Q5
Hassan’s income increases and, as a result, he buys more fish.
Is fish an inferior or a normal good? Why? What happens to Hassan’s
demand curve for fish? Explain.
Q6
Over the past 30 years, tec

Answers

Answer 1

Fish is a normal good for Hassan. A normal good is a product for which demand increases as income rises, as is the case with fish and Hassan's increased income. When Hassan's income increases, he has more disposable income available to spend on various goods, including fish. Since he chooses to buy more fish, it suggests that fish is a normal good for him.

As Hassan's income increases, his demand curve for fish will shift to the right. This means that at each price level, Hassan will demand a higher quantity of fish compared to before. The shift of the demand curve to the right indicates an increase in demand for fish, which is a direct result of Hassan's increased income.

The increase in Hassan's income leads to a positive income effect on his demand for fish, resulting in a shift in the demand curve. This demonstrates the normal good nature of fish for Hassan, as his increased income leads to an increased quantity demanded of fish.

In conclusion, fish is considered a normal good for Hassan. As his income increases, he purchases more fish, indicating that fish is a product for which demand rises with rising income. This aligns with the definition of a normal good. Additionally, the shift in Hassan's demand curve for fish to the right confirms that his increased income has a positive income effect on his demand for fish. The shift implies an increase in the quantity demanded at each price level, further supporting the notion that fish is a normal good for Hassan. Therefore, the evidence suggests that Hassan's increased income positively influences his demand for fish, confirming its status as a normal good in his consumption pattern.

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Related Questions

Ross Hopkins, president of Hopkins Hospitality has developed the tasks, durations, and predecessor relationships in the following table for balding new mo Time (weeks) Immediate Time (wok) m Activity

Answers

Ross Hopkins, the President of Hopkins Hospitality, has formulated the tasks, durations, and predecessor relationships for the new balding mo time in the following table. The balding mo time, including the tasks, their duration, and immediate time, is tabulated as follows:

Activity Duration Immediate Time (weeks)A7- B4A12- C3B5- D2C5- E6D4- E2The table mentioned above shows that the new balding mo project comprises five activities. Activity A, B, C, D, and E. Each activity has a duration and an immediate time (weeks) required to finish them.

Activity A has a duration of seven weeks and immediately precedes activity B, which has a duration of four weeks. Activity A and B will take a total of 11 weeks to complete. Activity C follows activity B and has a duration of three weeks.Activity D follows activities B and C. It has a duration of two weeks, and its immediate successor is activity E, which will take six weeks to complete.

However, Activity E has two immediate predecessors - activities C and D.Both activities have to be completed before starting activity E. Activity D will take two weeks to complete and is a predecessor to activity E. Based on these tabulated details, the project will take a total of 12 weeks to complete.All the tasks and their predecessors are defined in the table above. Each task is shown in a sequence, followed by its immediate time and duration.

To finish the project successfully, the team has to follow these sequences, and the tasks should be completed within the mentioned duration, and predecessor relationships must be adhered to.

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which of the following is typically not the responsibility of the contract management team?a. analysis of the financial impact of providing the patient servicesb. determining whether services are set up to reflect the proper cpt/hcpcs codes and revenue codes on the billing claimc. analyzing whether discount rates are providing financial incentives that steer the patient populationd. understanding the local competitors and the market rates for servicesa. work value and extent of the physical examb. malpractice expenses and detail of the patient historyc. work value and practice expensesd. practice expenses and review of systems

Answers

The responsibility that is typically not assigned to the contract management team is understanding the local competitors and the market rates for services, option d is correct.

While the contract management team plays a crucial role in overseeing contracts, negotiations, and compliance, their primary focus lies in managing contractual agreements, ensuring compliance with terms and conditions, and optimizing financial performance.

Options a, b, and c are typically within the purview of the contract management team. They analyze the financial impact of providing patient services, determine if services are correctly coded for billing claims, and assess whether discount rates incentivize the patient population. These responsibilities directly relate to the financial aspects of contract management and revenue generation, option d is correct.

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The complete question is:

Which of the following is typically not the responsibility of the contract management team?

a. analysis of the financial impact of providing the patient services

b. determining whether services are set up to reflect the proper cpt/hcpcs codes and revenue codes on the billing claim

c. analyzing whether discount rates are providing financial incentives that steer the patient population

d. understanding the local competitors and the market rates for services

Firm A has a dividend reinvestment plan for its shareholders. Historically, approximately 65 percent of the shareholders will take advantage of the dividend reinvestment plan, and shares are sold at 95 percent of the current market price. The company has declared a cash dividend that will provide $1,000,000 in dividends. If the current market price of the company’s shares is $25.00, how many new shares will the company expect to issue? (Assume that the company can issue partial shares.)

Select one:

a. 27,368.42

b. 40,000.00

c. 14,736.84

d. 42,105.26

Answers

The correct option is (d) 42,105.26. The total amount of dividend payable is $1,000,000. If shares are sold at 95% of the current market price, then this means they are sold at $23.75 ($25 x 0.95). If 65% of the shareholders will take advantage of the dividend reinvestment plan, then they will be issued new shares of the company.

To calculate the number of new shares issued, divide the total amount of dividend payable by the selling price of one share:

New shares issued = Total amount of dividend payable / Selling price of one share

New shares issued = $1,000,000 / $23.75,

New shares issued = 42,105.26 shares

Therefore, the company can expect to issue 42,105.26 new shares. The correct option is (d) 42,105.26.

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Suppose that in the long-run, the monopolist realizes production with the identical costs curves as the competitive firm does in the long-run (hypothetical comparison). Given that, show price-quantity combination both for monopolist and competitive cases with the relevant graph and compare the results.

Answers

In a graph, the monopolist's equilibrium point will have a higher price and lower quantity compared to the perfectly competitive firm. This showcases the inefficiencies and negative effects of monopolistic market power.

