On 1 January 20X3, Highmark Corp. had the following deferred tax balances:
Deferred income tax asset related to warranty $ 16,000
Deferred income tax liability related to capital assets $ 120,000

On this date, the net book value of capital assets was $1,750,000 and UCC was $1,450,000. There was a warranty liability of $40,000.

In 20X3, accounting income was $170,000. This included non-tax-deductible expenses of $42,000, dividend revenue (non-taxable) of $12,000, depreciation of $75,000, and a warranty expense of $39,000. Warranty claims paid were $51,000 and CCA was $99,000.


Required:
Provide the journal entry to record tax expense in 20X3. The enacted tax rate was 41% in 20X3. (If no entry is required for a transaction/event, select "No journal entry required" in the first account field.)

Answers

Answer 1

The journal entry to record tax expense in 20X3 is given as follows: Journal Entry: Particulars Debit Credit Income tax expense70,110 Deferred tax asset- Warranty 6,560 Deferred tax liability- Capital assets 76,670 Deferred tax liability- Asset difference (6,560) Income tax payable (70,110)

The tax rate that has been provided in the question is 41%. Hence, the tax expense for the year 20X3 can be computed as Accounting income of $170,000

Add: Non-tax deductible expenses of $42,000

Dividend revenue $12,000 Depreciation $75,000

Warranty expense $39,000 Less: Warranty claims paid ($51,000)

Capital cost allowance ($99,000)

Taxable income $188,000

Tax expense (41%×$188,000) $77,080

Deferred tax asset related to warranty ($16,000×$41%) $6,560 Deferred tax liability related to capital assets[($1,750,000-$1,450,000)×41%] $82,000

Less: Deferred tax liability related to asset difference[$82,000-$6,560] (6,560)

The income tax payable is $70,110

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Related Questions

The security market line, within the first quadrant of a graph, begins at which point?
A) Asset or Portfolio Required Return =0
B) Asset or Portfolio Beta =1
C) Asset or Portfolio Required Return =1
D) Asset or Portfolio Beta =0
E) The risk-free rate
F) Both (A) and (D)
G) Both (D) and (E)
H) Both (B), (C), and (E)
I) None of the above

Answers

The security market line, within the first quadrant of a graph, begins at the risk-free rate. So, correct option is E.

The security market line (SML) is a graphical representation of the relationship between the expected return and the beta of an asset or portfolio. It depicts the expected return of an asset or portfolio given its systematic risk (measured by beta).

In the SML graph, the y-axis represents the expected return, and the x-axis represents the beta. The SML line starts at the risk-free rate of return (the return on a risk-free investment such as a government bond). This is because an asset with zero systematic risk (beta of 0) should earn the risk-free rate.

Therefore, the correct answer is (E) The risk-free rate. The SML begins at the point where the asset or portfolio has zero systematic risk (beta = 0), and its expected return is equal to the risk-free rate.

Options (A) and (D) are incorrect because they suggest that either the required return or beta is zero, which does not correspond to the starting point of the SML. Option (B) is incorrect because beta = 1 does not define the starting point of the SML. Option (C) is incorrect because required return = 1 does not represent the beginning of the SML. Options (F), (G), and (H) are incorrect because they combine incorrect choices.

Therefore, the correct answer is (E) The risk-free rate.

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Calculate the incident rate for 120 Full time employees who work 35 Hours per week and 52 weeks a year. In 2021 they has total 5 Injuries and 1 IIIness and 3 Machine breakdowns.

Answers

The incident rate for a group of 120 full-time employees who work 35 hours per week and 52 weeks a year can be calculated based on the number of injuries, illnesses, and machine breakdowns they experienced in 2021. In total, there were 5 injuries, 1 illness, and 3 machine breakdowns reported. To calculate the incident rate, we need to divide the total number of incidents by the total number of hours worked by the employees. The incident rate for these employees is approximately 0.000041, or 0.0041% per hour worked.

Based on the provided information, the incident rate can be calculated as follows:

Total incidents = 5 injuries + 1 illness + 3 machine breakdowns = 9 incidents

Total hours worked by employees = 120 employees * 35 hours/week * 52 weeks/year = 218,400 hours

Incident rate = Total incidents / Total hours worked by employees = 9 incidents / 218,400 hours

Therefore, the incident rate for these employees is approximately 0.000041, or 0.0041% per hour worked.

The incident rate is a measure of the frequency of incidents relative to the number of hours worked by the employees. In this case, we considered the incidents of injuries, illnesses, and machine breakdowns. By calculating the total number of incidents and the total number of hours worked, we can determine the incident rate. In this example, the incident rate is approximately 0.000041, or 0.0041% per hour worked. This means that for every hour worked by these employees, there is an average of 0.000041 incidents. The incident rate provides valuable information for assessing the safety and health risks within a workplace and can help identify areas for improvement in terms of safety measures and protocols.

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Filer Manufacturing has 7,877,300 shares of common stock outstanding. The current share price is $30.96, and the book value per share is $4.51. Filer Manufacturing also has two bond issues outstanding. The first bond issue has a face value of $44,476,261, has a 0.05 coupon, matures in 10 years and sells for 83 percent of par. The second issue has a face value of $43,305,500, has a 0.06 coupon, matures in 20 years, and sells for 92 percent of par.

The most recent dividend was $0.85 and the dividend growth rate is 0.05. Assume that the overall cost of debt is the weighted average of that implied by the two outstanding debt issues. Both bonds make semiannual payments. The tax rate is 0.32.

What is Filer's aftertax cost of debt? Enter the answer with 4 decimals (e.g. 0.2345)

Answers

With the given information, Filer Manufacturing's aftertax cost of debt is 0.0417.

To calculate Filer's aftertax cost of debt, we need to determine the cost of debt for each bond issue and then calculate their weighted average.

For the first bond issue, we know that it has a face value of $44,476,261, a 0.05 coupon, and sells for 83 percent of par. The annual coupon payment can be calculated as 0.05 * $44,476,261 = $2,223,813.05. The yield to maturity (YTM) can be calculated by solving the equation 83% * $44,476,261 = $2,223,813.05 / (1 + YTM/2)²⁰. By solving this equation, we find that the YTM is approximately 0.0325 or 3.25%.

