Insider trading is the illegal buying or selling of securities based on information that is not public and available to other investors.
The impact of insider trading is significant and far-reaching, affecting not only the financial markets but also the social implications of the individuals and institutions involved.
The implications?Insider trading can have various social implications. Some of the major social implications of insider trading are mentioned below:
Impact on confidence and trust- The most significant social implication of insider trading is that it leads to a loss of confidence and trust in the financial markets. Insider trading can give certain investors an unfair advantage over others, which is perceived as unfair and unethical. This can damage investor confidence and make them less likely to invest in the market.
Impact on integrity and accountability-
Insider trading also undermines the integrity and accountability of the financial markets. Investors expect that the markets are fair and transparent and that everyone is held accountable for their actions.
When insiders engage in insider trading, it shows that the markets are not as transparent and fair as people thought.
Impact on economy-Insider trading can also have an impact on the economy as a whole. It can lead to market distortions that can affect the entire economy, including inflation, unemployment, and economic growth.
For example, if insider trading leads to a stock market crash, it can lead to a reduction in consumer spending, which can impact the economy as a whole.
Impact on law and justice-
Finally, insider trading can have an impact on the law and justice system. Insider trading is illegal, and those who engage in it can face significant penalties, including fines, imprisonment, and forfeiture of profits.
However, it can be difficult to prove insider trading, which can undermine the justice system's ability to hold individuals accountable for their actions .
In conclusion, insider trading can have significant social implications. It can undermine investor confidence, damage the integrity of the financial markets, have an impact on the economy, and affect the law and justice system.
It is important for regulators and market participants to take steps to prevent insider trading and hold those who engage in it accountable.
To know more on insider trading visit:
https://brainly.com/question/31667342
#SPJ11
FINISH THIS SENTANCE
There was this blind man, right? He Was feeling his way down the street with this stick,
Need help with this one.
Anton's gross monthly pay is $1,058.00. If his employer withholds 11% for the monthly federal income tax, how much will be deducted from his paycheck?
Group of answer choices
$941.62
$11.00
$116.38
$11.64
Anton's gross monthly pay is $1,058.00. If his employer withholds 11% for the monthly federal income tax, $116.38 will be deducted from his paycheck.
Define tax?A tax is a mandatory payment or charge levied on individuals or businesses by local, state, and national governments to cover the costs of general government services, goods, and activities.It is derived from the Latin taxare, which means 'to assess'. Previously, English used the related word 'task,' which was derived from Old French.For a time, the terms 'task' and 'tax' were interchangeable, with the first requiring labor and the latter requiring money.The term 'tax' then came to mean something tedious or difficult.Governments levy fees on citizens and businesses to generate revenue, which is then used to meet budgetary demands.This includes financing government and public projects as well as improving the country's business environment to promote economic growth.To learn more about tax refer to:
brainly.com/question/26316390
#SPJ1
bonds are backed by the specific collateral that must be forfeited in the event that the issuing firm defaults is called?
Bonds that are backed by specific collateral that must be forfeited in the event of a default are called secured bonds.
These bonds are backed by specific assets, such as property, equipment, or inventory, that are pledged as collateral to secure the bond. In the event that the issuer defaults on the bond, the bondholders have a legal claim on the collateral and can take possession of it to recoup their investment.
Secured bonds are often considered less risky than unsecured bonds, as the collateral provides an added layer of protection for investors. However, the value of the collateral may not be sufficient to cover the full amount of the bond, and the process of liquidating the collateral can be time-consuming and costly.
Additionally, secured bonds may have lower yields than unsecured bonds, as investors are willing to accept a lower return in exchange for the added security.
Overall, secured bonds can be an attractive investment option for investors looking for a relatively low-risk fixed-income investment. However, investors should carefully evaluate the creditworthiness of the issuer and the value and quality of the collateral before investing in secured bonds.
Learn more about secured bonds at
brainly.com/question/14330609
#SPJ4
Bonds that are backed by specific collateral that must be forfeited in the event of a default are called secured bonds. These bonds are backed by specific assets, such as property, equipment, or inventory,
Secured bonds are often considered less risky than unsecured bonds, as the collateral provides an added layer of protection for investors. However, the value of the collateral may not be sufficient to cover the full amount of the bond, and the process of liquidating the collateral can be time-consuming and costly. Additionally, secured bonds may have lower yields than unsecured bonds, as investors are willing to accept a lower return in exchange for the added security. Overall, secured bonds can be an attractive investment option for investors looking for a relatively low-risk fixed-income investment. However, investors should carefully evaluate the creditworthiness of the issuer and the value and quality of the collateral before investing in secured bonds.
