The elasticity of housing expenditures is 0.98. It is calculated as follows:
Elasticity of housing expenditures = (Change in housing expenditures)/(Change in income)
The elasticity of housing expenditures is the percentage change in housing expenditures that results from a 1% change in income. It is calculated as follows:
Elasticity of housing expenditures = (Change in housing expenditures)/(Change in income)
In this case, the change in housing expenditures is 180 million $ and the change in income is 420 million $. Therefore, the elasticity of housing expenditures is:
Elasticity of housing expenditures = (180 million $)/(420 million $) = 0.43
This means that a 1% increase in income will lead to a 0.43% increase in housing expenditures.
However, the elasticity of housing expenditures can be calculated using the estimated equation as follows:
Elasticity of housing expenditures = 41727767/(420 million $) = 0.98
This means that a 1% increase in income will lead to a 0.98% increase in housing expenditures.
It is important to note that the elasticity of housing expenditures is not constant. It can vary depending on a number of factors, including the level of income, the price of housing, and the availability of housing.
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what is working capital?
An item is regularly priced at 70$. It is on sale for 20% off the regular price. What is the sale price?
ITS 7TH GRADE MATH BTW!
Answer:
it's 56.
Explanation:
70*0.8=56
In a Oligopoly industry ___________ firms will be able to operate successfully because each must have a significant portion of the market to reduce manufacturing costs.
In an oligopoly industry, only a few firms will be able to operate successfully because each must have a significant portion of the market to reduce manufacturing costs.
The limited number of firms in an oligopoly allows them to have more control over the market. This control often leads to an interdependent relationship among the firms, where their actions directly impact the strategies and decisions of their competitors.
By having a significant market share, firms in an oligopoly can benefit from economies of scale, which result in lower per-unit manufacturing costs. This is because larger production volumes allow for better utilization of resources and the spreading of fixed costs. As a result, firms can offer their products at competitive prices, which can attract more customers and further solidify their market position.
However, it is important to note that even though oligopoly firms operate successfully, they must still navigate the complexities of competition and strategic decision-making in order to maintain their market share.
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5. Student loans typically offer higher interest rates, no deferred payment options, and no grace period following graduation.
True
False
Answer:
True
Explanation:
belkin incorporated has 100,000 shares of $3 par value common stock outstanding. belkin declares a 40% stock dividend on march 2 when the stock’s market value is $72 per share. prepare the journal entry for declaration of the stock dividend.
Upon declaration of stock dividend, Belkin Inc. must record the following journal entries as follows:
Journal entry :
1. Retained Earnings (100,000 shares x 40% x $72) Dr. $2,880,000
To Common Stock Dividend Distributable $2,880,000
2. Common Stock Dividend Distributable Dr. $2,880,000
To Common Stock (100,000 shares x 40% x $3) $120,000
To Additional Paid-in Capital $2,760,000
(100,000 shares x 40% x ($72 - $3)
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important of doctor any five
Answer:
saving life, extending life, humanitarian work, controlling epidemic and conducting research
firmographics consist of the company size, location, and objective. group startstrue or falsetrue, unselectedfalse, unselected
The given statement "firmographics consist of the company size, location, and objective" is true as Firmographics, often known as company demographics, are categories of traits used to categorize potential employers.
Company size and location are two common firmographics. Firms can carefully evaluate the characteristics of organizational behavior, for example in a certain sector, using firmographics factors. When operational variables, purchasing strategy, environmental conditions, and consumer personal qualities are similar, it is useful.
Firmographic data, or details about a company's essential traits, may be utilized to pinpoint market niches and obtain understanding of the requirements and preferences of these businesses. In order to assess B2B audiences based on their characteristics, firmographic data is collected, much like other major kinds of segmentation. This makes it much simpler to target, tailor, advertise, and find high-value consumers.
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The complete question is, " Firmographics consist of the company size, location, and objective. True or False."
Selected operating data for two divisions of Outback Brewing, Ltd., of Australia are given below (the currency is the Australian dollar, denoted here as $): Division
Queensland New South
Wales
Sales $4,000,000 $7,000,000
Average operating assets $2,000,000 $2,000,000
Net operating income $360,000 $420,000
Property, plant, and equipment (net) $950,000 $800,000
Requirement 1:
Compute the rate of return for each division using the return on investment (ROI) formula stated in terms of margin and turnover.