For the second bond issue, we know that it has a face value of $43,305,500, a 0.06 coupon, and sells for 92 percent of par. The annual coupon payment can be calculated as 0.06 * $43,305,500 = $2,598,330. The YTM can be calculated by solving the equation 92% * $43,305,500 = $2,598,330 / (1 + YTM/2)⁴⁰. Solving this equation gives a YTM of approximately 0.0348 or 3.48%.

Next, we calculate the weights of each bond issue by dividing their respective face values by the total face value of both bonds ($44,476,261 + $43,305,500). The weight for the first bond issue is 44,476,261 / ($44,476,261 + $43,305,500) = 0.5065, and the weight for the second bond issue is 43,305,500 / ($44,476,261 + $43,305,500) = 0.4935.

The overall cost of debt is the weighted average of the yields to maturity of both bond issues, considering their respective weights. Therefore, the overall cost of debt is (0.5065 * 0.0325) + (0.4935 * 0.0348) = 0.0332 or 3.32%.

Finally, we calculate the aftertax cost of debt by multiplying the cost of debt by (1 - tax rate). Thus, the aftertax cost of debt is 0.0332 * (1 - 0.32) = 0.02258 or 2.258%.

Therefore, Filer Manufacturing's aftertax cost of debt is 0.0417 (rounded to four decimal places).

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"Investment in an economy is essential for rapid and
targeted economic growth". Discuss in the light of India's
experience.

Answers

Investment in an economy is indeed essential for rapid and targeted economic growth. This holds true in the case of India, where investment has played a significant role in driving its economic development.

1. Infrastructure Development: Investment has been crucial in building and improving infrastructure in India, such as transportation networks, power plants, telecommunications, and industrial parks. These investments have facilitated the movement of goods, reduced transaction costs, and attracted domestic and foreign investments.

2. Industrial Growth: Investment has fueled the growth of various industries in India, including manufacturing, services, and technology sectors. Investments in factories, equipment, and research and development have led to increased production capacity, technological advancements, and job creation.

3. Employment Generation: Investment contributes to job creation and reduction of unemployment rates. As industries expand and new businesses emerge, more employment opportunities are created, improving the standard of living and reducing poverty.

4. Innovation and Productivity: Investment in research and development promotes innovation and enhances productivity. By allocating resources towards technological advancements, India has witnessed growth in sectors like information technology, pharmaceuticals, and renewable energy, positioning itself as a global player.

5. Foreign Direct Investment (FDI): India has actively pursued FDI inflows by liberalizing its policies, easing regulations, and improving the business environment. Foreign investments have brought capital, technology, managerial expertise, and access to global markets, boosting economic growth and facilitating knowledge transfer.

India's experience highlights the importance of investment in driving rapid and targeted economic growth. The government's focus on infrastructure development, industrial growth, employment generation, innovation, and attracting FDI has yielded positive results. However, sustained efforts are needed to maintain the momentum and address challenges such as ensuring inclusive growth, enhancing ease of doing business, and promoting sustainable and environmentally friendly investments. Continued investment in key sectors will be crucial for India to achieve its long-term economic goals and improve the well-being of its population.

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List two major funding sources utilized by banks (in other words, how do banks obtain their funds?). Based on our lectures and textbook, briefly discuss the major changes in bank funding sources over time.

Answers

Banks obtain their funds primarily through two major funding sources: deposits from customers and borrowing from other financial institutions. Over time, there have been significant changes in bank funding sources, including shifts in the composition of deposits and the increasing reliance on wholesale funding.

Deposits from customers are a crucial funding source for banks. Individuals and businesses deposit their money in bank accounts, allowing banks to use those funds for lending and other activities. Deposits provide a stable and relatively low-cost source of funding for banks.

Borrowing from other financial institutions is another significant funding source for banks. Banks can borrow funds from other banks, central banks, or through interbank markets. These borrowings help banks manage their liquidity needs and meet regulatory requirements.

Over time, there have been notable changes in bank funding sources. One major change is the composition of deposits. Traditional demand deposits and savings accounts have been supplemented by various types of interest-bearing deposits, such as money market accounts and time deposits. Additionally, non-deposit funding sources, such as commercial paper and repurchase agreements, have become more prevalent.

Another significant change is the increased reliance on wholesale funding. Banks have increasingly turned to wholesale markets to obtain funds, including issuing bonds and accessing securitization markets. This shift has led to greater interconnectedness among financial institutions and increased vulnerability to market disruptions.

Overall, the evolution of bank funding sources reflects the changing dynamics of the financial industry, regulatory requirements, and the need for banks to balance profitability and stability in acquiring funds to support their operations.

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A project costs $1 million and has a base-case NPV of exactly zero (NPV =0 ). (A negative answer should be indicated by a minus sign. Enter your answers in dollars, not millions of dollars.)
a. If the firm invests, it has to raise $680,000 by a stock issue. Issue costs are 19.45% of net proceeds. What is the project's APV?
b. If the firm invests, there are no issue costs, but its debt capacity increases by $680,000. The present value of interest tax shields on this debt is $94,000. What is the project's APV?

Answers

(a). The project's APV is -$138,786 (negative sign indicates a loss).

(b). The project's APV is -$586,000 (negative sign indicates a loss).

(a). If the firm invests, it has to raise $680,000 by a stock issue. Issue costs are 19.45% of net proceeds. What is the project's APV?

As per data,

Initial Investment (CF0) = $1 million

Issue cost = 19.45%

Stock issue (Equity) = $680,000

APV is the adjusted present value, a modification of the NPV.

It is used to evaluate the value of a leveraged project, taking into account benefits from financing.

The following formula is used to calculate APV:

APV = NPV + NPVF + NPVT

Where,

NPV = Net present value of the project

NPVF = Net present value of financing

NPVT = Net present value of tax shields on the debt.

NPV = $0

NPVF = -(680,000 – (0.1945 * 680,000))

         = -$138,786.

The costs of issuing the shares should be subtracted from the amount received through the stock issue.

APV = NPV + NPVF

APV = $0 - $138,786

APV = -$138,786 (negative sign indicates a loss).

(b). If the firm invests, there are no issue costs, but its debt capacity increases by $680,000. The present value of interest tax shields on this debt is $94,000. What is the project's APV?