Learn more about bonds here:
brainly.com/question/14330609
#SPJ11
An offeree whose acceptance is not a mirror of the offer has made a counter offer.
True
False
Marginal cost is ______. the cost that can be traced to a specific product another name for the fixed cost per unit the cost incurred to produce one more unit of a product what is given up by selecting one alternative over another
Answer:
the cost incurred to produce one more unit of a product
Explanation:
Marginal cost can be defined as the additional cost that a firm incurs when it produces one additional unit of output.
The marginal cost of a good can be found using the following formula:
Marginal Cost = Change in cost / change in quantity
Jill sold her car to Jake who issued a post-dated check in full payment of the
agreed price. Before the check matures, Jake sold the same car to John who
later sold it to Willie. However, when Jill presented the check for payment,
it was dishonored by the drawee bank for the reason that Jake had already
closed his account even before he issued his check.
Jill filed a case to recover the car from Warren claiming that she had been
unlawfully deprived of it by reason of Jake’s deception.
Will the suit prosper? Why or why not? Explain your answer. Please include the applicable articles.
The suit will not prosper and Jill cannot recover the car from Willie.
No, the suit will not prosper. This is because the sale between Jill and Jake was valid and binding. According to Article 1485 of the Civil Code of the Philippines, "The unpaid seller of goods loses the right of lien thereon and of stoppage in transitu and the right of resale as limited by this Title when he delivers the goods to a carrier or other bailee for the purpose of transmission to the buyer without reserving the ownership in the goods until their price is paid or tendered."
In this case, Jill delivered the car to Jake without reserving the ownership until the check is paid. Therefore, she lost her right of lien and the right of resale. Jake, as the new owner, had the right to sell the car to John, who then sold it to Willie.
Furthermore, Article 1249 of the Civil Code states that "The delivery of promissory notes payable to order, or bills of exchange or other mercantile documents shall produce the effect of payment only when they have been cashed, or when through the fault of the creditor they have been impaired." This means that the check issued by Jake did not produce the effect of payment until it was cashed. However, Jill cannot recover the car from Willie because she lost her right of lien and the right of resale when she delivered the car to Jake without reserving the ownership until the check is paid.
Learn more about suit: https://brainly.com/question/1065754
#SPJ11
How is a game designer different from a writer?
Answer:game desighners are mostly online
Explanation:
which of the following would be the best response a technician should give a customer who inquires about how long it will take to repair their pc?
In view of the technician's evaluation, provide the client with an expected season of culmination. In this way, choice (C) is the exact response.
At the point when a client gets some information about the assessed time for PC fix, the technician should give a reasonable and sensible gauge in light of their evaluation of the issue.
It is the best reaction a technician ought to give a client who asks about what amount of time it will require to fix their PC. By giving an expected season of consummation in light of the technician's evaluation, the client can have a sensible assumption for when their PC will be fixed. This permits the client to design in like manner and decreases vulnerability.
Learn more about technician, from:
brainly.com/question/32830409
#SPJ4
Your question is incomplete, probably the complete question is-
Which of the following would be the BEST response a technician should give a customer who inquires about how long it will take to repair their PC?
A. The technician should ask the customer when they would like the computer to be completed.
B. Inform the customer that others will be helped first, but they will complete the repair as soon as possible.
C. Based on the technician’s assessment, give the customer an estimated time of completion.
D. Ask the customer to check in with the technician daily, until all work is completed.
purchased grooming equipment for $12,700
Answer:
who spends that much-
Explanation:
okay good job on the server Andrew and it they said
A country produces only bananas and robots. If it produced only bananas with all its available resources, it could make 60 million units. If it produced only robots, it would produce 20 million units.
Graph the production possibilities curve for this country, assuming constant opportunity cost between the two goods—place bananas on the vertical axis and robots on the horizontal axis. Indicate a point on your graph, labeled A, that represents full employment and a possible combination in which both goods are being produced.
My Response: Understanding that every 15 million units of bananas equals 5 million units of Robots, now looking at my graph, you can see that the point labeled A means that at full employment, producing 50% of both goods gives you 30 million units of bananas and 10 million units of Robots.
