level.

In the case of Mr. Denniston, who owns a mid-sized business and sets wages based on employee contributions to the business, he subscribes to a theory of inequality known as the contribution theory of wages. This theory suggests that wages should be based on the value that an employee adds to a business rather than being tied to factors like education level or seniority.

The contribution theory of wages is often contrasted with other theories of inequality, such as the seniority or merit-based systems. These alternative theories may reward employees who have been with a company for a long time or those who have certain degrees or certifications, even if they may not be adding as much value to the business as other employees.

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what provided the stimulus for the development of management theory during the industrial revolution?

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The Industrial Revolution provided the catalyst for the development of management theory by highlighting the importance of effective management in improving organizational performance and achieving competitive advantage.

The Industrial Revolution, which began in the late 18th century and continued into the 19th century, marked a period of significant economic, social, and technological change. The emergence of factories and mass production methods created a need for more efficient and effective ways of managing labor and resources. This provided the stimulus for the development of management theory.

During this time, many early management theories were developed, including scientific management, administrative management, and bureaucratic management. These theories sought to improve the efficiency and productivity of organizations by emphasizing the importance of planning, organizing, controlling, and coordinating work activities.

One of the key drivers of the development of management theory during the Industrial Revolution was the need to increase productivity and efficiency. Factory owners and managers were faced with the challenge of managing large numbers of workers and coordinating complex production processes. This led to a greater focus on standardization, specialization, and the use of technology to streamline work processes.

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managed care refers to the cost management of health care services utilization by controlling who the consumer sees and how much the service cost. question 7 options: a) true b) false

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By limiting who a client sees and how much a service costs, managed care refers to the cost management of health care service use. true

Whether a business is a for-profit enterprise, a public institution, or a nonprofit, management is the administration of a corporation. It involves both the art and science of resource management for a business. Determining an organization's strategy and supervising employee efforts to achieve goals through utilising resources, such as financial, natural, technological, and human resources, are both parts of management.In management, the expressions "run the business" and "change the business" are used to demarcate between continuing to provide goods or services and customizing the same goods or services to meet changing client expectations - see trend. Managers, who are in charge of overseeing a business, are also referred to as "management." Some college students major in management.

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the downward-sloping portion of the long-run average cost curve is a result of multiple choice economies of scale. constant returns to scale. diseconomies of scale. decreasing marginal productivity.

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In economics, the long-run average cost (LRAC) curve is a graphical representation of the relationship between the average cost per unit of output and the level of output over a long period of time.

It demonstrates the lowest possible average cost at which a firm may produce any given quantity of output in the long run. The long-run average cost curve is U-shaped, with a decreasing segment and an increasing segment, indicating the existence of economies of scale and diseconomies of scale, respectively. As a result, the downward -sloping portion of the long-run average cost curve is a result of decreasing marginal productivity. Marginal productivity is a measure of the rate at which an additional worker contributes to output.

Diminishing marginal productivity occurs when adding more workers to a fixed amount of capital leads to a smaller increase in output per worker. This causes the average cost to rise, resulting in the downward slope of the long-run average cost curve.

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which of the following is not accomplished by accounting? communicates business activities. eliminates the need for interpreting financial data. helps people make better decisions. records business activities. identifies business activities.

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The statement "eliminates the need for interpreting financial data" is not accomplished by accounting.

In fact, accounting involves the process of collecting, recording, analyzing, and interpreting financial information related to business activities. The primary objective of accounting is to provide accurate and relevant financial information to various stakeholders such as investors, creditors, management, and regulatory bodies, to help them make informed decisions.

While accounting does provide a structured way of presenting financial data and helps people make better decisions by providing relevant and reliable financial information, it does not eliminate the need for interpreting such data. Interpreting financial data is essential to understanding the financial health of a business and making informed decisions based on that information.

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suppose the cpi in 2020 is 140 and the cpi in 2021 is 164. from 2020 to 2021, jenny's salary rises from $43,000 to $48,000. did jenny's real income increase?

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Yes, Jenny's real income increased by 11.43%

To measure this, we have to adjust her salary for the change in the Consumer Price Index (CPI). The CPI represents the cost of goods and services in a given year, so if it rises between two years, it means that goods and services cost more. From 2020 to 2021, the CPI increased by 24 points--from 140 to 164.