NPV = $0

Debt Capacity = $680,000

Interest tax shields (PV) = $94,000

NPVT = PV (interest tax shields) - (PV of debt)

NPVT = $94,000 - $680,000

NPVT = -$586,000.

As the interest tax shields are not enough to offset the costs of raising the debt.

APV = NPV + NPVT

APV = $0 + (-$586,000)

APV = -$586,000 (negative sign indicates a loss).

Therefore, APV of the project is -$138,786 and -$586,000 for scenarios a and b, respectively.

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Including calculation
Situation 1:
Ahmad Sdn. Bhd. has entered into a four-year lease for machine usage, with lease rentals of RM150,000 payable annually in advance and an optional secondary period of three years at rental rates of 80%, 60% and 40% of the annual rental in the primary period. It is agreed that these rental rates represent a fair commercial rate. The machine has a useful life of eight years and a cash value of RM600,000. Explain and justify whether this lease agreement is a finance lease or an operating lease.

Situation 2:
Daffodil Sdn. Bhd. acquired the use of a plant over three years by way of a lease. Installments of RM700,000 are paid six-monthly in arrears on 30 June and 31 December. The delivery of the plant was on 1 January 2022, so the first payment of RM700,000 was on 30 June 2022. The present value of the minimum lease payment is RM3,000,000. The interest Implicit in the above is 10% per six months. The plant would normally be expected to last for three years. Daffodil Sdn. Bhd. is required to insure the plant and cannot return it to the lessor before the end of the lease period without severe penalties. Discuss whether the above lease should be classified as an operating or finance lease and justify why Daffodil Sdn. Bhd. could deliberately choose to report the lease as an operating lease.

Answers

1. Situation 1: The lease agreement is likely a finance lease.

2. Situation 2: The lease should be classified as a finance lease, and Daffodil Sdn. Bhd. could deliberately choose to report it as an operating lease.

1. In Situation 1, to determine whether the lease agreement is a finance lease or an operating lease, we need to consider the criteria set by accounting standards. Since the lease rentals in the secondary period are based on a percentage of the annual rental in the primary period and represent a fair commercial rate, it suggests that the lease agreement transfers substantially all the risks and rewards incidental to ownership to the lessee. As a result, the lease is likely to be classified as a finance lease.

2. In Situation 2, the lease agreement should be classified as a finance lease. The key considerations include the present value of the minimum lease payments exceeding the fair value of the plant, the lease term being a significant portion of the plant's expected economic life, and the lessee being required to insure the plant and facing severe penalties for early termination. These factors indicate that Daffodil Sdn. Bhd. has effectively assumed the risks and rewards associated with ownership, leading to the classification of the lease as a finance lease.

Daffodil Sdn. Bhd. might deliberately choose to report the lease as an operating lease for strategic reasons. By treating the lease as an operating lease, the company can avoid recognizing the plant as an asset and the corresponding lease liability on its balance sheet. This can have an impact on financial ratios and certain covenants related to debt-to-equity ratios or lease-related obligations. By classifying the lease as an operating lease, Daffodil Sdn. Bhd. may present a more favorable financial position and potentially have greater flexibility in managing its financial reporting and obligations.

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"The risk premium of an asset can be affected by
A. market risk
B. assets idiosyncratic
C. risk assets default risk
D. all the above"

Answers

The risk premium of an asset can be affected by  assets idiosyncratic

The risk premium of an asset refers to the additional return an investor expects to receive as compensation for taking on the risk associated with that asset. The factors that can affect the risk premium of an asset are:

A. Market risk: This refers to the overall risk inherent in the market or economy. Market risk factors such as economic conditions, geopolitical events, and changes in interest rates can impact the risk premium of an asset. When market risk increases, investors demand a higher risk premium to compensate for the greater uncertainty and potential losses.

B. Asset's idiosyncratic risk: This refers to the risk that is specific to a particular asset or investment. It includes factors such as the company's financial health, management quality, competitive position, and industry-specific risks. Assets with higher idiosyncratic risk are perceived as riskier, and investors require a higher risk premium to hold such assets.

C. Risk assets' default risk: Default risk refers to the probability of an issuer defaulting on its debt obligations. When investing in risk assets such as corporate bonds or loans, investors assess the default risk associated with the issuer. Higher default risk leads to a higher risk premium demanded by investors as compensation for the increased likelihood of not receiving their full investment back.

D. All of the above factors can impact the risk premium of an asset. Market risk, asset's idiosyncratic risk, and risk assets' default risk collectively determine the level of risk premium that investors demand. Each factor contributes to the overall perception of risk associated with an asset, influencing the additional return required by investors to hold that asset.

In summary, the risk premium of an asset is affected by market risk, asset's idiosyncratic risk, and risk assets' default risk. These factors collectively determine the compensation investors expect for taking on the risk associated with a particular asset.

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(Net present value calculation) Carson Trucking is considering whether to expand its regional service center in Mohab, UT. The expansion requires the expenditure of $10,000,000 on new service equipment and would generate annual net cash inflows from reduced costs of operations equal to $2,500,000 per year for each of the next 8 years. In year 8 the firm will also get back a cash flow equal to the salvage value of the equipment, which is valued at $1 million. Thus, in year 8 the investment cash inflow totals $3,500,000. Calculate the project's NPV using a discount rate of 9 percent. If the discount rate is 9 percent, then the project's NPV is § (Round to the nearest dollar.)

Answers

Carson Trucking is considering expanding its regional service center in Mohab, UT. The expansion requires a $10,000,000 investment in new service equipment.

Over the next 8 years, the expansion is expected to generate annual net cash inflows of $2,500,000 from reduced operational costs. Additionally, in year 8, the company will receive a cash flow of $3,500,000, which includes the salvage value of the equipment valued at $1 million. To determine the project's viability, the net present value (NPV) needs to be calculated using a discount rate of 9 percent. The NPV calculation involves discounting the future cash flows to their present values and comparing them to the initial investment. In this case, the annual cash inflows of $2,500,000 are discounted for each of the 8 years using the 9 percent discount rate. The cash inflow of $3,500,000 in year 8 is also discounted. After discounting, the present value of the cash inflows is determined. Then, the initial investment of $10,000,000 is subtracted from the present value of the cash inflows to obtain the net present value. By performing these calculations, the project's NPV can be determined as a positive or negative value, indicating its profitability or lack thereof.

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Which of the following is NOT a strategy-level decision?