ROI
Queensland ?
New South Wales ?
Requirement 2:
Which divisional manager seems to be doing the better job?
The New South Wales divisional manager seems to be doing the better job by generating a higher ROI, or return on investment.
Requirement 1:ROI Queensland ROI = Margin × Turnover
Margin = Net operating income / Sales= 360,000 / 4,000,000= 0.09 (or 9%)
Turnover = Sales / Average operating assets= 4,000,000 / 2,000,000= 2.0
ROI = Margin × Turnover= 0.09 × 2.0= 0.18 (or 18%)
New South Wales ROI = Margin × TurnoverMargin = Net operating income / Sales= 420,000 / 7,000,000= 0.06 (or 6%)
Turnover = Sales / Average operating assets= 7,000,000 / 2,000,000= 3.5
ROI = Margin × Turnover= 0.06 × 3.5= 0.21 (or 21%)Requirement 2:New South Wales has a higher ROI, at 21%, compared to Queensland, which has an ROI of 18%.
Therefore, the New South Wales divisional manager seems to be doing the better job by generating a higher ROI, or return on investment.
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The term used to describe a debt secured by a bidder for the purpose of providing a guarantee that the successful bidder will accept the contract once awarded, is known as.
A bid bond is a debt secured by a bidder for the purpose of providing a guarantee that the successful bidder will accept the contract once awarded.
What is a bid bond?A bid bond is a guarantee that ensures that approved bidded contractors starts and finishes a job. This type is usually called a construction bond aimed at protecting the owner or developer usually in a construction bidding process.
With this bid bond, the successful bidder will know that the developer is under a financial security and will ensure he follows due processes according to the contract.
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Udi's Gluten Free sells bread, bagels, cookies, pizza crust, and other products that are gluten free. The combination of all the products that Udi's Gluten Free sells is referred to as its
Answer:
Product mix
Explanation:
Product mix is the complete or total set of products or product lines offered by a company to consumers. Product mix can also be defined as the total number of similar manufactured items or products produced by a manufacturing company that is offered for sale it can also be referred to as product portfolio. There are four major dimensions of product mix, that include: width, consistency, depth and length.
Therefore, the combination of all the products that Udi's Gluten Free sells is referred to as its product mix.
ABC Ltd had investment of Rs 68,000 as on 31.3.2013 and investment of Rs 56,000 as on 31.3.2014. During the year ABC Ltd sold 40% of its investments being held in the beginning of period at a profit of Rs 16,800. Determine cash flow from investing activities.
ABC Ltd had investment of Rs 68,000 as on 31.3.2013 and investment of Rs 56,000 as on 31.3.2014. the cash flow from investing activities was Rs 44,000.
What are investing activities.?Generally, Investing activities are actions taken by a business or individual to acquire or dispose of assets in order to increase their wealth. These activities can include the purchase of stocks, bonds, mutual funds, real estate, or other types of investments. Investing activities are typically undertaken with the goal of generating income or capital appreciation over time.
To determine the cash flow from investing activities, we need to calculate the amount of cash that ABC Ltd received from selling its investments.
The investment at the beginning of the period was Rs 68,000. If 40% of this investment was sold, then the amount sold was 40/100 * Rs 68,000 = Rs 27,200.
The profit from the sale of these investments was Rs 16,800, so the total cash received from the sale was Rs 27,200 + Rs 16,800 = Rs 44,000.
Therefore, the cash flow from investing activities was Rs 44,000.
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Question 8
It's is almost impossible to buy a house these days without a sizeable down
payment.
True.
False
Answer:
True
Explanation: You need to pay at least 20% down.
*
Every year,
large public corporations commit fraud.
3 out of 7
5 out of 7
O
1 out of 7
4 out of 7
Which is an example of a small business showing social responsibility to individuals within the company?
A. starting an office recycling program
B. developing sustainable business practice
C. donating money to local organizations
D. allowing employees to work from home
Starting an office recycling program, developing sustainable business practice and donating money to local organizations are examples of a small business showing social responsibility to individuals within the company.
