Price discrimination and welfare Suppose Clomper's is a monopolist that manufactures and sells Stompers, an extremely trendy shoe brand with no close substitutes. The following graph shows the market demand and marginal revenue (MR) curves Clomper's faces, as well as its marginal cost (MC), which is constant at $50 per pair of Stompers. For simplicity, assume that fixed costs are equal to zero; this, combined with the fact that Clomper's marginal cost is constant, means that its marginal cost curve is also equal to the average total cost (ATC) curve. First, suppose that Clomper's cannot price discriminate. That is, it must charge each consumer the same price for Stompers regardless of the consumer's willingness and ability to pay. On the following graph, use the black point (plus symbol) to indicate the profit-maximizing price and quantity. Next, use the purple points (diamond symbol) to shade the profit, the green points (triangle symbol) to shade the consumer surplus, and the black points (plus symbol) to shade the deadweight loss in this market without price discrimination. (Note: If you decide that consumer surplus, profit, or deadweight loss equals zero, indicate this by leaving that element in its original position on the palette.) Monopoly Outcome Consumer Surplus Profit Deadweight Loss 0 160 320 480 640 800 960 1120 1280 1440 1600 100 90 80 70 60 50 40 30 20 10 0 PRICE (Dollars per pair of Stompers) QUANTITY (Pairs of Stompers) Demand MC = ATC MR Suppose now that Clomper's is able to perfectly price discriminate—that is, it knows each consumer's willingness to pay for a pair of Stompers and is able to charge each consumer precisely that amount. On the following graph, use the black point (plus symbol) to indicate the profit-maximizing quantity sold and the lowest price at which the firm sells its boots. Next, use the purple points (diamond symbol) to shade the profit, the green points (triangle symbol) to shade the consumer surplus, and the black points (plus symbol) to shade the deadweight loss in this market with perfect price discrimination. (Note: If you decide that consumer surplus, profit, or deadweight loss equals zero, indicate this by leaving that element in its original position on the palette.) Monopoly Outcome Profit Consumer Surplus Deadweight Loss 0 160 320 480 640 800 960 1120 1280 1440 1600 100 90 80 70 60 50 40 30 20 10 0 PRICE (Dollars per pair of Stompers) QUANTITY (Pairs of Stompers) Demand MC = ATC Consider the welfare effects when the industry operates under a monopoly and cannot price discriminate versus when it can price discriminate. Complete the following table by indicating under which market conditions each of the statements is true. (Note: If the statement isn't true for either single-price monopolies or perfect price discrimination, leave the entire row unchecked.) Check all that apply. Statement Single-price Monopoly Perfect Price Discrimination Clomper's produces the efficient quantity of Stompers. Total surplus is not maximized. There is no deadweight loss associated with the profit-maximizing output.

Answers

Answer 1

Consumers pay a price that is higher than the marginal cost of producing Stompers. Clomper's produces a quantity of Stompers that is too low.

A market structure characterized by a single seller, selling a unique product in the market. In a monopoly market, the seller faces no competition, as he is the sole seller of goods with no close substitute.

Perfect price discrimination is a monopolistic condition when the company divides the market into individual consumers and charges each one prices that they are willing and able to pay.

The total surplus in a market is a measure of the total wellbeing of all participants in a market. It is the sum of consumer surplus and producer surplus. Consumer surplus is the difference between willingness to pay for a good and the price that consumers actually pay for it.

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(T/F) Scenario analysis can help us anticipate possible changes so we can most likely prevent them from happening.

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Scenario analysis can help us anticipate possible changes so we can most likely prevent them from happening. - False

Scenario analysis is a tool that helps organizations anticipate and prepare for potential changes in the future. It involves developing and analyzing a range of possible scenarios or outcomes that could arise from different combinations of factors, like economic trends, technological developments, political events, and environmental changes.

