A small local coffee shop has two suppliers, A and B. Supplier A went bankrupt and had to close its business. Assuming that both suppliers are able to provide the coffee shop with all its needs in term of suppliers, which of the following is likely to happen:a) The bargaining power of supplier B will decreaseb) The bargaining power of supplier B will increasec) The bargaining power of the small coffee shop will increased) The threat of substitute products will increase

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Answer 1

The likely outcome of Supplier A going bankrupt and closing its business is that the bargaining power of Supplier B will increase.

With only one supplier left, the coffee shop is now reliant on Supplier B for all of its needs. This gives Supplier B more leverage in negotiating prices and terms of supply.

However, it is important to note that the small coffee shop may also look for alternative suppliers or explore other options, which could potentially decrease Supplier B's bargaining power. Additionally, the threat of substitute products may not necessarily increase as this depends on the availability and demand for alternative products in the market.

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Store design is a component of theA) pricing mix.B) product mix.C) wholesale mix.D) organizational mix.E) retail mix.

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Store design is a crucial component of the retail mix. The retail mix consists of all the elements that a retailer uses to communicate with customers and create value for them. It includes product assortment, pricing, promotion, and store design. Option E.

Store design involves creating an environment that is attractive, functional, and enhances the shopping experience for customers.
The layout and design of a store play a significant role in attracting customers and encouraging them to make a purchase. A well-designed store can create a positive impression on customers and make them more likely to return in the future. Store design also helps to communicate the brand's image and message to customers.
Store design elements include lighting, color, layout, signage, and displays. Lighting can be used to highlight products and create a welcoming atmosphere. Colors can be used to create a mood or convey a brand's personality. Layout is critical in ensuring that customers can easily navigate the store and find what they are looking for. Signage is used to guide customers and provide information about products. Displays are used to showcase products and attract customers' attention.
In conclusion, store design is a crucial component of the retail mix. It helps to create an attractive and functional environment that enhances the shopping experience for customers. A well-designed store can attract customers, communicate a brand's image, and encourage purchases. Option E.

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What would happen in the beef market if the price of chicken goes down (beef and chicken are considered substitutes by the consumer)?
Demand ( + , - , 0 )
Supply ( + , - , 0 )
Equilibrium Price ( + , - , 0 )
Equilibrium Quantity Exchanged ( + , - , 0 )
Determinant (1-13)
5 points

Answers

If the price of chicken goes down, the demand for beef would decrease.

This is because beef and chicken are considered substitutes by the consumer, so if the price of chicken decreases, people would likely switch to buying more chicken instead of beef. Therefore, the demand curve for beef would shift to the left (decrease) as a determinant of demand (specifically, the price of a related good) changes.

As a result of the decrease in demand, the equilibrium price and quantity of beef would both decrease. The decrease in demand would cause a surplus of beef, as producers would be supplying more beef than consumers are willing to buy at the higher price. In order to get rid of the surplus, producers would have to lower the price of beef, which would lead to a new equilibrium price and quantity.

To summarize:
- Demand: Decreases (-)
- Supply: No change (0)
- Equilibrium Price: Decreases (-)
- Equilibrium Quantity Exchanged: Decreases (-)
- Determinant: Price of a related good (chicken) (specifically, a substitute good) (13)

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we pay insurance co. will pay you $1,425 each quarter for 26 years. you want to earn a minimum interest rate of .98 percent per quarter. what is the most you are willing to pay today for these payments?

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The most you are willing to pay today for these payments is $1,000. This means that if you pay $1,000 today, you will receive $1,425 every quarter for the next 26 years.

To calculate the most you are willing to pay today for these payments, you need to use the present value formula, which calculates the value of future payments in today's dollars. The formula is:

PV = CF / (1 + r)^n

Where PV is the present value, CF is the cash flow (in this case, $1,425), r is the interest rate per quarter (0.98%), and n is the number of quarters (26*4 = 104).

Plugging in the numbers, we get:

PV = 1425 / (1 + 0.0098)^104
PV = 1425 / 1.425
PV = $1,000

Therefore, the most you are willing to pay today for these payments is $1,000. This means that if you pay $1,000 today, you will receive $1,425 every quarter for the next 26 years. Keep in mind that this calculation assumes that the insurance company will make all of the payments as promised and that inflation rates will remain constant. If either of these factors change, the present value of the payments could be different.

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The Fed buys and sells bonds as a part of its policy to reach all of the following objectives except: High unemployment. Economic growth. Stability of financial markets and institutions. Price stability

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The Fed buys and sells bonds as a part of its policy to reach all of the following objectives except high unemployment.

The primary objectives of the Fed's bond-buying and selling activities are to promote economic growth, stability of financial markets and institutions, and price stability. By purchasing bonds, the Fed can increase the money supply, lower interest rates, and stimulate economic activity. Conversely, by selling bonds, the Fed can decrease the money supply, raise interest rates, and slow down economic growth to combat inflation.

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successful firms are very careful in selecting the work to be outsourced. if expectations and requirements are fuzzy or open to debate, working together can become very difficult. the following are ways to clarify requirements and procedures except question 15 options: make sure that different firms' project management systems are integrated. contract only work with clearly defined deliverables with measurable outcomes. establish who has access to certain information through robust safeguards. make sure communication is well structured and interactions are managed to avoid confusion. document your requirements.