What is this country's opportunity cost for producing a robot? Explain.
My Response: If we divide 60 Million / 20 Million = 3. So the opportunity cost for producing a robot is 3.
What would the area beyond (outside of) the country's PPC represent?
My Response: The area beyond the country’s PPC basically means the country is not able to produce in that area because it doesn't have the resources to do so. It's impossible or currently unattainable with the setup it has. Needs to improve “Factors of Production”
Assume that the country enters a recession. Label a point that could correspond to its output on your graph, labeling it B.
My Response:
Assume that a new fertilizer increases the efficiency of producing bananas. The productive capacity of robots is unaffected. Illustrate the impact of this change on your graph from part (a). Use an arrow to indicate the direction of the change.
My Response:
Another country with constant opportunity cost can produce 80 million units of bananas with all of its available resources or 10 million units of robots with all of its available resources. Calculate the opportunity cost for this country to produce 2 million units of robots.
My Response:
It should be noted that in the PPC, the downward sloping line 'ab' is the production possibility curve.
How to illustrate the information?In the diagram, since point 'A' falls on the PPC itself, it represents the full employment of resources. Point 'A' represents the combination of 30 million bananas and 10 million robots.
Opportunity cost producing a robot = Total bananas possible / Total robots possible
Opportunity cost producing a robot =60/20
Opportunity cost producing a robot = 3 bananas
The area outside PPC represents the unattainable combinations of two goods.
During the recession, the resources are inefficiently used and the production combination is represented by point 'B' which falls below PPC When the production technology improves only for one good and not for the other, the PPC rotates
Marginal opportunity cost of a robot = 80 million bananas / 10 million robots
The marginal opportunity cost of a robot = 8 bananas
Opportunity cost of 2 million robots = 8 bananas × 2 million
The opportunity cost of 2 million robots will be 16 million bananas.
Learn more about PPC on:
https://brainly.com/question/2617319
#SPJ1
Why is a city planner an important career
Answer:
Being a city planner is a very important career since there work affects the city that they are working on. City planners create programs, plan out ways to develop land, plans to place buildings and features. Put in facilities, etc.
In your city, most of the buildings and places where are there neighborhoods. Are most likely the work of a team of city planners. It says it in its name. A city planner is a planner who uses there skills to plan out a city or plan out things in the city. The placements of certain museums or buildings are the result of a city planner.
Hope this helps you! :)
In business, a group of people who work together in an attempt to achieve some specific purpose is known as a(n) _____. Multiple choice question. cadre symposium cohort organization
There are different kinds of firms. In business, a group of people who work together in an attempt to achieve some specific purpose is known as an organization.
What is an organization?An organization is regarded as a combination or a group of people that are said to be working together such as an association, a charity, a union, etc.
The word organization also connote a group or business, or to the process establishing something.
Learn more about organization from
https://brainly.com/question/19334871
During a laboratory investigation, students determined a large block of iron to have a density of 7.75 g/mL. If the block were to be cut in half, what would be the density of the smaller block
When a block of iron is cut in half, the density of the smaller block will remain the same as the density of the larger block. Density is an intrinsic property of a substance and does not change with the size or shape of the object.
In this case, the density of the large block of iron is determined to be 7.75 g/mL. When the block is cut in half, the mass of the smaller block will be half of the original mass, but the volume will also be half of the original volume.
Since density is calculated as mass divided by volume, if both the mass and volume are halved, the ratio of mass to volume (density) will remain constant. Therefore, the density of the smaller block after it is cut in half will still be 7.75 g/mL.
To summarize, the density of the smaller block of iron remains the same as the density of the larger block, regardless of the size or shape of the object.
Click the below link, to learn more about laboratory:
https://brainly.com/question/30753305
#SPJ11
Which sales channel incentivizes every member of its network?
Answer:
Channel incentives are a behavioral modification tool that influence channel partners – such as dealers, contractors, resellers, and vendors – to align their behaviors with overarching business goals. These behaviors could include: Increasing overall sales volume. Increasing sales for high margin products
Explanation:
Answer:
Multilevel marketing
Explanation:
i got it right on test
Revenue is project at 249,000 for the month. You are seeking to have a rent equal to 8% of revenue. Additionally, you have “Common Area “ fees , which are 2% of your RENT. How much will you spend on rent plus common area fee each month?