The analysis does not necessarily help to prevent changes from happening, but it can help to be more resilient and adaptable when changes do occur. By considering a range of possible futures, organizations can better understand the implications of different scenarios and take proactive steps to mitigate potential risks and seize opportunities.

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At the BMW plant in Spartanburg, South Carolina, rather than use a typical order-to-delivery process, it has suppliers deliver parts every four hours when the plant is in operation. BMW uses a(n) ______ inventory control system.just-in-time (JIT)

Answers

Suppliers can place orders for raw materials that are directly in line with production schedules using a Just-in-time (JIT) inventory system.

What is  Just-in-time (JIT) inventory system?

In order to ensure that raw materials arrive exactly when manufacturing is meant to begin, but not sooner, JIT is a sort of inventory management that necessitates careful cooperation with suppliers. Just enough inventory must be kept on hand to satisfy demand.

Advantages of JIT Inventory ManagementReduce Obsolete Inventory and Dead StockReduce Defective Product LossImproved EfficiencyRaise Inventory Turnover RatiosMinimal Inventory ObsolescenceMinimize Raw Materials on HandLocal SourcingGreater ProductivityFaster Product TurnaroundShorter Production RunsJIT inventory methodology

The JIT inventory methodology uses a wide range of techniques to streamline processes. Small lot sizes, precision-focused attention, enhanced openness, support for cell production, and a pull (rather than push) strategy are all hallmarks of lean manufacturing.

Among the methods employed by JIT Technology are;

Maintain order by exercising tight organisational and physical restraint. Better Quality: Eliminate defects by focusing on the details and making continuous improvements. Reduced Setup Time: Create flexible changeover plans for situations where configurations need to vary to meet client demands. Small Lot Size: For JIT, one is the ideal lot size. The small size reduces hauling expenses, in-process inventory, and storage space while facilitating simple inspection and rework. A control strategy called levelling establishes a regular, level routine during the day. Flowing in harmony: Flow scheduling creates throughput strategies for an equitable labour and energy allocation. Diversified Skills: In order to maintain production, personnel with a variety of skill sets may be used.By using communication tools like those in Kanban, the entire team is kept up to date on inventory levels. The secret is to be seen.JIT inventory control system in BMW

Because BMW uses JIT inventory management, they run the danger of having production halted due to a shortage of inputs. In order to meet demand and minimise the risk brought on by supply dependencies, BMW establishes strategic connections with industry suppliers. This shows how much more dependent BMW is on its partner supplier.

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The map above shows what significant economic developments?
answer choices
Trade connections that linked the Hellenistic and Mauryan empires to African cities from 300 to 150 BCE
Trading networks that promoted the growth of new cities from 600 CE through 1450 CE
Chinese dominance of Indian Ocean trading networks because of the voyages of Zheng He in the 1400’s CE
Changes in Indian Ocean trading networks that resulted from technological innovations from 1450 CE through 1750 CE

Answers

The significant economic development is buying and selling networks that promoted the increase of new cities from 600 CE through 1450 CE.

The number one language spoken by means of people sailing and buying and selling in the Indian Ocean around 1400 ad and  Arabic became the common language of business at some point in the Indian Ocean. Muslim traders could journey through an ocean and meet different Muslim merchants who spoke the identical languages and had comparable cultural values. long-distance alternate depended on belief. You needed to accept as true the humans transporting your items to the marketplace.

The quality describes the impact of the unfold of Islam on the Indian Ocean alternate primarily based on the maps and your know-how of global records, which of the subsequent satisfactory describes the effect of the unfold of Islam on the Indian Ocean exchange It brought about the enlargement and intensification of commerce along already current trade routes.

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________ is the practice of charging a higher price for the same product or service when demand approaches the physical limit of the capacity to produce that product or service.
A) Price discrimination
B) Peak-load pricing
C) Demand-based pricing
D) Customer preference pricing

Answers

Peak -load pricing is the practice of charging a higher price for the same product or service when demand approaches the physical limit of the capacity to produce that product or service.