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Outsourcing has become a popular practice for many firms, however, selecting the work to be outsourced requires careful consideration and planning. Successful firms understand that expectations and requirements must be clearly defined to avoid any confusion or difficulties when working with an outsourcing partner.

Firstly, they must ensure that their project management systems are integrated with those of their outsourcing partner to facilitate collaboration and communication.

Secondly, they should only contract work that has clearly defined deliverables with measurable outcomes. This will help to avoid any misunderstandings and ensure that both parties are clear on what is expected of them.

Thirdly, firms must establish who has access to certain information through robust safeguards. This is important to protect confidential information and maintain data security.

Fourthly, communication should be well-structured and interactions should be managed to avoid any confusion.

Lastly, firms must document their requirements to ensure that they are clear and can be easily referred to.

Overall, selecting the right work to be outsourced and ensuring that expectations and requirements are clearly defined is crucial for the success of any outsourcing partnership. By following the above steps, firms can help to mitigate any potential issues and improve their chances of success.

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(A) List and explain the characteristics of pure competition and why we study that market structure.
(B) List and explain the 3 decision process questions confronting the producer in pure competition.
(C) From the point of view of the business manager, explain the total revenue total cost approach to determining the profit maximizing level of output and price for the purely competitive firm.

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A)   Pure competition has many sellers and buyers, similar products, perfect information, free entry and exit, and firms must take the market price; it is studied to understand market efficiency.

B)   In pure competition, producers must decide how much to produce, what price to charge, and whether to continue producing or not.

C)   To maximize profit, a purely competitive firm determines the output level where marginal cost equals marginal revenue and sets price equal to marginal cost using the total revenue total cost approach.

What is pure competition ?

A) Characteristics of pure competition:

1. Large number of buyers and sellers: There are numerous buyers and sellers in the market, with none being large enough to influence the market price.

2. Homogeneous products: All firms produce identical products, and consumers are indifferent to buying from one seller or another.

3.Perfect information: All buyers and sellers have access to the same information about market conditions, including prices and product quality.

4. Free entry and exit: Firms can enter or exit the market without any significant barriers, and there are no special advantages for existing firms.

5. Price takers: Each firm in the market must accept the market price as given and cannot influence it.

Studying pure competition is important because it represents an ideal market structure that allows us to study the effects of changes in demand and supply on price and output.

It also helps us to understand the conditions under which markets can be efficient and allocate resources in the most productive way.

B) The three decision process questions confronting the producer in pure competition are:

1. What quantity to produce? The producer needs to decide how much output to produce, given the market price and the cost of production.

2. What price to charge? The producer needs to decide on the price that will maximize profit, given the market conditions and the cost of production.

3. Whether to continue producing or shut down? The producer needs to decide whether to continue producing in the short run, even if it means incurring losses, or to shut down production and exit the market.

C) The total revenue total cost approach to determining the profit maximizing level of output and price for the purely competitive firm involves the following steps:

1. Calculate total revenue (TR) by multiplying the price (P) by the quantity (Q) sold: TR = P × Q.

2. Calculate total cost (TC), which includes both fixed costs (FC) and variable costs (VC): TC = FC + VC.

3. Determine the profit-maximizing level of output (Q*) by finding the quantity at which marginal revenue (MR) equals marginal cost (MC).

4. Determine the profit-maximizing price (P*) by setting the market price equal to marginal cost at the profit-maximizing quantity:

       P* = MC.

5. Calculate total profit by subtracting total cost from total revenue:

   Profit = TR - TC.

In summary, a purely competitive firm will maximize its profit by producing the quantity of output at which marginal revenue equals marginal cost and selling it at the market price equal to marginal cost.

This approach helps managers to make informed decisions about production and pricing strategies in a perfectly competitive market.

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On january 1, 2024, howell enterprises purchases a building for $349,000, paying $59,000 down and borrowing the remaining $290,000, signing a 8%, 10-year mortgage. installment payments of $3,518.50 are due at the end of each month, with the first payment due on january 31, 2024.
Record the first monthly mortgage payment on January 31, 2021.

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The first monthly mortgage payment on January 31, 2024 would be recorded as follows:Debit: Interest expense - $2,320.83

Debit: Mortgage payable (long-term liability) - $1,197.67

Credit: Cash - $3,518.50

The interest expense is calculated as the outstanding mortgage balance at the beginning of the month multiplied by the monthly interest rate. In this case, the outstanding mortgage balance at the beginning of January 2024 is $290,000 (the total mortgage amount minus the down payment), and the monthly interest rate is 8%/12 = 0.67%. So the interest expense for the first month is: $290,000 x 0.0067 = $2,320.83

The mortgage payable account represents the outstanding balance of the mortgage, which decreases with each payment. The amount of principal paid with the first payment is calculated as the total payment amount ($3,518.50) minus the interest expense ($2,320.83):

$3,518.50 - $2,320.83 = $1,197.67

Finally, the cash account is credited for the total payment amount of $3,518.50.

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1. Many sellers2. Homogeneous product3. Small market shares 4. Firms are not concerned about competitors' marketing and production decisions5. Information is freely available6. Freedom of entry and exit

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A perfectly competitive market is characterized by many sellers offering homogeneous products with small market shares.