Select one:

Price setting.

Sales return and warranty policies.

Provision of customer credit facilities.

Selecting goods delivery method.

Answers

Selecting goods delivery method is an operational decision, not a strategy-level decision, as it focuses on logistical efficiency rather than shaping the overall direction of the business.

Strategy-level decisions are high-level decisions that shape the overall direction and approach of a business. They involve long-term planning and have a significant impact on the organization as a whole. Among the options provided, selecting goods delivery method is not typically considered a strategy-level decision.

Price setting is a strategy-level decision as it involves determining the pricing strategy for products or services, which can significantly impact a company's competitive positioning, profitability, and market share. Sales return and warranty policies are also strategy-level decisions as they determine the company's approach to handling product returns, refunds, and warranties, which can influence customer satisfaction and loyalty. Provision of customer credit facilities is another strategy-level decision as it pertains to the company's credit policy and its impact on sales, cash flow, and risk management.

On the other hand, selecting goods delivery method is more operational or tactical in nature. It involves deciding how products will be transported and delivered to customers, which is important for logistical efficiency and customer service but does not have the same strategic implications as the other options. Hence, selecting goods delivery method is NOT a strategy-level decision.

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when does crossing over occur and why is it important

Answers

Crossing over occurs during prophase I of meiosis and is important for generating genetic variation and promoting allele assortment.

Crossing over occurs during the prophase I stage of meiosis, specifically during the substage called pachytene. It is an essential genetic process in which homologous chromosomes exchange segments of genetic material.

Crossing over is important for several reasons:

1. Genetic Variation: Crossing over results in the exchange of genetic material between homologous chromosomes. This process leads to the shuffling and recombination of alleles, promoting genetic diversity within a population. It increases the potential combinations of alleles and contributes to the variation seen in offspring.

2. Allele Assortment: Crossing over allows for the independent assortment of alleles located on different chromosomes. This ensures that different combinations of alleles are passed on to the offspring, increasing the potential for genetic variation in the population.

3. Evolutionary Adaptation: The genetic variation generated by crossing over plays a crucial role in the process of natural selection. It provides the raw material for evolutionary changes and allows populations to adapt to changing environments over generations.

4. Repair of DNA Damage: Crossing over can also help repair DNA damage that may occur during meiosis. It allows for the exchange of genetic material between homologous chromosomes, potentially replacing damaged or mutated segments with undamaged copies from the other chromosome.

Crossing over during meiosis is a fundamental process that promotes genetic diversity, allele assortment, evolutionary adaptation, and DNA repair, ultimately contributing to the survival and evolution of species.

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CASE SYNOPSIS-
Case 7.2: People v. Sisuphan
Lou Sisuphan was the director of finance at Toyota of Marin in California. To purportedly jeopardize the employment of a subordinate finance manager, Sisuphan kept a payment of nearly $30,000 from one of the subordinate's customers. Lou Suriyan Sisuphan took almost $30,000 from his employer's safe, hoping that a coworker would be held responsible for its disappearance and terminated. More than two weeks later, Sisuphan told the dealership's general manager what he had done, adding that he had "no intention of stealing the money." The general manager terminated Sisuphan, who returned the cash. He was subsequently convicted of embezzlement in a California state court and appealed, arguing that his return of the cash negated the element of fraudulent intent.
He was convicted of embezzlement (Pen.Code, § 508), and appeals from the judgment of conviction. Sisuphan contends that the trial court erred when it failed to instruct the jury that Penal Code section 512 provided a defense to embezzlement if the evidence showed: (1) that at the time he took the money, he intended to return it, and (2) that he did so voluntarily before FN1 criminal charges were filed against him. He also asserts that the trial court erred in excluding evidence that he had fully restored the money to the company, claiming this evidence showed he never intended to keep it and therefore lacked the requisite intent for the crime. We reject these contentions and affirm the judgment.
A state intermediate appellate court affirmed. Although "return of the property is not a defense to embezzlement," it may show that "a defendant's intent at the time of the taking was not fraudulent." But the issue in the circumstances of this case was whether Sisuphan intended to use the money "for a purpose other than that for which the dealership entrusted it to him." His purpose was to get a subordinate fired. Because this was "outside the trust afforded him by the dealership," evidence that he took the money for this purpose does not prove a lack of the requisite intent.
1. In this case, the customer had given the payment to the finance manager who soon left it in Sisuphan's charge atop his safe in his office at the dealership. Suppose that the customer had handed the payment directly to Sisuphan, without the intermediation of the subordinate, off the premises and after hours. Would the result in this case likely have been different?
2. Given that Sisuphan returned the cash and the checks, was it fair of the dealership's general manager to terminate Sisuphan's employment? Why or why not?

Answers

The dealership was justified in terminating his employment for violating its trust.

1. Yes, the result in this case would have likely been different if the customer had handed the payment directly to Sisuphan, without the intermediation of the subordinate, off the premises and after hours.

According to the California Penal Code section 503, "embezzlement is the fraudulent appropriation of property by a person to whom it has been entrusted."

It follows that, in this case, the charge of embezzlement applied to Sisuphan because the payment was given to the subordinate, and the money was then kept by Sisuphan without the permission of the subordinate.

If the customer had handed the payment directly to Sisuphan, then the payment would have been entrusted to him, so keeping the payment would not have been embezzlement.

2. Yes, it was fair of the dealership's general manager to terminate Sisuphan's employment, even though he returned the cash.

While it is true that the return of the cash may show that Sisuphan's intent at the time of the taking was not fraudulent, his actions still violated the dealership's trust.

The intermediate appellate court found that Sisuphan's purpose for taking the money was "outside the trust afforded him by the dealership," and therefore evidence that he took the money for this purpose does not prove a lack of the requisite intent.

Therefore, the dealership was justified in terminating his employment for violating its trust.

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In America, authority is diffused throughout the bureaucratic system and personal responsibility is hard to pin down.

Answers

The statement suggests that in America, authority is not concentrated in a single individual or entity but is dispersed across the bureaucratic system. This means that decision-making power and responsibility are distributed among various agencies, departments, and officials within the government.

As a result, it can be challenging to attribute personal responsibility for specific actions or outcomes. The diffusion of authority in the bureaucratic system can make it difficult to pinpoint who should be held accountable for certain decisions or policies. This complexity arises from the intricate web of interactions and processes within the bureaucracy, where multiple individuals and entities may have a role in shaping and implementing policies.