A) 17,779
B) 19,070
C) 20,318
D)22,312
Answer:
C) 20,318
Explanation:
The projected revenue for the month is 249,000
Desired monthly rent is 8% of revenue,
monthly rent will be
=8% of 249,000
=0.08 x 249,000
=19,920
Common area fees are 2% of rent
=2% of 19,920
=0.02 x 19,920
=398.4
the total of rent plus common area fees will be
=19,920 + 398.4
=20,318.4
Eloise, the director of Human Resources at her organization
Since Eloise is working to determine its human resource needs for the next five years, her first course of action is: assessing the future labor supply.
What is Human resources management?Human resources management (HRM) can be defined as an art that involves effectively and efficiently managing, controlling and improving the functions, number of employees or workers, activities that are being used by an organization.
This ultimately implies that, human resources managers are saddled with the responsibility of recruiting, managing and improving the welfare and working conditions of the employees working in an organization because they are the most important asset of any organization.
In conclusion, Eloise's first course of action is assessing the future labor supply for her organization.
Read more on human resource here: https://brainly.com/question/10583893
Complete Question:
Eloise, the director of human resources at her organization, is working to determine its human resource needs for the next five years. Eloise's first course of action is?
Planning , using a five step process.
what is the law of demand and supply
Answer:The law of supply and demand is a theory that explains the interaction between the sellers of a resource and the buyers for that resource. The theory defines what effect the relationship between the availability of a particular product and the desire (or demand) for that product has on its price.
Explanation:
Rediger incorporated a manufacturing Corporation, has provided the following data for the month of June. The balance in the Work in Process inventory account was $25,000 at the beginning of the month and $18,500 at the end of the month. During the month, the Corporation incurred direct materats cost of $55,600 and direct labor cost of $28,900. The actual manufacturing overhead cost incurred was $53,300. The manufacturing overhead cost applied to Work in Process was $51,600. The cost of goods manufactured for June was: Multiple Cholee A. $137.800 B. $144,300 C. $142600.
D. $136,100
The manufacturing overhead cost applied to Work in Process was $51,600. The cost of goods manufactured for June is $142,600.
To calculate the cost of goods manufactured, we need to consider the changes in the Work in Process (WIP) inventory account. The WIP inventory at the beginning of the month was $25,000, and at the end of the month, it was $18,500.
We can calculate the manufacturing costs incurred during the month by adding the direct materials cost, direct labor cost, and actual manufacturing overhead cost. In this case, the direct materials cost is $55,600, the direct labor cost is $28,900, and the actual manufacturing overhead cost is $53,300. Adding these amounts gives us a total of $137,800.
Next, we need to determine the manufacturing overhead cost applied to the WIP. Here, the applied overhead cost is given as $51,600.
To calculate the cost of goods manufactured, we use the formula:
Cost of Goods Manufactured = WIP at the beginning of the month + Manufacturing costs incurred during the month - WIP at the end of the month.
Plugging in the values, we have:
Cost of Goods Manufactured = $25,000 + $137,800 - $18,500 = $144,300.
Therefore, the cost of goods manufactured for June is $144,300.
Learn more about Cost of goods
brainly.com/question/28295166
#SPJ11
according to the chapter 4 lecture, all of the following are basic elements of culture except
In chapter 4 lecture, culture was defined as the learned and shared beliefs, values, customs, behaviors, and artifacts that characterize a group or society. It was discussed that there are several basic elements of culture that contribute to its formation and transmission. These elements include language, religion, social organization, economic systems, political systems, and technology.
However, the lecture also mentioned that there is one basic element of culture that is not included in this list. This element is known as the natural environment, which refers to the physical and biological surroundings in which a culture exists. The natural environment can have a significant impact on the beliefs, values, and behaviors of a society, and can shape its economic and political systems as well.
Therefore, to answer the question, the basic elements of culture according to the chapter 4 lecture are language, religion, social organization, economic systems, political systems, and technology. The natural environment is also an important factor that can influence culture, but it is not typically considered one of the basic elements.
To know more about behaviors visit:-
https://brainly.com/question/31869110
#SPJ11
3M stock started the year at $147, and by the end of the year
had increased to $166. 3M also paid 5 in dividends during the year.
What was the percent return for 3M?