It seems like you have listed six characteristics of a competitive market. These characteristics are often associated with a perfectly competitive market structure. Let's discuss each characteristic in more detail:

Many sellers: In a competitive market, there are numerous sellers operating in the industry. No single firm has control over the market, and each seller is relatively small compared to the overall market size.

Homogeneous product: The products offered by different sellers in a competitive market are identical or very similar. This means that consumers perceive no significant differences between the products of various sellers.

Small market shares: Since there are many sellers in a competitive market, each firm has a small market share. No single firm can dominate or manipulate the market due to its small size relative to the whole industry.

Firms are not concerned about competitors' marketing and production decisions: In a competitive market, firms are price takers, meaning they have no control over the market price.

Information is freely available: In a competitive market, information regarding prices, costs, product specifications, and market conditions is easily accessible to all market participants. This transparency allows firms to make informed decisions.

Freedom of entry and exit: In a competitive market, there are no significant barriers to entry or exit for new firms. New sellers can enter the market if they perceive potential profits, and existing firms can exit if they are unable to compete effectively.

These characteristics collectively create an environment where market forces of competitive market determine the equilibrium price and quantity in the market. Individual firms have limited market power, and competition ensures efficiency and encourages innovation.

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Long-term delst Common stock equity (20.000 chares outstanding) Retained carming Total stockholders' equity Total babilities and stockholders' equity $190.000 S110.200 73.100 $183,100 $408,300 ement analysis The financial statements of Zach Industries for ber 31, 2019, follow. Zach Industries Income Statement for the Year Ended December 31. 2019 $160.000 106.000 $ 54,000 Sales revenue Less: Cost of goods sold Gross profits Less: Operating expenses Selling expense General and administrative expenses Lease expense Depreciation expense Total operating expense Operating profits Less: Interest expense Net profits before taxes Less: Taxes Net profits after taxes $ 16,000 10,000 1,000 10,000 $ 37,000 $ 17,000 6,100 $ 10,900 4,360 $ 6,540 7. Nores.yayable Yo went hatte grem debe Commerce Retseringe Toral liabilities and stockholders' equity 239 3116 26.50 S130.000 sims 3.000 uning shares of common rock crowd 2019 price of $2 per share complete the following a. Use the preceding financial statements to Assume that the industry averages given in the table are 2018 and 2019 re applicable Ratio Industry average Metal Current ratio Quick ratio Inventory turnover Average collection period Debt ratio Times interest earned ratio Gross profit margin Net profit margin Return on total assets Return on common equity Market/book ratio 1.80 0.70 2.50 37.5 days 65% 3.8 38% 3.5% 4.0% Actual 2018 1.84 0.78 2.59 36.5 days 67% 4.0 40% 3.6% 4.0% 8.0% 9.5% 1.1 1.2 "Based on a 365-day year and on end-of-year figures. Analyze Zach Industries' financial condition as it is related to (2) activity, (3) debt, (4) profitability, and (5) market. Summarize the company's overall financial condition.

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(2) The current ratio, quick ratio, inventory turnover, and average collection period of Zach Industries indicate a healthy liquidity position.

(3) Zach Industries' debt ratio and times interest earned ratio suggest that the company has a moderate level of debt but is still able to cover interest expenses.

(4) The gross profit margin, net profit margin, return on total assets, and return on common equity of Zach Industries demonstrate profitability levels that are in line with industry averages.

(5) Zach Industries' market/book ratio suggests that the market values the company lower than its book value, which may be due to perceived risks or growth prospects.

To analyze Zach Industries' financial condition, we can use the industry averages given in the table as benchmarks for comparison.

2. Activity:

a. Current ratio:

Current Ratio = Current Assets / Current Liabilities

The current ratio of Zach Industries in 2019 is:

Current Ratio = $110,200 / $37,000 = 2.98

The industry average for current ratio is 1.80. Zach Industries' current ratio is higher than the industry average, indicating that the company has sufficient current assets to cover its short-term obligations.

b. Quick ratio:

Quick Ratio = (Current Assets - Inventory) / Current Liabilities

The quick ratio of Zach Industries in 2019 is:

Quick Ratio = ($110,200 - $16,000) / $37,000 = 2.41

The industry average for quick ratio is 0.70. Zach Industries' quick ratio is significantly higher than the industry average, indicating that the company can meet its short-term obligations without relying on inventory sales.

c. Inventory turnover:

Inventory Turnover = Cost of Goods Sold / Average Inventory

The inventory turnover of Zach Industries in 2019 is:

Inventory Turnover = $106,000 / [(Beginning Inventory + Ending Inventory) / 2]

Assuming beginning inventory = ending inventory

Inventory Turnover = $106,000 / ($16,000 / 365) = 24.06 times

The industry average for inventory turnover is 2.50. Zach Industries' inventory turnover is significantly higher than the industry average, indicating that the company is efficient in managing its inventory.

d. Average collection period:

Average Collection Period = Accounts Receivable / (Annual Credit Sales / 365)

The average collection period of Zach Industries in 2019 is:

Average Collection Period = $16,000 / ($160,000 / 365) = 36.5 days

The industry average for average collection period is 37.5 days. Zach Industries' average collection period is in line with the industry average, indicating that the company is efficient in collecting its receivables.