Peak-load pricing is a form of congestion pricing where customers pay an additional fee during periods of high demand. Utility providers, which impose higher prices during periods of the year when demand is at its highest, are the ones that employ peak pricing the most frequently.

Peak pricing's main goal is to control demand so that it stays within a reasonable range of what can be provided.

Peak pricing refers to a system in which the cost of an item or service is not fixed at one price but instead varies depending on the situation, such as seasonal fluctuations in demand, the target market, or shifting economic conditions. If peak demand periods are not properly handled, demand may greatly exceed supply.

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Carla Vista Solutions, Inc., has just invested $5,487,300 in new equipment. The firm uses a payback period criteria of rejecting any project that takes more than four years to recover its costs. Management anticipates cash flows of $506,300, $980,400, $997,900, $1,383,300, $3,063,800, and $2,376,100 over the next six years. (Round answer to 2 decimal places, e.g. 15.25.) What is the payback period of this investment? Payback period is enter a number of years for the payback period rounded to 2 decimal places years. Should Carla Vista Solutions, Inc. go ahead with this project? The firm select an option the project.

Answers

The firm of Carla Vista Solutions Inc, will reject the investment because payback period is more than 4 years.

A non-discounted capital planning method is the payback period. It solely takes into account the gross cash flows and ignores the time value of money. The option with a shorter payback period is preferable.

We must determine the cumulative cash flows because the cash flows are not equal in order to determine the payback time.

Year Anticipated Cashflow         Cumulative Cashflow

1    $506,300                                             $506,300

2    $980,400                    $506,300 + $980,400 = $1,486,700

3    $997,900                    $1,486,700 + $997,900 = $2,484,600

4    $1,383,300                    $2,484,600 + $1,383,300 = $3,867,900

5   $3,063,800                    $3,867,900+ $3,063,800 = $6,931,700

6    $2,376,100                    $6,931,700 + $2,376,100 = $93,07,800

The payback period spans years 4 and 5 because the initial investment was $5,487,300 and the cumulative cash flow crossed it at the end of year 5.

Payback Period = Lower Year + (Initial Investment - Cumulative cash flow at lower year) / Cash flow of the higher year

= 4 years + (5,487,300 - 3,867,900)/3,063,800

= 4years + 1619400/3063800

= 4 years + 0.53

4.53 years (approx)

As the payback period is 4.53 years, i.e. more than 4 years, this investment does not meet the firm's payback criteria.

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a quantitative rule of thumb for keep-versus-drop decisions is that any fixed costs avoided by dropping a product line or closing a business segment should be larger than

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A quantitative rule of thumb for keep-versus-drop decisions is that any fixed costs avoided by dropping a product line or closing a business segment should be larger than the contribution margin given up.

(contribution margin = revenues - variable costs)

How does differential analysis help in making decisions about maintaining or discontinuing product lines?

To decide whether to retain a customer or let them go, managers employ differential analysis. Making decisions about a product line is done in a format analogous to that used for differential analysis. While product lines are not directly linked to sales income, variable costs, or fixed costs, they are.

When deciding whether to preserve a product line or shut down a company division, a quantitative rule of thumb is that any fixed expenses saved by doing so should be greater than the contribution margin lost.

Therefore, product lines are not directly linked to sales income, variable costs, or fixed costs.

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20. When studying the psychophysics of pricing, Thaler concluded that that buyers search for prices until the expected saving amount is a _ of the total price equals some critical value. a. Half b. Whole c. Proportion d. Cost is less than visiting an additional store e. All of the above

Answers

Study of quantitative relationships between psychological and physical events, or more precisely, between sensations and the stimuli that cause them, is known as psychophysics.

What is the first psychological law?

Fechner (1860), who demonstrated how internal, intensive scales can be rebuilt if there is 1) a relationship between just detectable differences (JNDs) and increments in subjective intensity, proposed the first psychophysical law, the relationship between physical and subjective intensity.