In a graph, the monopolist's equilibrium point will be at a higher price (Pm) and lower quantity (Qm) compared to the perfectly competitive firm's equilibrium point (Pc, Qc). The monopolist's ability to restrict output and set higher prices demonstrates the inefficiencies and potential negative effects of monopolistic market power.

The monopolist faces the entire market demand curve and can choose any price and quantity combination. However, it will choose the quantity where its marginal revenue (MR) equals its marginal cost (MC) to maximize profit. As a result, the monopolist's price will be higher and quantity lower compared to the competitive market equilibrium.

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T/F. in a resource constrained project, the work must be finished by a certain time, or date, as efficiently as possible.

Answers

False, In a resource-constrained project, the work must be finished within a certain time or date, but not necessarily as efficiently as possible.

Resource constraints refer to limitations in terms of available resources such as budget, manpower, equipment, or materials. The focus is on completing the project within the given constraints rather than optimizing efficiency.

Resource-constrained projects require careful resource allocation and management to ensure that the available resources are utilized effectively to meet project objectives.

The project team needs to prioritize tasks and allocate resources in a way that balances the project's time, cost, and scope constraints.

Efficiency, on the other hand, relates to achieving the project goals with the least amount of wasted resources, time, or effort. While efficiency is desirable in any project,

it may not always be the primary focus in resource-constrained projects. The emphasis is more on delivering the project within the given resource limitations, even if it means making trade-offs and compromises.

Therefore, in a resource-constrained project, the primary objective is to complete the work within a specific time or date, considering the available resources, rather than optimizing efficiency.

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To study the effect of the cost-of-living crisis on household diets, a think tank
commissioned a survey collecting information on household characteristics and
eating habits during a four-week period. As part of this study, a researcher is using
the survey data to model the probability that a household consumed beef during
each of the weeks of the survey. The dependent variable being considered is a
dummy that is equal to 1 if household / consumed beef during week t, being zero
otherwise; the potential regressors are household characteristics such as income,
number of children, and age of the head of the household.

Q) Explain why it is easier to interpret the estimates of a Tobit model than the estimates
of a binary model like the one being considered here.

Q) Since a panel is available, the researcher is considering using a model with fixed
effects. Explain in your own words what is the problem with the use of fixed effects
in a probit model and discuss whether a model with fixed effects would be useful in
this particular application.

Answers

Q1) Estimates of a Tobit model are easier to interpret than estimates of a binary model because the Tobit model provides information on the probability and intensity of beef consumption, allowing for a more nuanced understanding of the relationship with household characteristics.

Q2) Fixed effects in a probit model suffer from the incidental parameters problem, making the estimates of time-invariant variables biased and inconsistent. In this case, a fixed effects model may not be useful, and alternative approaches like random effects or pooled models should be considered.

Q1) It is easier to interpret the estimates of a Tobit model than the estimates of a binary model in this context because the Tobit model provides information about the probability of consuming beef rather than just a binary outcome of whether the beef was consumed or not.

The Tobit model considers both the likelihood of beef consumption and the extent of beef consumption, allowing for a more nuanced understanding of the relationship between household characteristics and beef consumption.

The estimates from the Tobit model provide information on the impact of the independent variables on the probability of consuming beef, as well as the intensity or level of beef consumption.

Q2) Fixed effects in a probit model pose a problem known as the incidental parameters problem. In a probit model with fixed effects, the inclusion of individual-specific fixed effects may lead to a loss of identification for the coefficients of the time-invariant independent variables.

This is because the fixed effects absorb the individual-specific heterogeneity, making it difficult to estimate the impact of the time-invariant variables.

As a result, the estimates of the fixed effects probit model may be biased and inconsistent.

In this particular application, a model with fixed effects may not be useful since the focus is on understanding the relationship between household characteristics and the probability of beef consumption during each week of the survey.

Fixed effects are typically employed to control for unobservable time-invariant factors.

However, if the researcher is interested in examining the effects of time-varying variables, such as income, number of children, and age of the head of the household, a fixed effects model may not be appropriate.

Instead, random effects or pooled models could be considered to account for the panel data structure and analyze the variation in beef consumption over time.

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Lablanc Inc. sells a product for $52 per unit. The variable cost is $30 per unit, while fixed costs are $45,012. Determine (a) the break-even point in sales units and (b) the break-even point if the selling price were increased to $61 per unit. a. Break-even point in sales units units b. Break-even point if the selling price were increased to $61 per unit units

Answers

a) The break-even point in sales units is 2255 units. b) The break-even point if the selling price were increased to $61 per unit is 1951 units.

To find the break-even point in sales units, we need to calculate the contribution margin per unit. The contribution margin is the difference between the selling price and the variable cost per unit.

Contribution margin = Selling price - Variable cost per unit Contribution margin = $52 - $30Contribution margin = $22Using the contribution margin, we can now calculate the break-even point in sales units.

Break-even point (in sales units) = Fixed costs / Contribution margin Break-even point (in sales units) = $45,012 / $22

Break-even point (in sales units) = 2046.00 units.

The break-even point in sales units is 2046 units. If the selling price were increased to $61 per unit, we need to recalculate the contribution margin per unit.

Contribution margin = Selling price - Variable cost per unit Contribution margin = $61 - $30Contribution margin = $31Using the contribution margin, we can now calculate the break-even point in sales units.

Break-even point (in sales units) = Fixed costs / Contribution margin Break-even point (in sales units) = $45,012 / $31

Break-even point (in sales units) = 1452.00 units.

The break-even point if the selling price were increased to $61 per unit is 1452 units.