3. Debt:

a. Debt ratio:

Debt Ratio = Total Debt / Total Assets

The debt ratio of Zach Industries in 2019 is:

Debt Ratio = ($130,000 - $26,500) / $183,100 = 56.10%

The industry average for debt ratio is 67%. Zach Industries' debt ratio is lower than the industry average, indicating that the company has a lower level of debt relative to its assets.

b. Times interest earned ratio:

Times Interest Earned Ratio = Operating Profits / Interest Expense

The times interest earned ratio of Zach Industries in 2019 is:

Times Interest Earned Ratio = $17,000 / $1,000 = 17 times

The industry average for times interest earned ratio is 3.8. Zach Industries' times interest earned ratio is significantly higher than the industry average, indicating that the company has sufficient earnings to cover its interest expenses.

4. Profitability:

a. Gross profit margin:

Gross Profit Margin = Gross Profit / Sales Revenue

The gross profit margin of Zach Industries in 2019 is:

Gross Profit Margin = $54,000 / $160,000 = 33.75%

The industry average for gross profit margin is 40%. Zach Industries' gross profit margin is lower than the industry average, indicating that the company has lower profitability in its sales.

b. Net profit margin:

Net Profit Margin = Net Profit / Sales Revenue

The net profit margin of Zach Industries in 2019 is:

Net Profit Margin = $6,540 / $160,000 = 4.09%

The industry average for net profit margin is 3.6%.

5. Market:

In terms of market performance, Zach Industries has a higher market-to-book ratio than the industry average, indicating that investors are willing to pay a premium for the company's shares compared to its book value.

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Two countries - Country One and Country Two initially have the same real GDP per capita. Country One experiences no economic growth, while Country Two grows at a sustained rate of 5 percent. IN 14 years, Country One's GDP will be approximately ___________ that of Country Two.
a - one-fourth
b - one-half
c - double
d - triple

Answers

In 14 years, Country Two's GDP will be approximately double that of its initial GDP due to its sustained growth rate of 5 percent. Meanwhile, Country One's GDP will remain the same. Therefore, in 14 years, Country One's GDP will be approximately half that of Country Two's. Therefore, the answer is b - one-half.


solve this problem step by step:
1. Let's denote the initial real GDP per capita of both countries as "G".
2. In 14 years, Country One experiences no economic growth, so its real GDP per capita remains the same: G.
3. Country Two grows at a sustained rate of 5 percent. To find the GDP after 14 years, we can use the formula:
Future GDP = Initial GDP × (1 + growth rate) ^ number of years
4. For Country Two, this formula would be:
Future GDP_CountryTwo = G × (1 + 0.05) ^ 14
5. Now, we need to find the ratio of Country One's GDP to Country Two's GDP after 14 years:
Ratio = GDP_CountryOne / GDP_CountryTwo
Ratio = G / (G × (1 + 0.05) ^ 14)
6. Simplify the expression:
Ratio = 1 / (1 + 0.05) ^ 14
Ratio ≈ 1 / 1.98
Ratio ≈ 0.505
7. Given the ratio, Country One's GDP will be approximately one-half that of Country Two after 14 years.
answer: b - one-half

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5. what types of products are well suited to for an auction market, and at what point in the product life cycle can auction markets prove beneficial for marketers?

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The types of products that are well suited for an auction market include unique, rare, or high-value items, collectibles, and goods with uncertain or fluctuating value. Examples of these products are antiques, artwork, real estate, used vehicles, and collectible items like stamps or coins.

These products often attract buyers seeking exclusive or rare items, and sellers benefit from competitive bidding, which can potentially drive up the final sale price.

Auction markets can prove beneficial for marketers at various points in the product life cycle, particularly during the introduction and decline stages.

In the introduction stage, auction markets can help create buzz and excitement around a new product, encouraging early adopters to bid and set a high initial price. This helps establish the product's value and can increase demand.

During the decline stage, when a product's sales are decreasing, and it is nearing the end of its life cycle, auction markets can be useful for liquidating inventory and maximizing returns. By offering products at auction, marketers can appeal to bargain hunters, generate interest, and sell off excess inventory, while still maintaining a profit.

In summary, auction markets are well suited for unique, rare, or high-value items and can prove beneficial for marketers during the introduction and decline stages of the product life cycle. By leveraging auction markets, marketers can create excitement, set product value, and maximize returns during these crucial periods.

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Suppose that in year I every adult in the country works 40 hours a week and GDP is $6.7 trillion. In year 2 exery adult in the country works 45 hours a week and GDP is $7.5 trillion, Which of the following statements is true? a. Government transfer payments were higher in year 2 than in year 1. b. Per-capita GDP is necessarily higher in year 2 than year 1. c. none of the above d. People are "better off" in year 2 than in year 1 because there are more goods and services in year 2 than year e. a and b

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The correct answer is e, a and b. The increase in GDP from year 1 to year 2 suggests that there was more economic activity in year 2, which could mean that there were more goods and services produced and consumed.

This means that people are better off in year 2 because they have access to more goods and services than in year 1. Additionally, since every adult in the country worked more hours in year 2 than in year 1, it is possible that per capita GDP is also higher in year 2.

However, we cannot say for certain without knowing the population size and how it changed between year 1 and year 2. We cannot determine whether government transfer payments were higher in year 2 than in year 1, as this information is not given in the question.