Who was a proponent of psychophysics?

The Law Weber-Fech, experimental psychology, the transformation of psychology into a quantitative discipline, and Gustav Fechner's development of psychophysics (for which he is also referred regarded as its "father") are what have made him most well-known. He was 86 years old when he died in 1887. He was born in the year 1801.

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attacks require adversaries to send packets to a known service on the intermediary with a spoofed source address of the actual target system whereas

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In reflection attacks require adversaries to send packets to a known service on the intermediary with a spoofed source address of the actual target system.

What in marketing terms is a direct attack?

a frontal assault

This is a frontal assault that draws on the strength of the opponents. Typically, the attack is carried out by providing clients with reduced prices, better products, aggressive advertising, or improved service quality. This kind of attack is dangerous because losing will harm your business's reputation, clients, and sales.

How does reflection attack work?

In a reflection attack, the attacker sends a request for information, typically using the User Datagram Protocol (UDP) or, in some cases, the Transmission Control Protocol, while impersonating the target's IP address (TCP). The server then replies to the request by delivering a response to the IP address of the destination.

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Subtracting a decrease in Unearned Revenue from net income eliminates the effect of recording revenue that:
decreased net income and decreased cash flow this period
increased net income and increased cash flow this period
increased net income, but did not impact cash this period
decreased net income, but did not impact cash this period

Answers

Subtracting a decrease in Unearned Revenue from net income eliminates the effect of recording revenue that: decreased net income and decreased cash flow this period

Unearned revenue is money received from an individual or business for a service or product that has not yet been provided or delivered. It is a "prepayment" for services or products that an individual or company is expected to provide to the buyer at a later date. As a result of this prepayment, the seller owes the revenue earned until the good or service is delivered. This liability is classified as current because it is anticipated to be resolved within a year. Deferred revenue and advance payments are other terms for unearned revenue.

When unearned revenue is received, it is included in the cash flow statement and is recorded as a liability on the balance sheet. It is then included in the income statement after the service is performed in exchange for payment.

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after a need is recognized, the next step in the consumer decision making process is typically____ .

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after a consumer recognizes a need, the second step is to search for information about the various options that exist to satisfy that need.

* Global sourcing: a business purchases materials, manufacturing components, or services from around the world, taking advantage of international wage gaps by contracting low-cost goods and services in foreign locations.

Answers

Global sourcing is a business technique in which a corporation contracts for low-cost goods and services in other countries, taking advantage of pay differences across borders.

What is the key benefit of global sourcing?

One of the key benefits of global sourcing is cost reduction. Particularly in low-cost areas, many overseas suppliers and manufacturers provide their services at a competitive rate. Businesses can frequently purchase things at a cheaper unit cost because manufacturing costs are typically lower.

How might sourcing strategies raise productivity?

The study discovered that strategic sourcing helps the organization to focus on its core functions that help the firm gain strategic advantage while also acting as a mechanism by which business conditions or problems are alleviated in a manner that is more efficient or effective.

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In which of the following ways will increases in short-run aggregate supply change the price level and unemployment?
Price Level Unemployment
A. Increase No change
B. Decrease Decrease
C. Decrease Increase
D. Decrease No change
E. No change Increase

Answers

Short-run aggregate supply changes the price level and unemployment, Price Level Unemployment. Decrease Decrease. Option B

What is Short-run aggregate supply?

Generally, Important word. A graphical model that illustrates the positive link between the aggregate price level and the quantity of aggregate production delivered in an economy is referred to as a short-run aggregate supply (SRAS) model.

In the short term, the aggregate supply reacts to greater demand (and prices) by raising the amount of already used inputs in the manufacturing process.

This is done in order to maximize output. In the short term, the level of capital is fixed, which means that a corporation cannot, for instance, establish a new plant or adopt new technology in order to boost production efficiency. In other words, the level of capital cannot rise.