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Asset Weight (I) Weight (II) Return A 0.2 0.4 10.00% B 0.3 0.2 15.00% C 0.5 0.4 40.00% Assume the beta for portfolio I is 2.0 and for portfolio II is 1.4. If the T-bill rate was 2% and the market return during the period was 15% , Calculate the required rate of return for each portfolio, Calculate the actual return for each portfolio, Which portfolio was a better pick? show your calculation. Assume the beta for portfolio I is 2.0 and for portfolio II is 1.4. If the T-bill rate was 2% and the market return during the period was 15% , Calculate the required rate of return for each portfolio, Calculate the actual return for each portfolio, Which portfolio was a better pick? show your calculation.

Answers

The required rate of return for portfolio I is 20.00% and for portfolio II is 18.80%. The actual return for portfolio I is 10.00% and for portfolio II is 14.80%. Portfolio II was a better pick.

What were the calculated required rates of return and actual returns for each portfolio? Which portfolio performed better based on these calculations?

In order to determine the required rate of return for each portfolio, we need to use the Capital Asset Pricing Model (CAPM) formula, which takes into account the risk-free rate, the market return, and the beta of each portfolio. For portfolio I, the required rate of return is calculated as follows: 2% + (2.0 * (15% - 2%)) = 20.00%. Similarly, for portfolio II, the required rate of return is calculated as follows: 2% + (1.4 * (15% - 2%)) = 18.80%.

The actual return for portfolio is given in the question. Portfolio I has an actual return of 10.00%, while portfolio II has an actual return of 14.80%.

Based on these calculations, portfolio II performed better as its actual return of 14.80% exceeded its required rate of return of 18.80%. Portfolio I, on the other hand, had an actual return of 10.00% which fell short of its required rate of return of 20.00%. Therefore, portfolio II was the better pick in terms of performance.

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Coronado, Inc. manufactures two products: missile range instruments and space pressure gauges. During April, 50 range instruments and 200 pressure gauges were produced, and overhead costs of $81,470 were estimated. An analysis of estimated overhead costs reveals the following activities. 1. 2 3. Activities Materials handling Machine setups Quality inspections Cost Drivers Number of requisitions Number of setups Number of inspections The cost driver volume for each product was as follows. Cost Drivers Number of requisitions Number of setups Number of inspections Instruments Gauges 420 185 255 320 Total Cost 265 $31,350 28,280 Total 625 1.045 21,840 $81,470 505 520 Determine the overhead rate for each activity. Materials handling Machine setups tA Save for Later $ $ tA Quality inspections $ tA Overhead Rate per requisition per setup per inspection

Answers

Overhead Rate per activity can be calculated as follows: Activity Overhead Rate Cost Driver Materials Handling $74.86 Total Cost / Number of Requisitions = $28,280 / 375 Machine Setups $26.90 Total Cost / Number of Setups = $28,280 / 1,045 Quality Inspections $83.92 Total Cost / Number of Inspections = $21,840 / 260 Overhead costs are the indirect costs that are not directly attributable to a product or department.

Overhead is a combination of fixed and variable costs that are shared across different departments or products. A cost driver is an activity or event that causes a change in the cost of an activity or event. Cost drivers are used to allocate costs based on the level of activity in each department or product.

Coronado, Inc. produces two products: missile range instruments and space pressure gauges. The overhead cost of $81,470 was estimated for the manufacturing of both products in April. The cost driver volumes for each product were calculated to allocate overhead costs for each activity.

The overhead rate per activity is calculated based on the cost driver volume for each activity. The overhead rate for materials handling is $74.86 per requisition, for machine setups it is $26.90 per setup, and for quality inspections, it is $83.92 per inspection.

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Company A has 5 employees and needs FBT advice on the following: 1. - Employer provides the employee with a monthly allowance of $250 to cover carparking fees - 2. An employee was provided with an interest free loan between pay periods - 3.An employee took a work vehicle home (van). The employee used the van to move house and take rubbish to the dump- 4. Each month the employees are provided with a food voucher of $250. 5.- At Christmas time the employees are given a gift basket valued at $125 each - 6.The Company decided to pay child school fees for all employers, average cost paid was $4,500 a year. please provide details with the section of law applied to it and with cases in example.

Answers

Yearly carparking allowance- FBT may apply under Section 39.

Interest-free loan- FBT applies under Section 7.

particular use of work vehicle- FBT may apply under Section 7.

Yearly food testimonial- FBT applies under Section 37.

Christmas gift handbasket- FBT applies under Section 20.

Payment of child academy freights FBT may apply grounded on the factual cost incurred.

Yearly carparking allowance This may be subject to Fringe Benefits duty( FBT) as a auto parking borderline benefit, governed by Section 39 of the Fringe Benefits Tax Assessment Act 1986. The taxable value can be determined using the marketable parking station or average cost system.

Interest-free loan The interest-free loan given to an hand is considered a borderline benefit under Section 7 of the Fringe Benefits Tax Assessment Act 1986. The taxable value is calculated grounded on the ATO's standard interest rate, with the difference between the standard rate and the factual interest charged being subject to FBT.

particular use of work vehicle If an hand uses a work vehicle( van) for particular purposes beyond work-affiliated trip, it may attract FBT as a auto borderline benefit under Section 7 of the Fringe Benefits Tax Assessment Act 1986. The taxable value depends on the extent of private use.

Yearly food testimonial furnishing workers with food validations is generally distributed as a mess entertainment borderline benefit under Section 37 of the Fringe Benefits Tax Assessment Act 1986. The taxable value is generally grounded on the value of the testimonial.

Christmas gift handbasket Gift baskets given to workers can be classified as property borderline benefits under Section 20 of the Fringe Benefits Tax Assessment Act 1986. The taxable value is determined by the cost of the gift handbasket to the employer.

Payment of child academy freights The employer's payment of workers' child academy freights is subject to FBT as a borderline benefit. The taxable value is grounded on the factual cost incurred by the employer, subject to applicable FBT vittles.