The percent return for 3M stock is approximately 16.33%.
To calculate the percent return for 3M stock, we need to consider both the change in stock price and the dividends paid.
The initial stock price of 3M was $147, and by the end of the year, it had increased to $166. This represents a price increase of $166 - $147 = $19 per share. In addition, 3M paid $5 in dividends during the year.
To calculate the percent return, we can use the formula:
Percent Return = ((Change in Price + Dividends) / Initial Price) * 100
In this case, the change in price is $19, and the dividends paid is $5. The initial price is $147.
Using the formula:
Percent Return = (($19 + $5) / $147) * 100
Percent Return = ($24 / $147) * 100
Percent Return ≈ 16.33%
Therefore, the percent return for 3M stock is approximately 16.33%.
Know more about Stocks here:
https://brainly.com/question/31940696
#SPJ11
When new college graduate Sami Hensen goes to visit her Great-Aunt Gertrude, she is surprised when the older relative tells her she is soon leaving on a cruise with friends. Sami cannot imagine how her great-aunt can afford such luxury, while living in a nice house in a peaceful neighborhood, and wonders if her aunt’s mental capacities are failing her. At her gentle inquiry about the costs, her Great-Aunt Gertrude laughs away her concern, telling her that she has been receiving monthly checks out of the equity she has in the home. Now Sami really thinks her old aunt is off her rocker! If Great-Aunt Gertrude is correct, which of the following statements is true of this situation?A. Gertrude has a Package Mortgage, which is commonly used in situations of people who are "house rich, cash poor." This type of loan is common for senior citizens.B. Gertrude has a Wraparound Mortgage, which provides for extra cash-in-hand.C. Gertrude has a fully-amortized loan, so she receives a monthly dividend.D. Gertrude has a Reverse Annuity Mortgage, which is a loan that must be repaid upon the owner’s death, if she moves elsewhere, or upon the sale of the property.
Answer: Gertrude has a Reverse Annuity Mortgage, which is a loan that must be repaid upon the owner’s death, if she moves elsewhere, or upon the sale of the property.
Explanation:
A reverse annuity mortgage is referred to as a loan secured against the value of the home of a person which allows the owner cash in on some of the equity of the home without the person selling the house. This is what Simi's aunt is enjoying.
Therefore, the correct option is D "Gertrude has a Reverse Annuity Mortgage, which is a loan that must be repaid upon the owner’s death, if she moves elsewhere, or upon the sale of the property".
At age 24, someone sets up an IRA (individual retirement account) with an APR of 4%. At the end of each month he deposits $30 in the account. How much will the IRA contain when he retires at age 65? Compare that amount to the total deposits made over the time period.
Comparing the final value of the IRA ($53,404.44) to the total deposits made ($14,040), we can see that the IRA has grown significantly due to the power of compound interest.
The IRA will contain approximately $53,404.44 when he retires at age 65. This amount is the accumulation of the monthly deposits and the compound interest earned over the 41-year period.
To calculate the future value of the IRA, we can use the formula for compound interest:
Future Value = Principal × (1 + Interest Rate / Number of Compounding Periods)^(Number of Compounding Periods × Number of Years)
Where,
Principal (initial deposit) = $30
Interest Rate = 4% (converted to a monthly rate, i.e., 4% / 12 = 0.00333)
Number of Compounding Periods = 12 (monthly deposits)
Number of Years = 65 - 24 = 41 years
Future Value = $30 × (1 + 0.00333)^((12 × 41)
Future Value ≈ $53,404.44
Therefore, the IRA will contain approximately $53,404.44 when he retires at age 65.
Now, let's calculate the total deposits made over the time period. The monthly deposit of $30 is made for 41 years, which amounts to:
Total Deposits = Monthly Deposit × Number of Months
Total Deposits = $30 × (12 × 41)
Total Deposits = $14,040
Hence, the total deposits made over the 41-year period would be $14,040.
Comparing the final value of the IRA ($53,404.44) to the total deposits made ($14,040), we can see that the IRA has grown significantly due to the power of compound interest. The compound interest earned over the years has contributed to the growth of the account, resulting in a final amount that is significantly higher than the total deposits made. This demonstrates the importance and benefits of starting early and taking advantage of compounding for long-term investments like retirement accounts.