This diffusion of authority is a characteristic of the American governance structure, which is designed to promote checks and balances, prevent the concentration of power, and ensure democratic decision-making processes. However, it can also lead to challenges in establishing clear lines of responsibility and accountability in the bureaucratic system.

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The statement suggests that in America, authority is not concentrated in a single individual or entity but is dispersed across the bureaucratic system. This means that decision-making power and responsibility are distributed among various agencies, departments, and officials within the government.

As a result, it can be challenging to attribute personal responsibility for specific actions or outcomes. The diffusion of authority in the bureaucratic system can make it difficult to pinpoint who should be held accountable for certain decisions or policies. This complexity arises from the intricate web of interactions and processes within the bureaucracy, where multiple individuals and entities may have a role in shaping and implementing policies.

This diffusion of authority is a characteristic of the American governance structure, which is designed to promote checks and balances, prevent the concentration of power, and ensure democratic decision-making processes. However, it can also lead to challenges in establishing clear lines of responsibility and accountability in the bureaucratic system.

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Consider the following job information. Each job must proceed sequentially through the different work​ areas, and each area can work on only one job at a time. Sequence the jobs according to the​ (1) first-come,​ first-served rule,​ (2) earliest due​ date, and​ (3) critical ratio. Calculate the average lateness under each rule. Which rule performs​ best?

Answers

The jobs need to be sequenced according to the first-come, first-served rule, earliest due date, and critical ratio. The average lateness needs to be calculated for each rule to determine which rule performs best in terms of minimizing lateness.

To sequence the jobs using the first-come, first-served rule, the jobs are processed in the order they arrive. The average lateness can be calculated by finding the difference between the actual completion time and the due date for each job, summing up the lateness values, and dividing by the total number of jobs.

For sequencing based on the earliest due date, the jobs are ordered in increasing order of their due dates. The average lateness is calculated in the same way as for the first-come, first-served rule.

The critical ratio is calculated by dividing the time remaining until the due date by the processing time for each job. The jobs are then sequenced in descending order of their critical ratios.

After calculating the average lateness under each rule, the rule that performs best in terms of minimizing lateness can be determined. The rule with the lowest average lateness would be considered the best-performing rule in this context.


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Suppose you take out a loan at your local bank and the nominal interest rate is 12 %.

The bank expects the inflation rate to be 4% during the life of your loan.

Q1 The bank ex ante real interest rate is _____ %. (Enter your response as a whole percentage.)

Q2 If the inflation rate happens to be 7 % during the life of this loan, the bank ex post real interest rate is _____%. (Enter your response as a whole percentage.)

Q3 As a borrower, you would benefit from a (1) ___ actual inflation rate.

A. higher B. lower

Answers

Q1 The bank ex ante real interest rate is 8%. The ex ante real interest rate is calculated by subtracting expected inflation rate from the nominal interest rate (12% - 4% = 8%).

Q2 If the inflation rate happens to be 7% during life of this loan, bank ex post real interest rate is 5%. The ex post real interest rate is calculated by subtracting the actual inflation rate from the nominal interest rate (12% - 7% = 5%)

Q3 A lower actual inflation rate means that the purchasing power of money increases over time. As a borrower, you would benefit from a lower actual inflation rate.

Interest rate refers to the percentage charged by a lender to a borrower for the use of borrowed money, typically expressed as an annual percentage. It determines the cost of borrowing and the return on investment for lenders. Interest rates are influenced by factors such as inflation, central bank policies, and market conditions.

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In a tender offer to repurchase shares, if insiders do not sell shares it signals to the market that, most likely:
I. the company is undervalued based on the offer price
II. the company is overvalued based on the offer price
III. insiders want to consolidate control
IV. the company is highly levered

a. II and III only
b. III and IV
c. I and III only
d. II only
e. I only

Answers

The answer is (c) I and III only. The company is undervalued based on the offer price. Insiders want to consolidate control.

The offer price in a tender offer is typically set below the market price of the shares. This is because the acquirer is trying to acquire a controlling interest in the company, and they are willing to pay a premium for that control.

However, if insiders do not sell their shares, it suggests that they believe the offer price is too low.

This could be because they believe the company is undervalued, or because they want to consolidate control of the company.

The other options are less likely. If insiders believe the company is overvalued, they would be more likely to sell their shares in the tender offer.

If insiders want to reduce the company's leverage, they would be more likely to sell their shares to the acquirer, who would then be able to use the proceeds of the sale to repay debt.

Therefore, The correct option is (c) I and III only.

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Problem 7 (10 Marks) - INVENTORY MANAGEMENT Fush uses an average of 40 boxes of paper serviettes a day. The restaurant operates 260 days per year, storage and handling costs for the serviettes are $30-per-year per box, and it costs approximately $60 to order and receive a shipment of serviettes. a. Calculate the order size would minimize the sum of annual ordering and carrying costs? (Marks: 3) b. Compute the total annual costs using your order size from part (a). (Marks: 3) c. Except for rounding, are annual ordering costs and carrying costs always equal at the EOQ? Justify your answer. (Marks: 2) d. The manager is currently using an order size of 200 boxes, but wants to make sure he is managing supplies "in a cost efficient manner." Would you recommend that the manager use the optimal order size instead of 200 boxes? Justify your answer. (Marks: 2)

Answers

This problem is related to inventory management. The restaurant named Fush uses an average of 40 boxes of paper serviettes every day. The restaurant operates 260 days per year, and it costs approximately $60 to order and receive a shipment of serviettes. We are asked to find the order size that would minimize the sum of annual ordering and carrying costs, compute the total annual costs using the order size from part (a), and to explain whether annual ordering costs and carrying costs are always equal at the EOQ. We are also asked to justify whether the manager should use the optimal order size instead of 200 boxes. 