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Consider a function π (x, y) = 10 − x 2 − y 2 + axy + bex 2+y 2 , where x ∈ R, y ∈ R and (a, b) are parameters.
(a) [5 marks] Show that the derivative of e x 2 is 2xex 2 .
(b) [10 marks] Write down the first-order conditions for the problem of maximising π (x, y). Show that x = 0; y = 0 is a solution to the first-order conditions.
(c) [10 marks] Find the Hessian matrix of π (x, y) at any point (x, y).
(d) [10 marks] Find the condition about(a, b) under which the second-order condition for(x = 0; y = 0) to a be local maximum.
(e) [5 marks] Show that if b > 0, then (x = 0; y = 0) is not a global maximum.
(f) [10 marks] Show that if b < 0 and a = −1, then (x = 0; y = 0) is a global maximum.

Answers

Given a functionπ(x, y) = 10 − x2 − y2 + axy + bex2+y2And we need to show the derivative cost of e^(x2)is 2xex^(2)Solution :We know that the derivative of e^(x^2) is given byd/dx(e^(x^2))=2xex^(2).

Given the function(x, y) = 10 − x^2 − y^2 + axy + bex^2+y^2We need to find the first-order conditions to maximize the above function. The first-order condition for the function f(x,y) is given by the following equation.∂π(x,y)/∂x = 0 ∂π(x,y)/∂y = 0Solution:To find the first-order conditions, we need to the function with respect to x and y.∂π(x,y)/∂x = -2x + ay + 2bxe^(x^2+y^2) = 0 ........(1)∂π(x,y)/∂y = -2y + ax + 2bye^(x^2+y^2) = 0 ........(2)Now we can solve the above equations to find the values of x and y.

The Hessian matrix of a function f(x,y) is given by the following equation.∂^2π(x,y)/∂x^2 ∂^2π(x,y)/∂x∂y ∂^2π(x,y)/∂y∂x ∂^2π(x,y)/∂y^2Solution:To find the Hessian matrix of π(x,y), we need to differentiate the function twice with respect to x and y.∂^2π(x,y)/∂x^2 = -2 - 4bxe^(x^2+y^2) + aye^(x^2+y^2) ∂^2π(x,y)/∂x∂y = a + 4bxye^(x^2+y^2) ∂^2π(x,y)/∂y∂x = a + 4bxye^(x^2+y^2) ∂^2π(x,y)/∂y^2 = -2 - 4bye^(x^2+y^2) + axe^(x^2+y^2)Hence the Hessian of π(x,y) is given by the following matrix.

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HBS case breakfast at the paramount. The Paramount Diner The case describes the Paramount: a 44-seat diner in the Beacon Hill neighbourhood of Boston, Massachusetts. The restaurant is a popular favourite among locals and tourists particularly for brunch on weekends, when queues can stretch down the street. The case study focuses on the restaurant’s unusual seating policy and a recent increase in the popularity of carryout orders. our discussion should consider the following issues in the Paramount dinner case study: a) Where has the idea for carryout orders come from? b) What are the business motivations for adding this type of service? c) What impact will be adding this service have on the restaurant customer experience?

Answers

a) The idea for carryout orders at the Paramount diner may have originated from customer demand and market trends.

b) The business motivations for adding carryout orders include increasing revenue and expanding customer reach.

c) Adding carryout service may have both positive and negative impacts on the restaurant customer experience. On one hand, it provides an additional option for customers who are unable to secure a seat, enhancing convenience and customer satisfaction.

a) Customers who are unable to secure a seat may have expressed a desire to still enjoy the restaurant's food, leading the management to consider offering carryout orders as a convenient alternative.

b) By offering carryout service, Paramount can cater to a broader customer base, including those who prefer to dine at home or on the go.

c)  It allows loyal customers to enjoy the restaurant's food even when they cannot dine in. However, the increased focus on carryout orders may potentially affect the dine-in experience by diverting resources and attention away from seated customers.

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A low-income country decides to set a price floor in the coffee
bean market to assist farmers. The conditions of demand and supply
are given in the Table below.
Price
QS
QD
$5.60
9,500

Answers

A price floor is a minimum price established by the government in a market to ensure that suppliers receive a fair and stable price for their goods.

A low-income country may choose to set a price floor in the coffee bean market to assist farmers who may be receiving prices that are too low to sustain their operations. However, before implementing the price floor, the conditions of demand and supply should be evaluated to determine its impact.Suppose a low-income country sets a price floor of $5.60 in the coffee bean market to support farmers. From the given table, the equilibrium price and quantity are $6.00 and 10,000, respectively. At a price of $5.60, the quantity supplied by farmers is 9,500, which is less than the quantity demanded by consumers of 11,000. This results in a shortage of 1,500 units (11,000 - 9,500).When a price floor is implemented below the equilibrium price, it results in a shortage because suppliers are not willing to supply the quantity demanded by consumers at the set price. As a result, the low-income country may need to support farmers in other ways to avoid a shortage, such as providing subsidies or reducing their operating costs.

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EPS and Debt-to-Equity Your corporation is currently all-equity financed with 350,000 shares of common stock selling for $30 a share. Currently your firm generates $3,500,000 in EBIT annually and has

Answers

EPS (Earnings per share) is a financial metric that shows how much income is available to a single share of common stock. Debt-to-Equity, on the other hand, is a ratio that shows the percentage of a corporation's total debt in relation to its total equity.

The calculation of EPS and the impact of debt on EPS are as follows:

EPS = Earnings available to common stockholders / Number of shares of common stock outstanding

Thus, EPS is directly influenced by the number of shares of common stock outstanding. Because a corporation's EPS is a measure of how much income is available to each share of common stock, a higher EPS is desirable.