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In 2020, NB Incorporated's federal taxable income was $242,000. Compute the required installment payments of 2021 tax in each of the following cases: Required: a. NB's 2021 taxable income is $593,000. b. NB's 2021 taxable income is $950,000. c. NB's 2021 taxable income is $1,400,000. Amount a. Total installment payments b. Total installment payments c. Total installment payments

Answers

a. Total installment payments: The 2021 taxable income ($593,000) would be subject to a federal tax rate of 24%, and the total installment payment due would be $142,032 ($593,000 x 24%).

b. Total installment payments: The 2021 taxable income ($950,000) would be subject to a federal tax rate of 35%, and the total installment payment due would be $332,500 ($950,000 x 35%).

c. Total installment payments: The 2021 taxable income ($1,400,000) would be subject to a federal tax rate of 37%, and the total installment payment due would be $518,000 ($1,400,000 x 37%).

The installment payments are based on the applicable federal income tax rate for the current year. The federal income tax rate is determined by the taxpayer’s taxable income for the year and the applicable tax brackets. The taxpayer’s taxable income is determined by subtracting any deductions and credits from the taxpayer’s total income for the year.

The installment payments are due quarterly and are based on the taxpayer’s estimated tax liability for the year. If the taxpayer’s estimated tax liability exceeds their total income tax liability, they will be required to make additional payments in order to avoid any penalties.

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94Q. When cleaning fitness equipment, it is important not to use:

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When cleaning fitness equipment, it is important not to use harsh chemicals or abrasive materials that can damage the equipment's surface.

This is because the equipment's surface is usually made of sensitive materials such as plastic, rubber, and metal that can be scratched or corroded when exposed to abrasive materials or harsh chemicals. Using such materials can weaken the equipment's structure and lead to the formation of cracks or other damages.
Moreover, it is important not to use water or other liquids in areas where they can seep into electrical components or mechanisms. If water gets into these areas, it can cause short circuits or damage the equipment's electrical system, making it unsafe to use. Additionally, it is important to avoid using bleach, ammonia, or other strong chemicals as they can damage the equipment's protective coating and create an unsafe environment for users.
To properly clean fitness equipment, it is recommended to use a mild detergent or cleaning solution mixed with water. A soft cloth or sponge can be used to apply the solution, and the equipment can be wiped dry with a clean towel or cloth. It is also important to follow the manufacturer's cleaning guidelines for specific equipment and to clean the equipment regularly to prevent the buildup of bacteria and germs.
In conclusion, using harsh chemicals or abrasive materials when cleaning fitness equipment can damage the equipment's surface and electrical components, making it unsafe to use. It is important to use mild cleaning solutions and follow the manufacturer's cleaning guidelines to keep the equipment in good condition and ensure a safe workout environment.

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Vida is a purchasing agent for Wholesome Foods with the authority to buy grain up to a certain quantity. After the grain is bought, the agency relationship terminates

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Vida is acting as an agent for Wholesome Foods in the capacity of a purchasing agent. She has been granted the authority to buy grain up to a certain quantity.

This authority establishes an agency relationship between Vida and Wholesome Foods. Once Vida has completed the purchase of the grain, the agency relationship terminates as her authority is limited to that specific transaction. Vida no longer has the power to act on behalf of Wholesome Foods in any future transactions.

Vida, as a purchasing agent for Wholesome Foods, has the authority to buy grain up to a specified quantity. Once the grain purchase is completed, the agency relationship between Vida and Wholesome Foods terminates.

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kyz inc's stock if the company is expected to pay an annual dividend of $5.00, the dividends increase by 2 percent annually. and you require a return of 11 percent?

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Based on the information provided, Kyz Inc.'s stock has an annual dividend of $5.00. This dividend increases by 2 percent annually. To determine if this stock meets your required return of 11 percent, you would need to calculate the expected return on the stock.

To calculate the expected return on Kyz Inc.'s stock, you can use the dividend discount model. This model calculates the present value of all future dividend payments and adds the expected capital gain from the stock price appreciation. Using this model, the expected return on Kyz Inc.'s stock would be:

Expected Return = (Dividend Payment / Stock Price) + Dividend Growth Rate

Let's assume that Kyz Inc.'s stock is currently trading at $50. Using this assumption and the information provided, the expected return on Kyz Inc.'s stock would be:

Expected Return = ($5.00 / $50) + 0.02 = 0.12 or 12%

This expected return is greater than your required return of 11 percent, which means that Kyz Inc.'s stock is a good investment for you.

To help you with your question, let's calculate the value of KYZ Inc's stock using the Dividend Growth Model. The terms we'll use are "stock", "dividend", "annually", and "return".

Step 1: Identify the variables
Dividend (D1) = $5.00
Dividend growth rate (g) = 2% or 0.02
Required return (r) = 11% or 0.11

Step 2: Calculate the stock value
The Dividend Growth Model formula is: Stock Value = D1 / (r - g)
Substitute the variables: Stock Value = $5.00 / (0.11 - 0.02)

Step 3: Solve for Stock Value
Stock Value = $5.00 / 0.09
Stock Value = $55.56

The value of KYZ Inc's stock is $55.56, given an annual dividend of $5.00, a 2% annual increase in dividends, and a required return of 11%.

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Henlin Dormitory has total annual gross receipts of P1,600,000 from the rent of rooms for residential purposes. Its operating expenses during the year amounted to P500,000. If the rooms are being rented out at P16,000 per month, how much is the amount of business tax?

Answers

The amount of business tax for Henlin Dormitory is P33,000.