Her salary rose by 11.43% (48,000/43,000 - 1 = .1143 or 11.43%), while the CPI increased by 17.86% (164/140 - 1 = .1786 or 17.86%).

Therefore, her real income has risen as her salary increase exceeded the rise in the cost of living.

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okafor design has equity of $168,500, total assets of $195,000, net income of $63,000, and dividends of $37,800. what is the sustainable growth rate?

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The correct answer is option C. Okafor Design has equity of $168,500, total assets of $195,000, net income of $63,000, and dividends of $37,800. So, the sustainable growth rate is 14.33%.

The sustainable growth rate is computed by dividing the equity by the net income less dividends.

The equation in this situation would be ($63,000 - $37,800) / $168,500 = 0.1433, or 14.33%.

The amount of sustainable growth that the company can anticipate achieving using its current resources is represented by this calculation.

This suggests that the company may anticipate to grow at a 14.33% yearly rate without incurring further debt or equity investment.

Hence, the sustainable growth rate for Okafor Design is 14.33%.

Complete Question:

Okafor Design has equity of $168,500, total assets of $195,000, net income of $63,000, and dividends of $37,800. What is the sustainable growth rate?

Group of answer choices

A. 21.60%

B. 12.76%

C. 14.33%

D. 1750%

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a woman paid cash for a 60-acre lemon grove in citrus county. the estate is for an indefinite period of time. the woman does not own which type of estate in the property?

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The woman who paid cash for the 60-acre lemon grove in Citrus County has a fee simple estate in the property

In real estate, an estate refers to the degree, quantity, nature, and extent of interest a person has in real property. There are several types of estates, including fee simple, life estate, leasehold estate, and others.

A fee simple estate, also known as a fee simple absolute or fee ownership, is the most complete form of ownership interest in real property. It gives the owner the highest degree of ownership rights and control over the property. The owner of a fee simple estate has the right to use, occupy, and dispose of the property for an indefinite period of time, subject to any applicable laws or regulations.

In the given scenario, the woman who paid cash for the 60-acre lemon grove in Citrus County has all the ownership interest in the property because she has a fee simple estate. This means that she has complete control over the property and can use, occupy, and dispose of it as she wishes. Therefore, she is not missing any type of estate in the lemon grove

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in the context of decision making process, after a solution is implemented, the next step is to:group of answer choicesrecognize the need for a decisionevaluate alternative courses of actionmonitor the situationcalculate the probability of success

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In the context of the decision-making process, after a solution is implemented, the next step is to: "monitor the situation" (option c).

A decision-making process is a sequence of actions taken to determine the best way to solve an issue or make a choice. It includes collecting data, analyzing the data, and selecting the best course of action in a logical order. The steps in the Decision-Making Process are as follows:

1. Identify the problem or issue.

2. Collect data, opinions, and feedback from others.

3. Create alternative courses of action.

4. Consider each course of action's potential advantages and disadvantages.

5. Choose the best alternative, the one with the highest positive outcomes.

6. Implement the solution, which involves making a decision.

7. Monitor the situation to make sure the solution works.

8. Re-evaluate the situation if the solution does not work.

Option C is the correct answer.

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the internal rate of return (irr) of a capital investment . group of answer choices changes when the cost of capital changes must exceed the project cost of capital to make the investment financially acceptable measures the dollar profitability of a project

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The internal rate of return (IRR) is not a measure of dollar profitability, as it does not account for the absolute size of the cash inflows or outflows.

The IRR is the discount rate that equates the present value of a project's cash inflows to the initial investment. The IRR takes into account the time value of money and provides a measure of the project's profitability. It is expressed as a percentage rate of return, and a higher IRR indicates a more profitable project.

The IRR is affected by changes in the cost of capital. As the cost of capital increases, the IRR decreases, making the project less financially acceptable. On the other hand, if the project's IRR exceeds the cost of capital, the investment is considered financially acceptable.

The IRR is not a measure of dollar profitability, as it does not account for the absolute size of the cash inflows or outflows. Rather, it provides a relative measure of the profitability of the investment, based on the percentage rate of return.

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