Debt-to-Equity = Total liabilities / Total shareholder equity

Since debt increases total liabilities, which is the denominator of the debt-to-equity ratio, it has a negative effect on the ratio. Furthermore, the higher a company's debt-to-equity ratio, the riskier its financing structure.

In the given scenario, the calculation of EPS is:

Earnings before interest and taxes (EBIT) = $3,500,000

Number of shares of common stock outstanding = 350,000

Earnings available to common stockholders = EBIT – TaxesTaxes = (EBIT – Interest) x Tax rate

Let's assume that the tax rate is 40% and there is no interest expense.

So, taxes will be: (EBIT - 0) x 40% = EBIT x 0.4

Therefore, Earnings available to common stockholders = $3,500,000 – ($3,500,000 x 0.4) = $2,100,000So,

EPS = Earnings available to common stockholders / Number of shares of common stock outstanding = $2,100,000 / 350,000 = $6

As the firm is currently all-equity financed, the debt-to-equity ratio is 0.

Thus, the impact of debt on EPS is not applicable.

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over the last fifty years, manufacturing has moved to the developing world where ________ than in the united states and europe.

Answers

Over the last fifty years, producing has moved to the creating scene where wages and restrictive regulations tend to be lower than in the united states and Europe.  

The option (A) is correct.

It's important to note that while manufacturing has shifted to the developing world, created nations like the US and Europe hold huge assembling capacities.

The relocation of manufacturing to the creating scene has been driven by cost contemplations, administrative contrasts, market access, and accessibility of abilities. Notwithstanding, it's critical to perceive the different and nuanced nature of this pattern, as every nation and locale has its remarkable conditions and modern improvement techniques.

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This question is not complete, Here I am attaching the complete question:

Over the last fifty years, manufacturing has moved to the developing world where ________ than in the united states and europe.

(A) wages and restrictive regulations tend to be lower

(B) Ambulance service

(C) The ability to scale up very quickly

Which of the following statements does NOT support the efficient markets hypothesis (EMH)? a. There are around 100,000 fulltime, highly trained professional analysts and traders operating in the market. b. SEC disclosure rules and electronic information markets ensure that new information about a stock is received by all analysts at about the same time. c. Warren Buffet and other analysts seem to consistently outperform the market over long periods. d. With fewer than 3,000 major stocks, there are approximately 1,000 analysts following each stock. e. Most analysts work for large organizations or investors like Warren Buffet who have money available to take advantage of bargain stocks.

Answers

The statement that does not support the efficient markets hypothesis (EMH) is (c) Warren Buffet and other analysts seem to consistently outperform the market over long periods.

The efficient markets hypothesis (EMH) states that financial markets are efficient and that the prices of assets reflect all available information. According to the EMH, it is impossible to consistently outperform the market over the long term because all available information is already reflected in asset prices.

Option a supports the EMH by highlighting the presence of a large number of professional analysts and traders in the market. These individuals contribute to the efficiency of the market by conducting research and analysis, which helps to incorporate new information into asset prices.

Option b also supports the EMH by mentioning SEC disclosure rules and electronic information markets. These mechanisms ensure that new information about a stock is disseminated to all analysts at roughly the same time, reducing the possibility of one analyst having an unfair advantage over others.

Option d also supports the EMH by noting that there are approximately 1,000 analysts following each stock. This suggests that information about stocks is widely available and helps to ensure that asset prices reflect the collective knowledge of these analysts.

Option e also supports the EMH by highlighting that most analysts work for large organizations or investors who have the financial resources to take advantage of bargain stocks. This indicates that the market is competitive and efficient, as information is widely accessible to these well-funded entities.

In contrast, option c contradicts the EMH by suggesting that certain analysts, including Warren Buffet, consistently outperform the market over long periods. This implies that there may be opportunities for individuals to generate excess returns by exploiting market inefficiencies or possessing superior information, which challenges the notion of market efficiency.

It is important to note that the efficient markets hypothesis is a theory and subject to ongoing debate in the field of finance. Critics argue that there are various forms of market inefficiencies that can be exploited, while proponents maintain that the EMH holds in the long run.

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Once a garment has been made, it is delivered to one of Sasha's own warehouse and then shipped sells out quickly. The empty shelves in Sasha stores create a scarcity value-which helps to generate of products in hot demand before quickly shifting to the nest fashion trend. Often its merchandise be out of stock and never produced again. Asa result of this strategy, which is supported by demand. Customers quickly snap up products they like because they know these styles may soon competitors. This means fewer price reductions to move products that haven't sold and higher competencies in design, IS and logistics management, Sasha carries lower inventories than its profit margins
Identify distinctive competencies of Sasha

Answers

Distinctive competencies refer to the unique strengths of a firm that are difficult to imitate by competitors.

The distinctive competencies of Sasha are discussed below: Scarcity value: The empty shelves in Sasha stores create a scarcity value-which helps to generate a sense of urgency to buy their products. Sasha's products are usually in hot demand before quickly shifting to the next fashion trend. Therefore, customers quickly snap up products they like because they know these styles may soon be out of stock and never produced again. This strategy supported by demand helps Sasha to generate higher competencies in design, information system, and logistics management. Higher competencies in design, IS, and logistics management: Sasha has expertise in design, IS, and logistics management that help them keep up with the latest fashion trends and provide customers with products that meet their preferences. Sasha carries lower inventories than its competitors, which means fewer price reductions to move products that haven't sold. As a result of this strategy, Sasha has higher competencies in design, IS, and logistics management, which enable them to provide better quality products to customers with high satisfaction. Distinctive competencies refer to the unique strengths of a firm that are difficult to imitate by competitors. The distinctive competencies of Sasha are scarcity value and higher competencies in design, IS, and logistics management.Sasha's products are usually in hot demand before quickly shifting to the next fashion trend. The empty shelves in Sasha stores create a scarcity value-which helps to generate a sense of urgency to buy their products. Therefore, customers quickly snap up products they like because they know these styles may soon be out of stock and never produced again. This strategy supported by demand helps Sasha to generate higher competencies in design, information system, and logistics management. Sasha has expertise in design, IS, and logistics management that help them keep up with the latest fashion trends and provide customers with products that meet their preferences. Sasha carries lower inventories than its competitors, which means fewer price reductions to move products that haven't sold. As a result of this strategy, Sasha has higher competencies in design, IS, and logistics management, which enable them to provide better quality products to customers with high satisfaction. Therefore, Sasha's distinctive competencies help them create a competitive advantage, provide better products and services, and generate higher profits.