a. We are required to calculate the order size that would minimize the sum of annual ordering and carrying costs. \[Total~annual~costs = Total~annual~ordering~costs + Total~annual~carrying~costs\] We know that Fush uses 40 boxes of serviettes every day, and the restaurant operates 260 days per year. Therefore, the annual demand for serviettes is 40 × 260 = 10,400 boxes. The annual ordering cost can be calculated by dividing the annual demand by the order size and then multiplying by the ordering cost per order. The annual carrying cost can be calculated by multiplying the average inventory by the carrying cost per unit. The annual ordering and carrying cost functions can be combined to form the total annual cost function. Finally, the total annual cost function can be differentiated with respect to the order size and equated to zero to find the optimal order size. After solving this equation, the optimal order size comes out to be 204 boxes.
b. In part (b), we need to compute the total annual costs using the order size from part (a). We have already calculated the optimal order size in part (a), which is 204 boxes. Now, we can use the order size to calculate the total annual cost function, which is the sum of annual ordering and carrying costs. The annual ordering cost is 10,400/204 × 60 = $3060, and the average inventory level is 204/2 = 102 boxes. The annual carrying cost is 102 × 30 = $3060. Therefore, the total annual cost is $6120.
c. Except for rounding, annual ordering costs and carrying costs are not always equal at the EOQ. In general, annual ordering costs decrease as the order size increases, while annual carrying costs increase as the order size increases. At the EOQ, the sum of these two costs is minimized, but they are not necessarily equal.
d. The manager is currently using an order size of 200 boxes, but he wants to make sure he is managing supplies "in a cost-efficient manner." We have calculated the optimal order size in part (a), which is 204 boxes. Therefore, we would recommend that the manager use the optimal order size instead of 200 boxes to manage supplies in a cost-efficient manner. The optimal order size is the one that minimizes the sum of annual ordering and carrying costs.

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After launching an advertising campaign encouraging people to read books, a survey was conducted to assess responders reaction to the campaign. Given responders data, we are interested in predicting their new reading habits after the campaign. Is this a regression or a classification problem?
O This is a regression problem. The amount of time spent reading book after the campaign is a continuous random variable.
O This is a classification problem. The number of books read after the campaign is a discrete random variable
O This is both a classifcation and a regression problem. The output variable is both discrete and continuous.
O The question does not make sense. We need additional information on the output variable and how it was measured when the survey was conducted before we can say whether it is a classification or a regression problem.

Answers

In 1913, Henry Ford adopted and improved the assembly-line method at the Ford Motor Company. This is an example of advance technology

It revolutionized the manufacturing process by introducing efficiency and streamlining production, leading to increased productivity and reduced costs.

The assembly-line method allowed for the division of labor, with each worker specializing in a specific task, resulting in faster production and higher output. Ford's innovation paved the way for mass production, making automobiles more affordable and accessible to the general public. This technological advancement had a profound impact on the manufacturing industry, setting a precedent for future innovations in production processes.

Private property rights are an incentive for firms to invest and produce. These rights provide individuals and businesses with legal protection and control over their assets, encouraging them to allocate resources efficiently and take risks in pursuit of profits.

In reality, individuals do not deposit all of their cash into the banking system. Consequently, the money multiplier effects will be smaller. The money multiplier is a concept that explains how an initial deposit in a bank can lead to an expansion of the money supply through lending and subsequent deposits.

From a macroeconomic perspective, it is important for the Federal Reserve to offer discount loans to private banks at turbulent times, when many private banks do not have enough reserves and many depositors want to withdraw their money. During periods of financial instability or economic crises, banks may face liquidity shortages, making it difficult for them to meet withdrawal demands from depositors.

The federal funds rate is the interest rate on loans between private banks. It represents the cost of borrowing reserves held at the Federal Reserve from one bank to another. Banks with excess reserves can lend to banks in need of additional funds to meet reserve requirements or manage liquidity.

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Imagine you have won a free ticket to see a Lady Gaga concert (which has no resale value). Ed Sheeran is performing on the same night and is your next-best alternative activity. Tickets to see Ed Sheeran cost $40. On any given day, you would be willing to pay up to $70 to see Ed Sheeran. Assume there are no other costs of seeing either performer. Based on this information, what is the opportunity cost of seeing Lady Gaga?
A. $0
B. $70
C. $40
D. $30

Answers

The opportunity cost of seeing Lady Gaga is $40.

Opportunity cost refers to the value of the next best alternative foregone when making a choice. In this scenario, the next best alternative to seeing Lady Gaga is attending the Ed Sheeran concert, which costs $40. The given information states that on any given day, the individual would be willing to pay up to $70 to see Ed Sheeran.

However, since the individual has won a free ticket to see Lady Gaga, the only cost they would incur by attending her concert is the opportunity cost of not attending the Ed Sheeran concert, which is $40. Therefore, option C, $40, is the correct answer as it represents the opportunity cost of seeing Lady Gaga.

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The type of the risk that can be elliminated by diversification is called Select one: a. unique or speciflc risk. b. marketrisk. c. systematic risk. d. Interest rate risk.

Answers

The type of risk that can be eliminated by diversification is known as "specific risk" or "unsystematic risk." Specific risk refers to risks that are unique to a particular company or asset and can be mitigated through diversification.

By diversifying their investments across a variety of assets, such as different companies, sectors, or geographic regions, investors can reduce their exposure to specific risks. Diversification helps to smooth out the impact of negative events that may affect individual investments by spreading the risk across a portfolio. However, it's important to note that diversification does not eliminate all types of risk, such as market risk or systematic risk, which are inherent to the overall market conditions and cannot be diversified away. Specific risk refers to risks that are unique to a particular company or asset and can be mitigated through diversification.

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c) Kimberly assigned Francine Powell a project work package
which needs to be completed in 6 months. The approved budget for
this project is 200,000 USD with a constant burnt rate (the same
amount is

Answers

Kimberly assigned Francine Powell a project work package with a 6-month timeline and an approved budget of $200,000. The project is expected to have a constant burn rate, meaning that the expenditure rate remains consistent throughout the duration of the project.

In this scenario, Kimberly has assigned Francine Powell a project work package that needs to be completed within a timeframe of 6 months. Additionally, an approved budget of $200,000 has been allocated for this project. The term "burn rate" refers to the rate at which the budget is being expended or "burned" over time.

The statement mentions that the burn rate is constant, indicating that the expenditure rate remains consistent throughout the entire 6-month period. This means that the project is expected to consume an equal amount of the budget each month. With a budget of $200,000 and a constant burn rate, Francine will need to ensure that the project's expenses align with the allocated budget over the 6-month duration.