Based on the information given, we can calculate the total gross receipts for the year by multiplying the monthly rent by the number of rooms and the number of months in a year:

Total gross receipts = Monthly rent x Number of rooms x Number of months

Total gross receipts = P16,000 x Number of rooms x 12 months

Total gross receipts = P1,600,000

Next, we can calculate the taxable gross receipts by subtracting the operating expenses from the total gross receipts:

Taxable gross receipts = Total gross receipts - Operating expenses

Taxable gross receipts = P1,600,000 - P500,000

Taxable gross receipts = P1,100,000

Finally, we can compute the business tax using the following formula:

Business tax = Taxable gross receipts x 3%

Business tax = P1,100,000 x 0.03

Business tax = P33,000.

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paul goes to sportsmart to buy a new tennis racquet. he is willing to pay $200 for a new racquet, but buys one on sale for $125. paul's consumer surplus from the purchase is:______.

Answers

Answer:

$75

Explanation:

Consumer surplus is when a customer pays less than the amount they are willing to pay. He was willing to pay up to $200 but only spent $125, meaning there is a $75 gap, money which he was willing to spend but did not need to.

Paul's consumer surplus from buying the tennis racquet on sale at Sportsmart is $75.

Consumer surplus is the difference between what a consumer is willing to pay for a good and what they actually pay for it. In this case, Paul was willing to pay $200 for a new tennis racquet, but he was able to purchase one on sale for only $125. This means he saved $75 from his maximum willingness to pay.

Consumer surplus is an important concept in economics as it measures the value that consumers place on a good. It shows how much they benefit from purchasing a good at a price lower than what they are willing to pay. In this case, Paul's consumer surplus shows that he is getting more value from his purchase than what he paid for it. It also highlights the importance of sales and discounts in consumer decision-making. Consumers are more likely to buy a good if they can get it for a lower price, as it increases their consumer surplus.

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According to Singapore Financial Reporting Standards (International) (SFRS(I) 1-2, Inventories, the cost of inventories "shall be assigned by using the first-in, first-out (FIFO) or weighted average cost formula" (SFRS(I) 1-2 Paragraph 25). First-in first-out (FIFO) method The FIFO method assumes that the items of inventory that were purchased or produced first are sold first, and consequently the items remaining in inventory at the end of the period are those most recently purchased or produced" (SFRS(I) 1-2 Paragraph 27).

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The items remaining in the inventory at the end of the period are those most recently purchased or produced.

According to Singapore Financial Reporting Standards (International) SFRS(I) 1-2, Inventories, the cost of inventories must be assigned using either the first-in, first-out (FIFO) or weighted average cost formula. The FIFO method as explained in SFRS(I) 1-2 Paragraph 27,  assumes that the inventory items that were acquired or produced first are sold first, meaning that the items remaining in inventory at the end of the period are the ones that were most recently purchased or produced. Therefore, under the FIFO method, the cost of inventories sold is determined by using the cost of the oldest items in inventory, while the cost of inventories remaining in stock is based on the cost of the most recent items acquired. This method is commonly used in situations where there is a consistent increase in the cost of inventory over time.

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The complete question is :

According to Singapore Financial Reporting Standards (International) (SFRS(I)) 1-2, Inventories, the cost of inventories "shall be assigned by using the first-in, first-out (FIFO) or weighted average cost formula” (SFRS(1) 1-2 Paragraph 25). First-in first-out (FIFO) method The FIFO method “assumes that the items of inventory that were purchased or produced first are sold first, and consequently the items remaining in inventory at the end of the period are those most recently purchased or produced" (SFRS(1) 1-2 Paragraph 27). Weighted average method Under the weighted average method, "the cost of each item is determined from the weighted average of the cost of similar items at the beginning of a period and the cost of similar items purchased or produced during the period. The average may be calculated on a periodic basis, or as each additional shipment is received, depending upon the circumstances of the entity." (SFRS(I) 1-2 Paragraph 27). Effects of FIFO versus weighted average method in an environment of increasing prices In an environment of increasing prices, inventory purchased earlier during the year would cost less than inventory purchased later during the year. Cost of goods sold based on FIFO, which assumes that older inventory is sold before newer inventory, would be lower than cost of goods sold based on weighted average. This means net profit and total equity would be higher under FIFO than under the weighted average method. Ending inventory based on FIFO, which assumes that the remaining unsold inventory is the newer inventory, would be higher than ending inventory based on weighted average. This means net assets would be higher under FIFO than under the weighted average method. Required: (a) Discuss the decision usefulness of FIFO versus weighted average method, based on the qualitative characteristics of useful financial information in the Conceptual Framework for Financial Reporting issued by Accounting Standards Council Singapore.

The first step in identifying appropriate assessment strategies is to:a. consult with a colleague about which tests he or she uses.b. examine the Mental Measurements Yearbook..c. identify what information is needed.d. order an introductory kit from the publisher.

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The first step in identifying appropriate assessment strategies is to c. identify what information is needed.

This is crucial because, before selecting any specific assessment tools or methods, you must have a clear understanding of the objectives and desired outcomes of the assessment. By knowing what information is needed, you can then choose assessment strategies that are tailored to meet those specific needs.

Consulting with a colleague or examining resources like the Mental Measurements Yearbook may be helpful in finding appropriate assessments, but they should not be the first step. These options should be considered after identifying the necessary information, as they can provide insights into which tests or assessment strategies have been proven effective in similar situations.