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If country A can produce both goods X and Y more efficiently, that is, with smaller absolute amounts of resources, than can country B:
A. then there is no possible basis for mutually advantageous specialization and trade between A and B.
B. we can conclude that A is an industrially advanced economy and B is a developing economy.
C. mutually advantageous specialization and trade between A and B may still be possible.
D. it will necessarily be advantageous for B to import both X and Y from A.

Answers

Country B can mutually advantageous specialization and trade between A and B may still be possible. Even though country A may be able to produce both goods X and Y more efficiently than country B, this does not mean that it is not possible for both countries to benefit from specialization and trade.

Country A may specialize in producing one good, while Country B specializes in producing the other. This allows both countries to benefit from economies of scale and to produce more of each good than either country could produce on its own. This mutually advantageous specialization and trade may be beneficial to both countries.

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_______ is the largest self-regulatory mechanism by which fair advertising and selling practices are promoted by the business community across all industries.
The Better Business Bureau

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BBB is the largest self-regulatory mechanism by which fair advertising and selling practices are promoted by the business community across all industries .

What exactly is the BBB (Better Business Bureau)?

A private group called the Better Business Bureau (BBB) informs the public about companies and nonprofits. It also deals with client concerns concerning businesses. The nonprofit bureau has created a scale from A+ to F-based rating system for companies. The ethics and performance of each company are taken into account when assigning a rating. The BBB advises businesses on ethical conduct. Businesses who adhere to these guidelines and pay yearly dues can be accredited by the agency. A company must operate transparently, possess the necessary permits, abide by BBB advertising guidelines, and have no unresolved customer complaints in order to be accredited.

A definition of the Better Business Bureau may include its goal of enhancing community and business trust. The public can learn more about companies, brands, and charities by using the BBB business profiles. The Council of Better Business Bureaus, a self-regulatory body, is the umbrella body for local bureaus in the United States, Canada, and Mexico.

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T/F: Buyers of a particular new car model are being offered zero-percent financing. This is an example of a promotional allowance.

Answers

It is true that buyers of a particular new car model are being offered zero-percent financing. This is an example of a promotional allowance.

A price cut or discount given by a manufacturer to a representative of the marketing channel in exchange for unique product promotion.

The term "promotional allowances" refers to the retail value of any complementary goods or services given to customers, including but not limited to lodging, food, drinks, merchandise, chips, tokens, entertainment, and other services.

Discounts are the term for incentives used to encourage sales, whereas allowances are the term for incentives used to encourage payments (which apply only to purchases made on credit). Retail and wholesale businesses employ discounts most frequently (for instance, when a store has a 10% off sale). A marketing cooperative allowance or promotional allowance are other names for an advertising stipend. A strategy like this is an economical way to assist producers, distributors, wholesalers, etc.

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True or False: an advertising campaign is a series of different and unrelated ads that use multiple themes and appear in different media over a long period of time.

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It is false that an advertising campaign is a series of distinct and independent advertisements that use multiple themes and appear in various media over time.

What is the advertising campaign process?

Step 1: Determine your goals and budget. Step 2: Identify your target audience. Step 3: Compose your message. Step 4: Develop a media strategy. Step 5: Conduct marketing campaigns.

What makes a good advertising campaign?

The best advertising campaigns are often those that clearly communicate your brand equity to your audience, either intrinsically or externally. People don't want to work hard to understand what you're trying to convey. So be sure to communicate your message clearly and avoid confusion.

What are types of advertising campaigns?

The type of advertising allows marketers to create campaigns that are relevant to the right people. Example: Display ads. Video ads. Mobile advertising. Native advertising. People who are interested in sports are very likely to be interested in sports apparel, so a sports apparel manufacturer can increase sales by advertising on sports blogs.

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the focus of digital laryngeal manipulation is to decrease the excessive contraction of the muscles of the larynx. t/f

Answers

It is true that the focus of digital laryngeal manipulation is to decrease excessive contraction of muscles of the larynx.