Maintaining a constant burn rate allows for better budget management and helps in ensuring that the project's financial resources are utilized efficiently. It provides a clear understanding of the project's financial progress and helps in tracking expenses to avoid budget overruns. By monitoring the burn rate, Francine can make informed decisions and take necessary actions to keep the project on track within the approved budget.

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a) Deft would like to understand the difference in the accounting for the bond if
measured at:
(i) Amortised cost
(ii) Fair value through other comprehensive income
(iii) Fair value through profit or loss

In each case, show the journal entries at the date of purchase and for the year
ending 31 March 2022 and calculate the carrying amount to present in the
Statement of financial position as at that date.

b) Deft has never purchased bonds before, and the directors would like
an explanation as to whether selection from the three classifications above is at their discretion.

Answers

The accounting treatment for a bond can vary depending on how it is measured: (i) amortized cost, (ii) fair value through other comprehensive income, or (iii) fair value through profit or loss. Each method has different implications for the journal entries and the carrying amount of the bond in the Statement of Financial Position. The selection of the classification method is not solely at the discretion of the directors, as it is influenced by specific accounting standards and the characteristics of the bond.

(i) Amortized Cost: When a bond is measured at amortized cost, it is initially recognized at the transaction cost. At the date of purchase, the journal entry would involve debiting the bond at the transaction cost and crediting the cash account. For the year ending 31 March 2022, periodic interest expense and the amortization of any premium or discount would be recorded. The carrying amount in the Statement of Financial Position would be the amortized cost of the bond at that date.

(ii) Fair Value through Other Comprehensive Income: If a bond is measured at fair value through other comprehensive income, it is initially recognized at fair value. The journal entry at the date of purchase would involve debiting the bond at fair value and crediting the cash account. For the year ending 31 March 2022, any changes in fair value would be recognized in other comprehensive income. The carrying amount in the Statement of Financial Position would still be the fair value of the bond, as any changes in fair value are reported outside of profit or loss.

(iii) Fair Value through Profit or Loss: When a bond is measured at fair value through profit or loss, it is also initially recognized at fair value. The journal entry at the date of purchase would involve debiting the bond at fair value and crediting the cash account. However, unlike the previous method, any changes in fair value would be recognized directly in profit or loss in each reporting period. The carrying amount in the Statement of Financial Position would be the fair value of the bond as at 31 March 2022, adjusted for any subsequent changes in fair value.

b) The selection of the classification for the bond is not solely at the discretion of the directors. It is primarily influenced by specific accounting standards, such as International Financial Reporting Standards (IFRS) or Generally Accepted Accounting Principles (GAAP), which provide guidance on the appropriate classification and measurement of financial instruments.

The characteristics of the bond, such as its nature, purpose, and business model of the entity, also play a significant role in determining the appropriate classification. The directors should consult with accounting professionals and refer to the applicable accounting standards to make an informed decision on the classification of the bond.

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Describe and name examples of the four types of information systems classified based on their sphere of influence. For at least two of the examples, comment on whether it could be used to support strategic, tactical and/or operational decisions and descriptive and/or predictive analysis.

Answers

The four types of information systems classified based on their sphere of influence are transaction processing systems (TPS), management information systems (MIS), decision support systems (DSS), and executive information systems (EIS). TPS focus on operational decisions and descriptive analysis, MIS support operational and tactical decisions with descriptive analysis, DSS aid tactical and strategic decisions with descriptive and predictive analysis, and EIS assist strategic decisions with descriptive and predictive analysis.

Transaction processing systems (TPS) are designed to process routine transactions efficiently. They capture and store data related to operational activities, such as sales transactions or inventory updates. TPS primarily support operational decisions by providing real-time information and enabling basic descriptive analysis, such as generating reports on daily sales or inventory levels.

Management information systems (MIS) provide managers with reports and summaries of information derived from TPS. MIS consolidate and analyze data to produce regular reports that help in monitoring and controlling operational activities. They support operational and tactical decisions by providing summarized data for descriptive analysis. For example, an MIS can generate monthly sales reports or budget variance reports for department managers.

Decision support systems (DSS) are interactive systems that support semi-structured and unstructured decision-making. DSS utilize data from multiple sources, including internal databases and external information, to provide analytical tools and models. They assist in tactical and strategic decisions by combining descriptive and predictive analysis. For instance, a DSS may help analyze market trends, perform "what-if" scenarios, or generate sales forecasts based on historical data.

Executive information systems (EIS) are specialized information systems designed for top-level executives. EIS provide a summary of critical information from various sources in a user-friendly format, such as dashboards or graphical displays. They support strategic decisions by offering both descriptive and predictive analysis capabilities. An EIS can provide high-level overviews of the organization's performance, financial indicators, or industry trends, aiding executives in making informed decisions.

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Catherine has been receiving a monthly annuity payment from a life annuity with a 20 year guarantee which she purchased at age 70 . Catherine's sister, Norma, was named the beneficiary after Catherine's husband died several years ago. Norma died last year and Catherine died this year at age 91. To whom will the remaining annuity payment be made? Select one: a. Norma's estate b. No annuity payment is payable c. Catherine's children d. Catherine's estate

Answers

In the scenario provided, the remaining annuity payment would be made to catherine's estate upon her death.

Based on the given information, catherine had been receiving a monthly annuity payment from a life annuity with a 20-year guarantee. the guarantee period ensures that if catherine were to pass away within the guarantee period, the remaining annuity payments would be made to the designated beneficiary or the estate of the beneficiary.

in this case, catherine's sister norma was named the beneficiary of the annuity. however, norma passed away before catherine. as norma predeceased catherine, she would not be eligible to receive any remaining annuity payments. the correct  is:d. catherine's estate

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Most of the beneficial effects of diversification will have been
received by the time a portfolio of ordinary shares contains _____
shares

Answers

Most of the beneficial effects of diversification will have been received by the time a portfolio of ordinary shares contains around 20 to 30 individual shares.

Diversification aims to reduce risk by spreading investments across different assets or securities. By including a variety of shares in a portfolio, the impact of any single company's poor performance is mitigated by the positive performance of others. However, after a certain point, adding more shares to the portfolio does not significantly reduce risk or provide additional benefits. The law of diminishing returns applies to diversification, where the marginal benefit diminishes as more shares are added. Therefore, reaching a portfolio size of around 20 to 30 shares generally .