In conclusion, Sasha has developed unique strengths or distinctive competencies in design, IS, and logistics management that help them to keep up with the latest fashion trends, provide customers with products that meet their preferences, and generate higher profits. Sasha's scarcity value strategy, which creates a sense of urgency to buy their products, helps them to generate higher competencies in design, IS, and logistics management. Therefore, Sasha's distinctive competencies create a competitive advantage, provide better products and services, and generate higher profits.

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An increase in inflation will cause interest rates to raise,
leading to a decrease in the value of financial assets such as
bonds and stocks
Seleccione una:
Verdadero
Falso

Answers

An increase in inflation will cause interest rates to raise, leading to a decrease in the value of financial assets such as bonds and stocks.

Rising interest rates are typically a result of rising inflation, and this can lower the value of financial assets like bonds and stocks. Future fixed interest payments lose buying power as a result of rising inflation. Investors want higher interest rates on freshly issued bonds to make up for this value loss. The prices of existing bonds with lower fixed interest rates decline in attractiveness as interest rates climb. As a result, the value of current bonds drops.

Increasing inflation can impact equities in a number of ways. First, it may raise borrowing rates for businesses, thereby lowering their profitability and deterring investors from buying their shares. The value of a firm's earnings in the future is also diminished by inflation. To account for this inflation risk, investors often discount future cash flows at a greater rate, which can reduce the current value of a company.

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Complete Question:

An increase in inflation will cause interest rates to raise, leading to a decrease in the value of financial assets such as bonds and stocks. True or False


(a) Why do we need to study the cost minimization
problem of a firm?
(b)Prove that the cost function is concave.
(C) Prove the Shephard's Lemma.

Answers

Explanation :

(a) Cost minimization problem of a firm is significant because of the following reasons:It helps a company to decide the best combination of inputs to use in a production process to reduce costs.It aids the company in determining the least costly approach to manufacture a given amount of output. It also provides information on the least expensive method of producing different levels of output.It is used to develop cost function equations for a firm which are used in business forecasting and planning.

(b) In microeconomics, a cost function is a mathematical equation that shows the minimum cost of generating a particular level of output. The cost function is concave because of the following reasons:As the level of production rises, the cost function's average costs fall.As the production level rises, the cost function's marginal costs decrease.

(c) Shephard's lemma describes how the derivative of an expense function with respect to the output variable in a production function is equal to the supply of that variable in the production function holding input costs constant. In simple terms, Shephard's lemma refers to the production process's input cost elasticity. It states that the price effect, which is the influence of a price change on input use, is equal to the substitution effect, which is the effect of a price change on the relationship between input costs and quantity used.

The formula is as follows: dC(p,w)/dp_i = x_i(p,w)Where, C(p, w) is the total cost function x_i(p, w) is the i-th element of the cost function.The formula implies that the supply of input i can be calculated by dividing the partial derivative of total expenses with respect to input i by the input's price.

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Which of the following could be considered a well known financial indicator for educational development? O All of the above are correct O Government educational expenditures as a percentage of GDP O Educational expenditures as a total percentage of total government expenditures O Government expenditure per pupil at different levels of the educational system

Answers

Government educational expenditures as a percentage of GDP could be considered a well-known financial indicator for educational development. This is the correct option.

Educational expenditure is the amount of money spent on education in a nation. The government uses different metrics to determine the progress of educational development in a region. These metrics are considered to be financial indicators for educational development.

Some of the examples of these metrics are mentioned below:

Government expenditure per pupil at different levels of the educational system.

Educational expenditures as a total percentage of total government expenditures.Government educational expenditures as a percentage of GDP.

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Bramble Company had cost of goods sold of $270000. The comparative balance sheet analysis revealed a $17000 decrease in inventory and a $26400 increase in accounts payable. What were Bramble's cash payments to suppliers?

$226600
$313400
$287000
$243600

Answers

Bramble Company's cash payments to suppliers amounted to $296,400.

The correct option is not mentioned here.

To determine Bramble Company's cash payments to suppliers, we need to calculate the change in accounts payable. The change in accounts payable represents the increase in the amount owed to suppliers during the period.

Change in accounts payable = Increase in accounts payable

Change in accounts payable = $26,400

Since accounts payable represents the amount owed to suppliers, an increase in accounts payable indicates that Bramble Company has made additional purchases on credit from suppliers.

The cash payments to suppliers can be calculated by adding the change in accounts payable to the cost of goods sold:

Cash payments to suppliers = Cost of goods sold + Change in accounts payable

Cash payments to suppliers = $270,000 + $26,400

Cash payments to suppliers = $296,400

Therefore, the correct answer is $296,400. Bramble Company's cash payments to suppliers amounted to $296,400 during the period, considering the decrease in inventory and the increase in accounts payable.

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Sanaya Inc provides its employees two weeks of paid vacation per year. As of December 31, 65 employees have earned two weeks of vacation time to be taken the following year. If the average weekly salary for these employees is €475, what is the required journal entry at the end of the year? A. Debit Salaries and Wages Expense for €61,750 and credit Salaries and Wages Payable for €61,750 B. Debit Salanes and Wages Payable for €123,000 and credit Salaries and Wages Expense for €123,000 C. No entry is required D. Debit Salaries and Wages Expense for €123,500 and credit Salaries and Wages Payable for €123,500

Answers

The correct journal entry is Debit Salaries and Wages Expense for €123,500 and credit Salaries and Wages Payable for €123,500. Option d is correct.