Ordering an introductory kit from a publisher without first understanding the required information would not be an efficient or effective approach, as the kit may not address the specific needs of the assessment. In conclusion, always start by identifying the information needed to ensure the chosen assessment strategies align with your objectives and provide accurate and reliable results.

Therefore, the correct answer is c. identify what information is needed.

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now that you've identified the target market, you must determine the desired response to your communication and help build a customer-brand relationship with take-a-ride. keeping your target market in mind, choose the best communication objective for your first campaign.

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The best communicative objective for the first campaign is Personal selling and Public relations.

Communication is the sharing of thoughts, words, and emotions between two or more people. As one person talks or interacts and the other side answers, it frequently includes feedback.

Take-a-ride's relationship with its customers is cultivated through communication. Public relations: Send a press release announcing the start of the bike-sharing program to regional media outlets.

Place Take-A-Ride sales representatives at bike-share rental facilities so they may speak with potential customers face-to-face which is called as Personal selling.

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ticles in gardening magazine often spur sales of the plants they describe, particularly among people new to gardening. accordingly, we will no longer publish articles or accept advertisements praising the beauty of rare wildflowers. most such plants so

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The decision has been made to stop publishing articles and advertisements that promote the beauty of rare wildflowers in gardening magazines.

The reason for this decision is that articles in gardening magazines have been found to significantly boost sales of the plants they feature, particularly among novice gardeners. As a result, promoting the beauty of rare wildflowers in magazines could lead to an increase in sales, which could have a negative impact on the population of these plants in the wild.

This decision is based on the fact that articles in gardening magazines often lead to increased sales of the plants they describe, especially among people new to gardening. By not featuring rare wildflowers in the magazine, the goal is to prevent overharvesting and protect these vulnerable plant species.

Therefore, to prevent the potential harm to rare wildflowers, the decision has been made to no longer feature them in gardening magazines.

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human resource management is the process of deciding the number and types of employees your business needs, and then recruiting, selecting, developing, motivating, evaluating, compensating, and scheduling employees to achieve organizational goals. True or False?

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True. The main goal of human resource management is to ensure that the organization has the right number and types of employees with the necessary skills and competencies to achieve its objectives.

This involves a range of activities including recruitment, selection, training and development, performance management, compensation and benefits, and workforce planning and scheduling.
The statement "Human resource management is the process of deciding the number and types of employees your business needs, and then recruiting, selecting, developing, motivating, evaluating, compensating, and scheduling employees to achieve organizational goals" is True.

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Open-End Mutual Funds Open-end mutual funds are the most common type of investment company. Which of the following statements characterize these funds? Check all that apply a.Increase diversification but do not reduce nonsystematic risk b.Require minimum purchases of $3,000 c.Charge high fees in exchange for professional management d.Fairly liquid investments e.Issue new shares in response to increased demand

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Open-end mutual funds are investment companies that pool money from individual investors to purchase a diversified portfolio of stocks, bonds, or other securities.

These funds are designed to offer investors access to professionally managed portfolios, which can help to increase diversification and potentially reduce systemic risk.

One of the key features of open-end mutual funds is their ability to issue new shares in response to increased demand. This means that when investors want to purchase shares in the fund, the fund manager can create new shares to meet that demand.

Conversely, when investors want to sell their shares, the fund manager can redeem those shares, effectively reducing the size of the fund.

Open-end mutual funds also tend to be fairly liquid investments, meaning that investors can generally buy or sell their shares on any business day.

However, this liquidity can come with some costs, such as bid-ask spreads, which represent the difference between the buying and selling prices of the fund's shares.

While open-end mutual funds can provide access to professional management and potentially reduce systemic risk, they do not necessarily reduce nonsystematic risk.

Nonsystematic risk refers to the risk that is specific to an individual company or sector, and investing in a single mutual fund is unlikely to completely eliminate this type of risk.

Additionally, open-end mutual funds can charge fees for their professional management, which can vary depending on the fund and the management style.

Overall, open-end mutual funds can be a useful tool for investors seeking exposure to a diversified portfolio of securities and professional management.

However, it's important to carefully consider the fees and risks associated with these funds before making any investment decisions.

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which of the following is a reason that a corporation would prefer to issue stock instead of bonds? multiple choice all of the other answer choices are correct. expansion is accomplished without surrendering ownership control. the risk of going bankrupt is less. dividend payments can be deducted for income tax purposes but interest payments cannot.

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Reasons that a corporation would prefer to issue stock instead of bonds are:

B: Expansion is accomplished without surrendering ownership control.

D: Dividend payments can be deducted for income tax purposes but interest payments cannot.

Both of these are valid reasons that a corporation might prefer to issue stock instead of bonds. By issuing stock, the corporation can raise capital without incurring debt or having to pay interest, which can be advantageous in certain circumstances. Additionally, issuing stock allows the corporation to raise funds without diluting ownership control, which can be important for companies that want to maintain their independence and autonomy.

However, it is not accurate to say that the risk of going bankrupt is less when issuing stock, as both stocks and bonds carry some level of risk for investors.

Options B and D are correct answers.

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An auditor most likely would extend substantive tests of payroll when: Multiple Choice payroll is extensively audited by the state government. payroll expense is substantially higher than in the prior year due to company growth. overpayments are discovered in performing tests of details. employees complain to management about too much overtime.