Company have a social responsibility to the communities in which they operate. This includes ensuring that they are good corporate citizens, providing support for local causes and charities, and protecting the environment.
Sustainable business is a term that is often used to describe businesses that are environmentally friendly or that have a positive social impact.
Hence, the correct options are "A, B & C".
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the sales department at a local company determines that product a will moderately boost sales and have a shorter production schedule, so it is decided that this product will be manufactured and sold without considering other options. in choosing this product, the sales department is
The action that is been taking by the sales department when they are determining the kind of product that will bring about sales boost with their shorter production schedule and manufacturing of product is Satisficing.
Satisficing can be regarded as a decision-making strategy that is carried out for satisfactory or adequate result.This done as opposed to the optimal solution, satisficing involves taking pragmatic effort to face a task.Therefore, satisficing is correct answer.
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In business process management (BPM), an as-is model ________.
A. represents the ideal state of a business process
B. represents the desired state of a business process
C. predicts the likely future state of a business process
D. documents the existing business process
E. contrasts the former and current states of a business process
In business process management (BPM), an as-is model documents the existing business process.
What is an as-is model?Both as-is and to-be maps show where your processes are now at. The as-is phase describes the state of your processes as they stand right now, including any holes or problems with the way things are done. The process management to-be phase can be started once you have that drawn out.The method, culture, and capabilities of the organization are described in the As-Is diagram.In business process management (BPM), an as-is model documents the existing business process.
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If you have $35 in your checking account and swipe your debit card for a $50 purchase WITH overdraft protection, what most likely happens? *
I will give u a Brainliest
According to the condition, it will happens you can make the purchase, but you will also be charged an overdraft fee.
What do you mean by overdraft protection?A checking account's overdrafts are covered via an agreement made with the bank or other financial institution known as overdraft protection. This service normally has a cost attached to it, usually up to a predetermined maximum.
Even if there isn't enough money in your bank account, overdraft protection ensures that transactions still go through. Checks, ATM withdrawals, and debit card transactions are typically covered by this insurance.
The recipient won't be aware of your low bank balance thanks to overdraft protection, which also ensures that urgent transactions go through.
Therefore, if you have $35 in your checking account and swipe your debit card for a $50 purchase with overdraft protection, it will happens you can make the purchase, but you will also be charged an overdraft fee.
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the segmented markets theory suggests that although investors and borrowers may normally concentrate on a particular natural maturity market, certain events may cause them to wander from it. group of answer choices true false
The segmented markets theory suggests that although investors and borrowers may normally concentrate on a particular natural maturity market, certain events may cause them to wander from it. - False
According to the notion of segmented markets, there are many diverse agents in the bond market, each with its own income requirements. As a result, depending on their need for income, various bond market agents invest in various components of the term structure. According to the notion of segmented markets, investors and borrowers may focus on a specific natural maturity market but are unable to switch to another market even if certain circumstances arise quickly.
According to the hypothesis, various debt securities markets, including the short-term and long-term markets, operate as separate and distinct markets. A change in supply or demand in one market may not always cause a corresponding change in another since each market has its unique set of demand and supply elements. Because of transaction costs, information asymmetry, and other market frictions, investors and borrowers could find it difficult to switch markets even if certain circumstances make them reevaluate their choices.
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taylor corp. rents a warehouse where it conducts a small manufacturing operation. as a condition of its lease, it pays a fire insurance premium. taylor needs more room and rents larger quarters. taylor then subleases its old warehouse to mack. taylor also assigns its already-paid insurance policy to mack. this action is:
This action is known as an insurance policy transfer or an insurance policy assignment. An insurance policy transfer or assignment is the act of transferring or assigning the rights and obligations under an insurance policy from one party to another.
In this case, Taylor Corp. is transferring or assigning its already-paid insurance policy to Mack, along with the rights and obligations associated with that policy. As a result, Mack will now be responsible for paying the insurance premium and will be entitled to any benefits or coverage under the policy. This is a common practice in business transactions, especially when one party is subleasing or renting property from another party.
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How do the events of the nation affect the national debt?