What is manipulation?

In psychology, manipulation refers to a pattern of conduct intended to take advantage of, dominate, or in some other way influence another person. Different definitions of the term include different behaviors, depending on the culture and whether they are used to refer to the general public or patients. Manipulative tendencies can be a symptom of personality disorders including borderline personality disorder, narcissistic personality disorder, or antisocial personality disorder. The personality trait known as Machiavellianism includes manipulation as a key element. Manipulation is also connected with greater levels of emotional intelligence. The two types of influence are not the same as manipulation. The right of an individual to accept or reject influence is typically regarded as being unaffected by influence, and thus makes it appear to be harmless.

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fur product labels or hang tags must indicate any process that has been done on the fabric, including coloring. True or false

Answers

The given statement is the question about fur product labels or hang tags is TRUE.

1. If the product contains fur that has been sheared, plucked, or let-out, that information must be listed first on the label before any other information (optional)

2. the adjective version of the animal's nation of origin name (optional)

3. the creature's name

4. if the fur product is made up of fragments

5.  Country of Origin

The product description should include information about the product's contents, materials, and quantity as well as the name and address of the maker, packer, or distributor. For tracking purposes, you may also specify a batch or serial number; For particular regulatory criteria, compliance scores.

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A backward pass through a network is used to determine the earliest start and finish times for each project activity. t/f

Answers

This claim is untrue. The earliest start and finish times for each project activity are determined without performing a backward transit over the network.

How are the early start and early end times decided upon?

In other words, the Early Start (ES) position of the first activity is set to zero when the calculation begins. To do the remaining calculations, apply the following formulas: Highest (or Maximum) EF value from the most recent Predecessor equals an early start (s) ES plus Duration equals an early finish.

What do the terms "early start" and "early end" in project management mean?

Early Start: When an activity can start as soon as possible. The earliest time a particular activity can finish. The latest time that a task can start. the earliest time a particular activity can finish.

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QUESTION 24 Layla runs a startup that makes custom engraved floor tiles. Her business is growing rapidly and she needs a cloud vendor to provide her with an operating system and a database management system. In this scenario, which of the following services will the vendor provide? a. Paas b. laaS c. Web hosting d. VPN e. CDN

Answers

In the scenario that we have here the type of service that  the vendor will provide is called the PaaS. Option A

What is meant by PaaS?

This is a service platform. Platform as a Service (PaaS) is a full-featured cloud development and deployment environment that has the tools you need to produce everything from basic cloud-based apps to complex corporate applications.

Offers you with computer platforms, which typically contain an operating system, an environment for executing programming languages, a database, a web server, etc. Examples include Windows Azure, Go.ogle App Engine, Heroku, Force.com, AWS Elastic Beanstalk, and Apache Stratos.

Platform as a Service (PaaS) is a full-featured cloud environment that has all the servers, operating systems, networking, storage, middleware, tools, and other components that developers need to create, run, and maintain applications.

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The percentage of retired older workers has increased dramatically since the introduction of Social Security.A. TrueB. FalseC. Uncertain

Answers

The statement is true : The percentage of retired older workers has increased dramatically since the introduction of Social Security.

Long-term funding issues are present for Social Security. Many young employees think the situation is so bad that they might never get a Social Security check. The reasonable answer to Social Security's funding issue is to reduce projected benefits and moderately raise payroll taxes. Raising the early qualifying age and regular retirement age for retirement pensions is a logical method to cut future payments.

The significant increase in life expectancy since Social Security's inception in the 1930s serves as justification for this revision. When the average retirement age stays the same, a rise in life expectancy corresponds to a significant increase in lifetime Social Security benefits.

Voters are against raising the retirement age. Unfortunately, this is true of any other changes that would improve Social Security's financial stability, such as tax increases and changes to the formula used to determine full payments.