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An auditor would most likely extend substantive tests of payroll when overpayments are discovered in performing tests of details, as this suggests a potential risk of material misstatement. Therefore, option C is correct.

By extending substantive tests, the auditor can obtain additional evidence to confirm the accuracy and completeness of payroll transactions and account balances, as well as identify any material misstatements.

Payroll expense being substantially higher than in the prior year due to company growth or employees complaining to management about too much overtime are not necessarily indicators of a potential misstatement.

They may warrant further investigation, but they do not directly relate to the accuracy of payroll transactions or account balances.

Similarly, the fact that payroll is extensively audited by the state government does not necessarily mean that an auditor should extend substantive tests of payroll, as the state government may have different audit objectives and procedures.

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acob stores, a retail outlet, pays hide corp., a leather goods manufacturer, for the supply of 1000 units of a product. however, some of the goods that are delivered are damaged. when jacob stores threatens to sue hide, the latter offers compensation for the inconvenience caused. it also offers to waive the charges for the damaged goods. jacob stores agrees to this deal. this scenario is an example of a(n)

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This scenario is an example of a settlement. A settlement is a resolution of a legal dispute between two parties, often reached outside of court.

In this case, Jacob Stores threatened to sue Hide Corp. due to the delivery of damaged goods. However, instead of going through the legal process, both parties agreed to a settlement. Hide Corp. offered compensation for the inconvenience caused and waived the charges for the damaged goods, and Jacob Stores agreed to this deal. This type of resolution can save time and money for both parties, as well as avoiding the uncertainty of a court decision. Settlements can also help maintain a good business relationship between the parties involved.

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odessa is writing the marketing plan for her bed and breakfast. she has written that her market includes everyone from infants to the elderly. this is incorrect because: a. customers must have purchasing power. b. the elderly are not likely to have unsatisfied needs. c. infants cannot write. d. infants do not make buying decisions.

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The answer to the question is that Odessa's statement that her market includes everyone from infants to the elderly is incorrect because customers must have purchasing power. This means that infants and young children, for example, are not part of the market since they do not have the ability to make purchasing decisions on their own.

Furthermore, including the elderly in the market may not be accurate since they may not have unsatisfied needs for a bed and breakfast. Additionally, infants are not part of the market since they cannot make buying decisions, and therefore cannot be considered potential customers. By targeting a broad range of customers, Odessa's marketing plan may not be effective in reaching her actual target market, which would consist of individuals or groups with the ability and desire to purchase her bed and breakfast services.

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Suppose Green Caterpillar Garden Supplies Inc. is evaluating a proposed capital budgeting project (project Alpha) that will require an initial investment of $450,000. The project is expected to generate the following net cash flows: Year Cash Flow Year 1 $300,000 Year 2 $425,000 Year 3 $500,000 Year 4 $450,000 Green Caterpillar Garden Supplies Inc.'s weighted average cost of capital is 7%, and project Alpha has the same risk as the firm's average project. Based on the cash flows, what is project Alpha's net present value (NPV)? O $1,403,037 O $953,037 O $1,095,993 $1,453,037

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To calculate the net present value (NPV) of project Alpha, we need to discount the expected cash flows back to their present value and subtract the initial investment. Project Alpha's net present value is $969,037

We use the company's weighted average cost of capital (WACC) as the discount rate because it represents the minimum rate of return the company requires to invest in a project.

First, we calculate the present value of each cash flow using the formula: Present Value = [tex]Cash Flow / (1 + WACC)^n[/tex] where n is the number of years from the present (Year 0) to the year of the cash flow.

[tex]Year 1 cash flow = $300,000 / (1 + 0.07)^1 = $280,374Year 2 cash flow = $425,000 / (1 + 0.07)^2 = $368,052Year 3 cash flow = $500,000 / (1 + 0.07)^3 = $426,559Year 4 cash flow = $450,000 / (1 + 0.07)^4 = $345,052[/tex]

Next, we sum the present values of all the cash flows:

NPV = Present Value of Year 1 + Present Value of Year 2 + Present Value of Year 3 + Present Value of Year 4 - Initial Investment NPV = $280,374 + $368,052 + $426,559 + $345,052 - $450,000, NPV = $969,037

Based on the calculations, project Alpha has a net present value (NPV) of $969,037. This means that the project is expected to generate a positive return above the required minimum rate of return (WACC) and is a good investment for Green Caterpillar Garden Supplies Inc.

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____ is the management function that involves setting goals, strategies, and tactics for achieving the organization's goals and objectives.

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The management function that involves setting goals, strategies, and tactics for achieving the organization's goals and objectives is called strategic planning.

Strategic planning is the process of defining an organization's direction and making decisions on allocating its resources to pursue this direction.

It involves analyzing an organization's strengths and weaknesses, understanding the opportunities and threats in the external environment, and developing a plan to achieve the organization's goals.

Strategic planning typically involves setting long-term goals and objectives, identifying the actions and resources required to achieve these goals, and creating a roadmap for implementing and monitoring progress towards these goals.

It is a critical process that helps organizations to stay focused on their mission and vision, adapt to changing market conditions, and allocate resources effectively.

Strategic planning is typically done at the highest levels of an organization, involving top executives and board members, and it guides the decision-making process throughout the organization.

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