Answer: Growing debt has a direct effect on economic growth and the opportunities available to every individual in the country. If excessive levels of debt crowd out private or public or mutual investments in capital goods or works, workers would have less to use and get from their jobs, which would translate to lower productivity work and, therefore, lower wages in multiple aspects of the country's work done. High levels of debt would affect many other aspects of the economy in the future. For eq, higher interest rates result from increased borrowing from multiple agencies and invite under the various segments of college education house loan work loan. Less education and work opportunities will need skills up for various degrees and work to be followed under any scheme.
Explanation:
If we fail to act before a stipulated time the long time fiscal challenges will remain unaddressed and unchanged. The economic crisis and the overall economic environment weaken as confidence suffers, the access to capital funds gets reduced, interest costs crowd out key investments in our future, the conditions for growth deteriorate, and our nation is put at greater risk of economic crisis. If our long-term fiscal imbalance is not addressed, our future economy will be minimized, with fewer economic opportunities for families and workers down there in their own country.Which Type of account is used to store money for longer periods of time and is more likely pay interest to the account holder?
O Checking Account
O Savings Account
Answer:
Saving account
Explanation:
A savings account is an interest-bearing deposit account held at a bank or other financial institution. Though these accounts typically pay a modest interest rate, their safety and reliability make them a great option for parking cash you want available for short-term needs.
PLEASE MARK ME AS BRAINLIESTThe apple computer became very popular. what was its largest market, and what software made it interesting to the market?
The largest market for the Apple computer was the education sector. The software that made it interesting to this market was its intuitive and user-friendly graphical user interface (GUI), which was introduced with the Macintosh.
What features of the Apple computer and its software appealed to the education sector?Apple's GUI and its integration of various software applications made it particularly appealing to the education sector. The graphical user interface provided a visually intuitive way of interacting with the computer, making it easier for students and teachers to navigate and use the system effectively. The Macintosh, with its built-in monitor and compact design, was also well-suited for classroom environments.
In addition to the hardware, Apple developed and provided software that catered specifically to educational needs. One notable software was HyperCard, a hypertext-based programming tool that allowed users to create interactive presentations, simulations, and educational content. HyperCard empowered educators to develop engaging and interactive lessons, providing a dynamic learning experience for students.
Apple's commitment to education extended beyond just hardware and software. The company actively worked with schools, offering discounts and establishing partnerships to ensure accessibility to their products. Apple's focus on education, combined with its user-friendly interface and innovative software, made it the preferred choice for many educational institutions.
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What are the risks and benefits of implementing a penetration pricing policy as compared to a competitive pricing policy?
Answer:
Penetration pricing is a pricing strategy where a company charges less than its competitors in order to entice its competitors' customers to patronise them instead.
Competitive pricing on the other hand will see a company charging the same price as its competitors.
Benefits of using Penetration pricing over Competitive
Reduce competition - If the company engaging in penetration pricing is large enough with more influence in the market, charging less than competitors might lead to competitors leaving the market as the prices will be too meagre for them to cover costs. Market Dominance - using penetration pricing can lead to customers moving from the competitors to the company using penetration pricing thereby giving that company market dominance. Economies of scale - Penetration pricing allows the company to sell more quantity of its product which means that it will have to produce more and this will reduce average costs for the company.Risks involved
Price War - There is a risk of a price war if a company uses penetration pricing. A price war happens when a company reduces its prices and their competitors react by reducing their own prices as well. It might led to a situation where this continues until all the companies are making significant losses. Brand Image damage - Cheaper products are usually perceived as having lower quality. Reducing prices might see customers believing instead that the brand is poor and so they may avoid it. Attracts low loyalty - The customers gained through this strategies most often have little brand loyalty and when a better deal comes than the one they are being offered in that moment, they will leave.what climate and growing conditions do sugar beets and sugar cane require
Answer:
it requires a tropical or subtropical climate with a minimum of 600mm of annual
Why is fashion designer Kira's Plasinina father important
a. He is a businessman who helped her achieve her goals .
b. He liked her drawings .
c. He funded her ventures.
d. He was her inspiration
Nathan wants a formula to return "YES" if the value in cell A1 is less than the value in cell B1, and to return "No" otherwise. Which of the following functions should he use?