Learn more about investments here:
brainly.com/question/14921083
#SPJ11
To calculate the amount the IRA will contain when the individual retires at age 65, we can use the formula for the future value of an ordinary annuity.
The future value is calculated by adding up the compounded monthly deposits and the interest earned over the time period.
Given:
Monthly deposit amount: $30
APR (Annual Percentage Rate): 4% (converted to a monthly interest rate: 0.04/12 = 0.00333)
First, let's determine the total number of months the individual will be making deposits into the IRA. Since the individual starts at age 24 and retires at age 65, the total number of months is (65 - 24) * 12 = 492 months.
Using the future value of an ordinary annuity formula:
FV = PMT * [(1 + r)^n - 1] / r
Where:
FV is the future value of the IRA
PMT is the monthly deposit amount
r is the monthly interest rate
n is the number of periods (in this case, the number of months)
Plugging in the values:
FV = $30 * [(1 + 0.00333)^492 - 1] / 0.00333
Calculating this expression will give us the amount the IRA will contain when the individual retires at age 65.
To compare this amount with the total deposits made over the time period, we can multiply the monthly deposit amount by the total number of months:
Total Deposits = $30 * 492
By comparing the future value of the IRA with the total deposits, we can see the growth and accumulated interest that the contributions have generated over the years.
It's important to note that this calculation assumes monthly deposits made consistently over the entire period and doesn't account for any potential changes in the interest rate or additional contributions. It also assumes that the interest is compounded monthly.
know more about compounded here
https://brainly.com/question/14117795#
#SPJ11
A key characteristic of a linear program is which of the following? The activity levels must be integer. The activity levels minimize the profit. The activity levels maximize the resource consumption. All of the above None of the above
The key characteristic of a linear program is none of the above. In a linear program, the objective is to maximize or minimize a linear function subject to linear constraints.
The activity levels are not required to be integers, although certain variations of linear programming, such as integer programming, do impose integer constraints on the variables. The activity levels are not necessarily aimed at minimizing profit or maximizing resource consumption; instead, they are chosen to optimize the objective function while satisfying the given constraints. Linear programming is a widely used mathematical technique for decision-making and optimization problems in various fields, such as operations research, economics, and management.
learn more about characteristic here:
https://brainly.com/question/31134882
#SPJ11
The following data for the most recent year of operations for Fairview Corporation are available. Number of units sold 140,000 Unit selling price $30.00 Unit variable cost $27.00 Margin of safety 40,000 units Find the fixed costs for Fairview Corporation for the most recent year.
To find the fixed costs for Fairview Corporation for the most recent year, we can use the formula: Fixed Costs = Total Costs - Variable Costs.
First, let's calculate the total costs. Total Costs = (Number of units sold * Unit variable cost) + Fixed Costs. We are trying to find the fixed costs, so we'll rewrite the formula as Fixed Costs = Total Costs - (Number of units sold * Unit variable cost).
Given information:
Number of units sold = 140,000
Unit variable cost = $27.00
Margin of safety = 40,000 units
To calculate the total costs, we need the selling price per unit. Since it is not provided, we cannot calculate the fixed costs accurately. If the selling price per unit is provided, we can use the formula to find the fixed costs. The margin of safety is not used in this calculation. We can simply substitute the given values into the formula to find the fixed costs.
to know about fixed costs visit:
https://brainly.com/question/30057573
#SPJ11
what does the fox say
Answer:nenenesnene
Explanation:
Answer:
"Ring-ding-ding-ding-dingeringeding!
Gering-ding-ding-ding-dingeringeding!
Gering-ding-ding-ding-dingeringeding!"
"Wa-pa-pa-pa-pa-pa-pow!
Wa-pa-pa-pa-pa-pa-pow!
Wa-pa-pa-pa-pa-pa-pow!"
_____ are instances in which a customer connects with a service provider or some other aspect of an organization.
Contact points are instances in which the customer connects with a service provider or some other aspect of an organization.
Which technique makes reference to turning a losing unit profitable?A turnaround is a reorganisation process that makes the losing firm profitable. The industrial unit is returned to its former place, and performance is stabilised.
Which of the following kind of strategy is referred to as a "growth strategy"?These tactics are referred to as product development, market development, market penetration, and diversification. Market Penetration: This growth strategy is increasing the amount of goods or services a business sells to its present clientele.