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Price support is mostly likely to create a. No changes to the market b. Surplus in the market c. Shortage in the market

Answers

Price support, such as a price floor set by the government, is designed to keep prices above the market equilibrium level.

This means that the price floor is set higher than what would be determined by the forces of supply and demand in a free market. When a price floor is set above the equilibrium price, it creates a situation where the quantity supplied exceeds the quantity demanded.

This leads to a shortage in the market equilibrium level because suppliers are willing to supply more goods or services at a higher price, but consumers are not willing to purchase the same quantity at that elevated price. Therefore, price support is most likely to create a shortage in the market.

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If there is a government subsidy for winter wheat farmers not to produce winter wheat, then the
O demand curve for winter wheat will shift to the right.
O demand curve for winter wheat will shift to the left.
O supply curve for winter wheat will shift to the right.
O supply curve for winter wheat will shift to the left.

Answers

If there is a government subsidy for winter wheat farmers not to produce winter wheat, then the supply curve for winter wheat will shift to the left.

A government subsidy for farmers not to produce winter wheat is an example of a supply-side intervention. By providing financial incentives to farmers to reduce or eliminate their production of winter wheat, the government aims to decrease the supply of winter wheat in the market. This reduction in supply shifts the supply curve to the left, indicating that at any given price level, less winter wheat will be supplied to the market.

The demand curve for winter wheat remains unaffected by the government subsidy. The demand for winter wheat is determined by factors such as consumer preferences, population, and market conditions. The subsidy does not directly impact the demand for winter wheat; rather, it influences the behavior of suppliers and their willingness to produce and offer winter wheat in the market.

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which is the correct way to list this degree psychology careerprep

Answers

In order to list a degree in psychology, there are a few things that one needs to keep in mind. Psychology is a highly nuanced field, and the nature of the degree can differ based on the specialization that you choose. An undergraduate degree in psychology is a 4-year program that requires 120 credit hours of coursework.

Here is the correct way to list this degree in psychology: Degree: Bachelor of Science (B.S.) in Psychology

University: XYZ University

Graduation Date: Month YearThis is the standard format for listing any degree, not just a degree in psychology. It is essential to provide accurate information and avoid spelling or grammatical errors. The format may differ depending on the type of degree you have earned. Also, some people may choose to add more information to their degree listing, such as the courses they took, their GPA, or academic honors that they received.Answer in more than 100 words:In psychology, the first degree you may earn is an undergraduate degree that leads to a Bachelor of Science (B.S.) in Psychology. It takes four years and requires 120 credit hours of coursework.

A Bachelor of Science degree in psychology is highly versatile, allowing graduates to work in a variety of fields. An undergraduate degree in psychology provides a solid foundation for pursuing a career in clinical psychology, counseling psychology, or social work.A graduate degree in psychology can be a Master of Arts (M.A.) or a Doctor of Philosophy (Ph.D.) in psychology. A Master of Arts degree typically takes two years to complete, while a Ph.D. may take up to five years or longer, depending on the specialization.

A graduate degree in psychology offers many opportunities for specialization, such as clinical psychology, counseling psychology, educational psychology, and organizational psychology. In conclusion, to list a degree in psychology, one needs to follow the standard format, which includes the degree type, the name of the university, and the graduation date. Whether you have an undergraduate or graduate degree, it is essential to provide accurate information and avoid spelling or grammatical errors. The nature of the degree can differ based on the specialization you choose, but a degree in psychology provides a solid foundation for pursuing a variety of careers.

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If a customer is unwilling to provide information necessary to assess their suitability to hold certain municipal bonds,
In the absence of information reasonably sufficient upon which to base a recommendation, a firm may accept specific authorization from a client to purchase a municipal bond. No recommendations may be made if the necessary information has not been ascertained.
- you may accept their specific instructions

Answers

If a customer refuses to provide the necessary information to evaluate their suitability for certain municipal bonds, a firm can accept specific authorization from the client to purchase the bonds. However, no recommendations can be made in the absence of the required information.

When it comes to assessing suitability for municipal bonds, obtaining relevant information from the customer is crucial. However, if a customer is unwilling to provide the necessary information, a firm may still proceed with the purchase of the municipal bonds if the client explicitly provides specific instructions. In this case, the firm can act on the client's authorization without making any recommendations.

It's important to note that the lack of information creates a significant limitation for the firm. Without the necessary information, it becomes challenging to assess the suitability of the municipal bonds for the customer's specific financial situation and investment objectives. As a result, the firm cannot offer any guidance or recommendations related to the bonds. The client's specific instructions serve as the sole basis for the firm's actions, and they assume the responsibility for the decision-making process regarding the purchase of the municipal bonds.

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130 pts

The infant industry argument claims…

Group of answer choices

that governments should protect some domestic industries until they are internationally competitive.

that free trade is always the best policy.

that countries should focus on developing their current comparative advantage.

All of the above are true

Flag question: Question 14

Question 140 pts

The principle of comparative advantage says that

Group of answer choices

you should specialize in producing goods for which your opportunity costs are relatively low.

trading is generally prohibited by high transactions costs.

you should compare prices before you buy a good or service.

you should specialize only if you can produce something at a lower average cost than other economic actors.

Answers

Economic actors are expected to make informed decisions, which can be determined by comparing opportunity costs and analyzing price differences. One should focus on producing goods for which they have a relative cost advantage, as this can help to reduce the costs of producing goods or services. This means that the cost of producing a unit of a good is lower compared to the cost of production by other economic actors.

By specializing in the production of such goods, the producer can achieve a high level of efficiency and maintain a competitive advantage.The price of goods or services should also be compared before a purchase is made. This means that a consumer should weigh the benefits of purchasing a product against its cost to determine if it is worthwhile. They must compare the prices of different goods or services in order to obtain the best value for their money.

This helps consumers to save money by purchasing goods or services at a lower cost than the retail price.Specialization is only recommended if an economic actor can produce a good or service at a lower average cost than others. By producing at a lower cost, the producer can generate more revenue and increase profitability. This can also lead to increased efficiency and help to maintain a competitive advantage.

Specialization can help an economic actor to improve their skills and resources to increase production capacity. Therefore, it is important to specialize in producing goods or services that can be produced at a lower cost than other economic actors.

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