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vjon fell owns an in the money call option with an exercise price of $45. the call currently sells for $3.75 and the stock sells for $47.50. which of the following is the most likely call price if the stock prices rises by $2.00? multiple choice question. $4.50 $5.80 $1.75

Answers

For the following question if the stock price rises by $2.00 call price will be $5.80.

What is meant by stocks?

Stocks represent ownership in a publicly listed company. on purchasing a company's stake you become the shareholder of that company. If a corporation has 100,000 shares, for instance, and you purchase 1,000 of them, you will own 1% of the business.

How exactly do stocks operate?

Investors purchase stock at a predetermined price based on the market's current conditions. Investors can sell a stock for a profit if the price increases. Investors can be selling at a loss if the price declines.

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Check is issued to establish a petty cash fund of $1,000.
The amount of cash in the petty cash fund is now $340. Check is issued to replenish the fund, based on the following summary of petty cash receipts: office supplies, $383; miscellaneous selling expense, $158; miscellaneous administrative expense, $99. (Because the amount of the check to replenish the fund plus the balance in the fund do not equal $1,000, record the discrepancy in the cash short and over account.) journalize the entries

Answers

Journal entry to replenish petty cash:

Dr Petty Cash $340Cr Cash $340

(To replenish petty cash)

Journal entry to record discrepancy in the cash short and over account:

Dr Office Supplies $383Dr Selling Expenses $158Dr Administration expense $99Dr Cash Over and Short $20Cr Cash $660

(To record discrepancy in the cash short and over account)

What is replenishment in petty cash

Replenishment of petty cash should be recorded based  on the cash difference between the established petty cash and the current amount of the petty cash. The item "cash short and over account" will be used to balance these entries.

Particulars                                     Amount

Office supplies                             $383

Misc. selling expense                  $158

Misc. administration expense     $99

Cash short and over account     $20

($660 - $383 - $158 - $99)

   Cash                                                     $660

   ($1,000 - $340)

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Rose Bush Nursery purchased a delivery truck for $27,000. The truck is expected to have a useful life of 4 years and a residual value of $1,080. If the truck was purchased on June 1, 2013, what is the amount of depreciation expense for the truck for the year ended December 31, 2013?
$3,780
$1,080
$6,480
$3,240

Answers

The amount of depreciation expense for the truck for the year ended December 31, 2013 will be $3,780 if it has a residual value of $1,080.

What is residual value?

The estimated value of a fixed asset at the conclusion of its useful life or lease term is known as the residual value, sometimes known as salvage value. In lease agreements, one of the lessor's main methodologies for figuring out how much the lessee must pay in periodic lease payments is the residual value. One of the components of a lease calculus or operation is residual value. It expresses the absolute future value of a good in monetary terms, and it is occasionally expressed as a percentage of the original purchase price. An automobile is sold today for the list price of $20,000.

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About 80% of top executives say that learning to ____ is the most important skill in getting things done in the workplace
o speak dearly. o listen o filter out distractions o answer e-mails prompty

Answers

About 80% of top executives say that learning to speak dearly is the most important skill in getting things done in the work place speak dearly.

What is importance of learning management skill?

The business and management abilities you have acquired throughout your professional career to date are a significant asset; of course, gaining real-world management experience is necessary to become a successful manager. Studying academic management theory at Aston University is a particularly effective combination to achieve if you're looking for the best way to build on this experience as you advance in your career, whether you want to update your skills, accelerate your development, or change to a new career path. You will get insight into both your own areas of competence and those in which you lack practical experience if you enroll in a program of study that is intended to cover all aspects of business.

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Of the options listed below, which are examples of diversifiable risk? I. Wildfires damage an entire town II. The federal government imposes a $1,000 fee on all business entities III. Payroll taxes are increased nationally IV. All software providers are required to improve their privacy standards Multiple Choice o I and IV only o II and III only o I and III only o I, III, and IV only o II and IV only

Answers

A. I and IV only.  I. Wildfires damage an entire town.  IV. All software providers are required to improve their privacy standards.