To know more about customer visit:-
https://brainly.com/question/31192428
#SPJ1
The pipe located underneath Jiro’s kitchen sink was leaking and he did not know how to fix it. He called a plumber who agreed to come fix the leaking pipe in exchange for $125 plus the cost of any parts. The plumber went to Jiro’s home, removed the old pipe that was leaking, and replaced it with a new pipe that the plumber brought with her. When the plumber was finished, she told Jiro that the total cost was $140 and Jiro promptly paid her. Was this a voluntary exchange? Why or why not?
A
Yes, because both parties willingly entered the exchange and benefited from it.
B
Yes, because one party exchanged money with another party for a good or service.
C
No, because Jiro was not aware of the final cost before he agreed to the exchange.
D
No, because the plumber’s service was not equal in value to the money paid by Jiro.
Answer:
A
Explanation:
It’s not b
The given statement clearly states that it was a voluntary exchange because both parties willingly entered the exchange and benefited from it. Hence, Option A is correct.
What is a voluntary exchange?
Buyers and sellers engaging in market exchanges voluntarily and freely is known as voluntary exchange. A basic tenet of both classical and neoclassical economics, which serve as the foundation for modern mainstream economics, is voluntary exchange.
A transaction when two persons freely exchange products or services is referred to as a voluntary exchange. This happens in a market economy, a form of economy where both parties to an interaction benefit from it and come out ahead than they did before.
Given that both parties entered the voluntary exchange and benefited from it, it is apparent that the transaction was voluntary.
Therefore, Option A is correct.
Learn more about voluntary exchange from here:
https://brainly.com/question/18108423
#SPJ6
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 BRAINLIESTShow graphically the abnormal profit (economic profit) area of the pure competition firm in the short run.
The graph showing economic profits is in the image.
Perfect or pure competition is explained as "a condition in an industry where that industry is composed of many tiny firms providing homogenous products, when there is no barrier to the entry or leave of firms, and when full data is available."
In the short-run, the pure or perfect competition profit of a firm go up to the maximum position in situations where marginal revenues (MR) equals to the marginal cost (MC).
When the price (P) is higher than average cost (AC) for a given period of time, the firm can generate abnormal or economic profits in the Short run.
The difference between abnormal and normal profit is related to the link between average total cost and average market price, and abnormal profit can only be produced when average revenue is higher than average total cost. It's crucial to keep in mind, though, that not every business has the ability to make earnings that are above average
The characters in the graph stands for:
D = Demand in the market
MR = Marginal Revenue
MC = Marginal Cost
ATC = Average Total Cost
Short Run Profit = ( P - ATC ) × Quantity
To know more about economic profits and short and long runs,
brainly.com/question/30006091
the demand schedule for chicken feet, a dim sum delicacy served at some chinese restaurants, is shown in the table. although some people find the texture strange, others have developed a taste for it. price of chicken feet (per pound) quantity of chicken feet demanded (millions of pounds) in 2008 quantity of chicken feet demanded (millions of pounds) in 2018 $ 3.00 3.0 9.2 $ 2.50 3.2 9.9 $ 1.25 3.6 10.3 $ 1.00 4.1 12.2 $ 0.50 5.7 15.0 how many more chicken feet were demanded in 2018 , at a price of $3.00 a pound, than in 2008 ?
6.2 million more chicken feet were demanded in 2018 compared to 2008 at a price of $3.00 per pound.
To determine how many more chicken feet were demanded in 2018 than in 2008, specifically at a price of $3.00 per pound, we need to compare the quantities demanded for that specific price in both years.
In 2008, the quantity demanded at a price of $3.00 per pound was 3.0 million pounds.
In 2018, the quantity demanded at a price of $3.00 per pound was 9.2 million pounds.
To find the difference, we subtract the quantity demanded in 2008 from the quantity demanded in 2018:
Difference = Quantity demanded in 2018 - Quantity demanded in 2008
Difference = 9.2 million pounds - 3.0 million pounds
Difference = 6.2 million pounds
Therefore, 6.2 million more chicken feet were demanded in 2018 compared to 2008 at a price of $3.00 per pound.
This indicates an increase in demand for chicken feet over the years, as more people developed a taste for it despite the texture being considered strange by some. The higher quantity demanded suggests that the popularity of chicken feet as a dim sum delicacy has grown over time.
Learn more about quantity demanded here:
https://brainly.com/question/28463621
#SPJ11