Answer:
IF function
Explanation:
The options to the question are missing; however, I'll assume the question related to Microsoft Office Excel.
To do the task in the question, Nathan can only make use of the IF function.
This is so, because the question relates to conditional statement.
The full if statement is:.
=IF(A1 < B1, "YES","NO")
Based on the following information, what is the quick ratio? Cash $9,800 Accounts Receivable $5,600 Inventories $8,400 Prepaid Expenses $6,000 Building $250,000 Equipment $175,000 Accounts Payable $5,300 Wages Payable $4,900 Current Portion, Long-term Debt $32,500 Long-term Debt $225,100 Owner's Equity $187,000 Select one: a. 0.36:1 О b. 0.70:1 O C. 1.51:1 о d. 1.70:1 OL
The quick ratio is 0.36:1. Therefore, the correct option is A.
To calculate the quick ratio, we use the following formula:
Quick Ratio = (Cash + Accounts Receivable) / Current Liabilities
It is provided that:
Cash = $9,800
Accounts Receivable = $5,600
Accounts Payable = $5,300
Wages Payable = $4,900
Current Portion, Long-term Debt = $32,500
In order to calculate the quick ratio, follow these steps:1. We need to determine the current liabilities by adding Accounts Payable, Wages Payable, and Current Portion, Long-term Debt:
Current Liabilities = $5,300 + $4,900 + $32,500 = $42,700
2. We add Cash and Accounts Receivable:
Quick Assets = $9,800 + $5,600 = $15,400
3. We can calculate the quick ratio:
Quick Ratio = $15,400 / $42,700 ≈ 0.36:1
The quick ratio based on the provided information is option A: 0.36:1.
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william has just written an e-mail message to his supervisor. before sending it, he wants to make sure that his supervisor will immediately understand the message. what is william checking for? group of answer choices conciseness format design clarity
As William wants to make sure that his supervisor will immediately understand the message, William is checking for clarity. Option D.
Option D is the best answer for William's question, as it provides the clearest explanation of the situation. By making sure that his supervisor will immediately understand the message, William is looking for clarity. This will ensure that his supervisor can make a quick and informed decision.
It ensures William's supervisor will understand the message quickly and clearly.
Clarity refers to making something clear in such a manner that it is easily understood by others. In the scenario mentioned in the question, as William wants that his supervisor immediately understands the message, hence he is adding clarity to the e-mail.
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A lender might investigate a borrower’s personal assets if that borrower was part of which of the following organizations?
General partnership
Corporation
Limited partnership
REIT
In a general partnership, lender checks the personal assets of the borrower.
In a general partnership, the lender checks the personal assets of the borrower.
A general partnership is an organization in which two or more persons come together for the purpose of carrying on a legal business with a view to making a profit. In a general partnership, the lender checks the personal assets of the borrower. In a general partnership, the liability of each partner for the partnership's debts is unlimited. As a result, the lender will investigate the personal assets of all partners in a general partnership in order to determine if they can be used as collateral for the loan.
Personal assets are what the individual partner owns outside of the partnership, such as a car, house, or investments. By checking the personal assets of the borrower, the lender can see if the borrower is in a position to repay the loan if the business fails. This is a critical step in the lending process, as it helps the lender to make a more informed decision about whether or not to approve the loan.
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What is the account balance of Supplies if: Cash = $2,300; Supplies = ??; Equipment = $650; and Liabilities +
Owners' Equity = $4,100
According to this question, with the given data available to us, the account balance of supplies is $1050.
What is the calculation for the same?The information provided gives us the following equation:
Assets = Liabilities + Owners' Equity
We know that:
Cash = $2,300
Equipment = $650
Liabilities + Owners' Equity = $4,100
Therefore:
Assets = Cash + Supplies + Equipment
To find the value of Supplies we can use the equation above and the information provided:
Assets = Liabilities + Owners' Equity
Cash + Supplies + Equipment = Liabilities + Owners' Equity
Supplies = Liabilities + Owners' Equity - Cash - Equipment
Plugging in the numbers:
Supplies = $4,100 - $2,300 - $650
Supplies = $1,050
So the account balance of Supplies is $1,050.
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