Sanaya Inc provides its employees two weeks of paid vacation per year. As of December 31, 65 employees have earned two weeks of vacation time to be taken the following year.

If the average weekly salary for these employees is €475, the required journal entry at the end of the year is to debit Salaries and Wages Expense for €123,500 and credit Salaries and Wages Payable for €123,500.

An expense is defined as a decrease in the economic benefits throughout the accounting period. As a result, an increase in the liability will reduce the economic benefits in the future, hence it is credited in the books of accounts.

Therefore, d is correct.

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Inspiration came to brothers Shep and Ian Murray, then in their 20s, when they started meeting for lunch and complaining about how they disliked their desk jobs and the business suits and ties that went with them. They decided to go into business for themselves and settled on a product they knew nothing about: neckties. If they sold enough ties, they reasoned, they could stop wearing them.

Today, more than 15 years later, Connecticut-based Vineyard Vines has grown into a multimillion-dollar business. Those familiar with the firm's success credit the Murrays' understanding of their customers' needs and their determination to make customers happy. The brothers say they're interested in dressing people not merely to go to work but rather to "take some fun to work." Their company sells clothes, but also a carefree lifestyle image that many people want to adopt.

For instance, one of Shep and Ian's first decisions, when they quit their jobs and began selling ties out of their cars, was to create whimsical designs that reflected the happy summers they spent on Martha's Vineyard while growing up. Thus was born the sporty vacation theme that runs through all their bright pastel designs, featuring lobster pots, sailboats, whales, crabs, and sports paraphernalia such as tennis racquets, golf balls, and hockey sticks. Customers who would rather be sailing, swimming, golfing, or fishing are quickly drawn to these lighthearted images and the lifestyle they conjure up.

1. By understanding its customers' needs, which marketing management philosophy is Vineyard Vines utilizing?

a. Sales orientation

b. Production orientation

c. Societal marketing orientation

d. Market orientation

2. Vineyard Vines recently partnered with First Insight to utilize online social engagement tools to gather sentiment analysis and real-time data from its customers. Using the information gathered, Vineyard Vines will be able to quickly make product and pricing decisions, which will allow it to improve sales and margins online and in brick-and-mortar locations. This is an example of _______.

a. customer relationship management (CRM)

b. employee empowerment

c. customer satisfaction

d. customer value

3. When asked about lessons they have learned from starting their own business, Shep and Ian shared this: "…it's essential to empower the people around you—your team, customers, partners, vendors—believing in them 100%." This statement best reflects _______.

a. tools the organization uses to achieve its goals

b. those to whom the product is directed

c. the firm's business

d. the organization's focus

Answers

1. By understanding its customers' needs, Vineyard Vines is utilizing market orientation.

2. This is an example of customer relationship management (CRM) as Vineyard Vines will be able to quickly make product and pricing decisions.

3. This statement best reflects the organization's focus.

The right answers are d, a and d.

Finding out what customers want and need, and creating products and services to meet those needs, is a top focus in the "market orientation" business philosophy. Market-oriented companies prioritise customer feedback and demand when conducting research and development (R&D) for new products.

A system called customer relationship management (CRM) is used to manage all interactions and connections among the clients of your business. The obvious objective is to strengthen the connections for business. CRM programmes assist businesses in maintaining contact with clients, streamlining procedures, and boosting revenue.

The correct answers are options d, a and d.

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9. The person who smokes cigarettes cannot possibly be thinking in terms of costs and benefits because it has been proven that cigarette smoking increases one's chances of getting lung cancer. Do you agree or disagree with the part of the statement that reads "the person who smokes cigarettes cannot possibly be thinking in terms of costs and benefits"? Explain your answer.

Answers

Explanation:

I disagree with the part of the statement that says "those who smoke cannot be thinking about costs and benefits" because although the phrase is correct in the logical and scientific context about the harm of smoking, it is also correct to state that the statement is liable to different interpretations according to each individual.

Therefore, I do not agree with this statement due to the fact that each person has a different concept of benefits and costs, for an individual to smoke, even though it is harmful to health, it is compensable for the sensation of pleasure it causes.

prepare a line graph of these data/ do the data to be staionary or nonstationary

Answers

To prepare a line graph of the data, please provide the specific data points or values that need to be plotted.

To create a line graph, we need a set of data points representing the variables of interest. These data points are typically plotted on a graph with a horizontal axis representing the independent variable (e.g., time) and a vertical axis representing the dependent variable (e.g., quantity, temperature, etc.).

Without the specific data points, it is not possible to create a line graph. Please provide the data points or values you would like to graph, and I'll be happy to assist you further.

Regarding the stationarity of the data, it cannot be determined without the actual data. Stationarity refers to a statistical property of time series data, where the mean, variance, and autocovariance remain constant over time. Determining whether the data is stationary or nonstationary requires analyzing the properties of the data series, such as examining trends, seasonality, and statistical tests for stationarity.

To prepare a line graph, please provide the data points or values to be plotted. Additionally, without the data, it is not possible to determine whether the data is stationary or nonstationary.

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Which of the following best completes the sentence, 'Whereas blogs are typically in the realm of ______ media, media-sharing sites are ______ media because their environments are not directly controlled by the person or organization posting the content.'?

Answers

Whereas blogs are typically in the realm of owned media, media-sharing sites are earned media because their environments are not directly controlled by the person or organization posting the content.

Owned media refers to channels or platforms that are fully controlled by an individual or organization. In the case of blogs, the content is created and published by the owner of the blog, allowing them complete control over the message, design, and distribution.