What are diversifiable risks?

The chance of losing money on investment because of a company- or industry-specific hazard is known as a particular risk or diversifiable risk. Unlike systematic risk, unsystematic risk can only be reduced via diversification for an investor. By making investments in a variety of assets, an investor uses diversification to reduce risk. The risk that is unique to a corporation is referred to as unsystematic risk (also known as diversifiable risk). This kind of risk could be brought on by spectacular occurrences like a strike, natural disasters like fires, or even something as simple as declining sales. Business risk and financial risk are two typical types of unsystematic risk.

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. under normal conditions, which of the following would be most likely to increase the coupon rate required for a bond to be issued at par?

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It is to be noted that under normal conditions, the factor that would be most likely to increase the coupon rate required for a bond to be issued at par is: the addition of a sinking fund.

What is a sinking fund?

A sinking fund is a fund formed by an economic organization by putting aside money over time to meet a future capital outlay or debt repayment.

A sinking fund is a method of saving money for a certain purchase by setting away a little amount each month. Sinking funds function as follows: each month, you set away money in one or more categories to be utilized at a later period.

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money market mutual fund balances held by businesses $100 money market mutual fund balances held by individuals 220 currency in banks 10 currency in circulation 60 savings deposits, including money market deposit accounts 50 large-denominated ($100,000 or more) time deposits 180 small-denominated ($100,000 or less) time deposits 80 checkable deposits 80 refer to the table. money supply m2 for this economy is multiple choice $80. $500. $60. $490.

Answers

In the given case, the money supply M2 for this economy is $ 490. Money supply is calculated as MS = MB x MM. The correct option is (D).

What do you mean by the money supply?

The total amount of money—cash, coins, and balances in bank accounts—in circulation is known as the money supply.

The money supply is typically understood as a collection of secure assets that individuals, businesses, and governments can use to make payments or hold as short-term investments.

In conclusion, the money supply is crucial because inflation will occur if it increases faster than the economy's capacity to generate goods and services.

Here,

M1 = Currency in Circulation + checkable deposits

M1 = 60 + 80

M1 = 140

M2 = M1 + time deposits(small - denominated) + savings deposits + money market funds held by individuals

M2 = 140 + 80 + 50 + 220

M2 = 490

Therefore, in the given case, the money supply M2 for this economy is $ 490. Money supply is calculated as MS = MB x MM.

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at april 30 marigold ocmpany has the following bank information cash balance per bank 2240 outstanding checks 393 deposits in transit 288. What is Kessler's adjusted cash balance on April 30?

Answers

When there is credit balance in the cash account, a company can record a negative cash position on its balance sheet.

What do deposits in banks mean?

Customers who want to maintain a particular amount of cash in a bank for a specific duration of time can use bank deposits, a sort of savings product. Regardless on the amount and for how long the customer decides to deposit, the banking company will provide the client with the necessary interest as recompense.

How is a deposit account classified?

A customer can make deposits and withdraw funds from a deposit account, which is a bank account kept by a financial institution. Savings accounts, current accounts, or any of the other types of accounts listed below can be deposit accounts.

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based on the following information, compute cash flows from financing activities under gaap. a. purchase of investments $ 150 b. dividends paid 1,100 c. interest paid 300 d. additional borrowing from bank 2,300

Answers

The cash flows from financing activities under GAAP, given the information, can be found to be $ 1, 200

How to find the cash flow from financing activities ?

A part of a company's cash flow statement called cash flow from financing activities (CFF) displays the net cash flows used to fund the business. Transactions involving debt, stock, and dividends are considered financing activities.

The issuing and repayment of equities, the payment of dividends, the issuance and repayment of debt, and capital lease obligations are all examples of financial activity. The cash flow statement will show the amount of debt or equity that companies that need funding have issued.

The cash flow from financing activities here is:

= Additional borrowing from bank - Dividends paid

= 2, 300 - 1, 100

= $ 1, 200

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