On the other hand, media-sharing sites, such as social media platforms or video-sharing platforms, fall under earned media. Earned media refers to the exposure and engagement gained through third-party channels, where the content is shared and distributed by users rather than the content owner. In media-sharing sites, the content posted by an individual or organization can be shared, commented on, and reshared by other users, creating a network effect and expanding the reach of the content.

The distinction lies in the level of control over the content and its distribution. While blogs offer direct control over the content, media-sharing sites rely on user engagement and sharing, making it earned media where the environment and reach of the content are not directly controlled by the content owner.

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Nash Corporation has outstanding 400,000 shares of $10 par value ordinary shares. The corporation declares a 10% share dividend when the fair value is $63 per share. Prepare the journal entries for Nash Corporation for both the date of declaration and the date of distribution.

Answers

:Nash Corporation has a total of 400,000 shares of $10 par value common stock. The company has declared a 10% share dividend, which means that each stockholder will receive an additional 10% in the number of stocks they own.

In this scenario, the company's fair value is $63 per share, and the date of the declaration and the date of distribution are the two important dates to consider. Journal entries for both dates are mentioned below:Date of Declaration: On the date of declaration, the company will need to record a dividend declaration journal entry. The entry is as follows:DateAccountTitleDebitCreditUndeclared Dividends63,000,000Common Stock Dividends Distributable (10% * 400,000 shares * $10 par)4,000,000Paid-in Capital in Excess of Par – Common Stock59,000,000 (400,000 shares * $10 par)On the declaration date, an amount equal to the total dividend payable is transferred from Undeclared Dividends to Common Stock Dividends Distributable. Paid-in Capital in Excess of Par - Common Stock increases by the remaining amount ($59,000,000) as common stockholders have already contributed for their shares.Date of Distribution: On the date of distribution, the company will need to record a dividend distribution journal entry. The entry is as follows:DateAccountTitleDebitCreditCommon Stock Dividends Distributable4,000,000Common Stock400,000Paid-in Capital in Excess of Par – Common Stock4,000,000On the distribution date, the dividend is transferred from Common Stock Dividends Distributable to Common Stock. This increases the stockholder's shares in the company. Paid-in Capital in Excess of Par - Common Stock decreases by the amount equal to the distribution. Since the par value of the shares issued remains the same, the paid-in capital in excess of par - common stock account decreases by the same amount ($4,000,000).

In conclusion, on the declaration date, an amount equal to the total dividend payable is transferred from Undeclared Dividends to Common Stock Dividends Distributable. Paid-in Capital in Excess of Par - Common Stock increases by the remaining amount. On the distribution date, the dividend is transferred from Common Stock Dividends Distributable to Common Stock. Paid-in Capital in Excess of Par - Common Stock decreases by the amount equal to the distribution.

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If the rightward shift of the IS curve is the result an increase in government spending the increase in the level of output from YO to Y2:

is equal to the increase in government spending. is greater than the increase in government spending is smaller than the increase in government spending.

Answers

The increase in the level of output from YO to Y2 resulting from a rightward shift of the IS curve due to an increase in government spending is greater than the increase in government spending itself.

The IS (investment-savings) curve in the IS-LM model shifts to the right as government spending rises. Increased government expenditure boosts aggregate demand, raising output and income levels, which causes this change.

More output was produced between years YO and Y2 than was initially spent by the government. This is true because an increase in government spending has an impact on aggregate demand both directly and indirectly by encouraging more spending in the private sector. The total effect on output is therefore greater than the initial rise in government spending by itself.

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Calculating Instalment Loan Payments, Interest, and Principal [LO2]
a. If Dave had borrowed $300 for one year at an APR of 7 percent, compounded monthly, what would have been his monthly loan payment? Use Exhibit 1B-4.
b. What would have been the breakdown between interest and principal of the fifth payment? Use Exhibit 1B-4. Interest $ Principal $

Answers

a. Monthly loan payment: $26.92

b. Insufficient information to determine breakdown.

How to calculate monthly loan payment?

a. To calculate the monthly loan payment, we can use the formula for the monthly payment on an installment loan:

Monthly Payment = (Loan Amount * Monthly Interest Rate) / (1 - (1 + Monthly Interest Rate) [tex]^ (-Number of Months)[/tex])

In this case, the loan amount is $300, the APR is 7%, compounded monthly, and the loan term is one year (12 months).

First, we need to calculate the monthly interest rate:

Monthly Interest Rate = Annual Interest Rate / 12 = 7% / 12 = 0.5833%

Now we can substitute the values into the formula:

Monthly Payment = (300 * 0.5833%) / (1 - (1 + 0.5833%) [tex]^ (-12)[/tex])

Using a financial calculator or spreadsheet, we find that the monthly loan payment would be approximately $26.92.

b. To determine the breakdown between interest and principal of the fifth payment, we need to know the remaining balance after the fourth payment. Without this information or the specific terms of the loan, we cannot determine the exact values for interest and principal for the fifth payment.

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Class environmental assessment is a document that covers a category of undertakings and sets out a streamlined process for assessments. Step two of this process is:

Select one:
a. Carry out a detailed design, incorporating measures to mitigate possible negative effects
b. Identify purposes and alternatives
c. Select a preferred alternative on the basis of an initial review of potential effects
d. Prepare an assessment report on the process, findings, and conclusions

Answers

The correct option is a and b both. Step two of the Class environmental assessment process is to "Identify purposes and alternatives."

This step involves identifying the objectives and goals of the undertaking and considering various alternatives to achieve those objectives. It requires a thorough analysis of the potential options and their potential effects on the environment.

By identifying purposes and alternatives, the assessment process can proceed to evaluate and compare the potential impacts of each alternative, leading to the selection of the preferred alternative in subsequent steps.

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