suppose the exchange rate between canada and the united kingdom is equal to 1.80 canadian dollars (cad) required to buy 1 british pound. calculate the missing prices assuming that purchasing power parity (ppp) holds.

Answers

Answer 1

Hedging currency exposure is one technique for taking currency risk out of the equation when investing in foreign companies.

Why is it vital to understand exchange rates?

A currency's exchange rate is the cost at which two different currencies can be converted between two different countries or economic regions. It is used to calculate the value of different currencies in relation to one another and is crucial in figuring out how trade and capital flows operate.

In plain English, what is real exchange rate?

The real rate informs us how much more or less products and services can be purchased overseas (after being converted into a foreign currency) for a specific amount. In actuality, the real exchange rate's fluctuations matter more than its absolute value.

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Related Questions

as the inventory control manager for a group of retail stores, henry calls the doubleblue jeans warehouse when he needs to restock this product because the manufacturer stores all of its products there. another name for this warehouse would be a

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When xin-xu needs to restock this item, he contacts the bossie boots warehouse because the manufacturer keeps all of its products there. The correct response is A) self-service retailers.

Xin-xu is the inventory control manager for a collection of shoe stores. The term "distribution centre" could also be used to describe this warehouse. A distribution centre is a warehouse that often stocks a variety of goods, which are then distributed to the following.Retailers and wholesalers.

last or ultimate user because they believe they will frequently find the needed product there rather than having to visit wholesalers or retailers for the same product, the majority of customers tend to frequently visit this distribution centre for the items or product they need.

complete question:

As the inventory control manager for a group of retail stores, henry calls the doubleblue jeans warehouse when he needs to restock this product because the manufacturer stores all of its products there. another name for this warehouse would be a

A) self-service retailers

B) specialty stores

C) warehouse clubs

D) discount stores

E) factory outlets

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finding significant differences is exciting to marketing researchers because it means that the researcher will have something that is potentially very useful to report to the client. true false

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Marketing researchers enjoy discovering major variances since it indicates they will have information that might be extremely beneficial to relay to the customer. The statement is accurate.

Marketing research is the methodical gathering, recording, and analysis of qualitative and quantitative data about marketing-related problems for goods and services. Discovering and analyzing the effects of modifying marketing mix components on consumer behavior is the goal.

This entails defining the data needed to solve these concerns, devising the information gathering strategy, and overseeing and putting the data collection process into practice. These outcomes and conclusions, together with their ramifications, are communicated to those with the authority to take action on them after data analysis.

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Both a payroll tax and an excise tax on alcohol
raise revenue and, respectively, shrink the markets
for labor and alcohol. Although both have some
functions in common, governments may have
different goals when levying them. What goals
do you think motivate a payroll tax? What goals
motivate an alcohol tax?

Answers

The payroll tax's most likely motivation is to raise public spending revenue, educe alcohol consumption to lower the social cost of its consumption.

What are payroll taxes and its benefits?

A payroll tax is a tax paid on a worker's wages and salaries to fund social security programs such as Social Security, Medicare, and unemployment insurance. Paying the appropriate payroll taxes ensures that you receive the government benefits you deserve. These government benefits are: Unemployment insurance benefits. Disability insurance benefits.

What are the important payroll tax consequences?

The government uses income from payroll taxes to fund certain programs such as social security, health care, and workers' compensation. Local governments can collect small payroll taxes to maintain and improve local infrastructure and services, such as first responders, road maintenance, and parks.

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equivalent units of materials cost the filling department of ivy cosmetics company had 4,300 ounces in beginning work in process inventory (70% complete). during the period, 71,900 ounces were completed. the ending work in process inventory was 3,600 ounces (10% complete). what are the total equivalent units for direct materials if materials are added at the beginning of the process? fill in the blank 1 units

Answers

Therefore, the total equivalent units of materials cost is 74,800 (3,010 + 71,900 - 360).

What is cost?

Cost is the value of money that has been used to purchase goods, services, or assets. It is often used to measure the amount of money invested or used up in the production of goods or services. Cost is the total amount of money that needs to be paid to obtain the goods, services, or assets. The cost of a good or service is based on the amount of money spent to produce it, including the cost of labor, materials, and overhead. The cost of a good or service also includes the cost of delivering it to the customer. Cost is also used to measure the efficiency of a business or organization. It is used to compare the cost of production and the cost of selling goods or services. Cost can also be used to measure the financial performance of a business or organization, as well as to allocate resources in the most efficient manner.

The total equivalent units of materials cost for the Filling Department of Ivy Cosmetics Company is 74,800 units. This is calculated by adding the beginning work in process inventory (4,300 ounces x 70% = 3,010) to the ounces completed during the period (71,900) and subtracting the ending work in process inventory (3,600 ounces x 10% = 360). Therefore, the total equivalent units of materials cost is 74,800 (3,010 + 71,900 - 360).

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a company is evaluating an investment which has an initial investment of $4,000. annual net cash flows are expected to be $2,000 over the next three years. the company requires a 10% annual return. the present value of $1 factor for 10% and 1 period is 0.9091; 2 periods is 0.8264; and for 3 periods is 0.7513. the break-even time is between: multiple choice question. 1 and 2 years 2 and 3 years 3 and 4 years 0 and 1 year

Answers

The break-even time is between: - 2 and 3 years.

Does NPV take original investment into account?

Using the concept of net present value, all projected future cash flows, including the initial capital investment, are calculated as to their current value (NPV).

Net present value (NPV) is the current value of cash inflows minus cash outflows over a period of time (NPV). NPV is a metric used in capital budgeting and investment planning to assess the profitability of a proposed investment or project.

The current value of a stream of future payments, or NPV, is calculated using the appropriate discount rate. The general rule is that projects with a positive NPV are beneficial to pursue, whereas those with a negative NPV are not.

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how would you respond to a naysayer that says store business and concessions business will go down if we give out free hats and free food as part of group sales packages?

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would let them know that it's a misconception Offering free food or drinks adds value to the customer without discounting products or services.

What is meant by products?

A product is anything that can be supplied to a market in order to satiate a customer's need or desire. In marketing, a product is an item, system, or service that is made accessible for consumer usage in response to consumer demand.Products are sometimes referred to as merchandise in the retail sector, and they are purchased as raw materials in the manufacturing sector before being sold as finished goods.A form of product that is also considered is a service.In project management, products are the formally defined project deliverables that include or assist in achieving the project's goals.Product liability may apply to hazardous goods, particularly physical ones that harm users or bystanders.

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bartering is a technique used by advertisers to recapture shoppers who abandoned a web site without making a purchase. t or f

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Advertisers utilize bartering as a strategy to re-engage website visitors who left without buying anything. Smart cards can store a user's financial information among other things.

What does it mean to barter?

to transact by exchanging one good or service for another, as in trading one good or service for another. Farmers trading their crops for supplies. negotiated with the proprietor of the store. To trade or exchange through bartering or as though by bartering is a transitive verb.

What kind of exchange would you barter?

A different form of commerce called barter involves exchanging goods and services directly for one another rather than via the use of money. For instance, a farmer might trade a pair of shoes for a bushel of

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suppose that monetary neutrality and the fisher effect both hold and the money supply growth rate has been the same for a long time. other things the same a higher money supply growth would be associated with . question 34 options: both higher inflation and higher nominal interest rates. neither a higher inflation rate nor a higher nominal interest rate. a higher inflation rate, but not higher nominal interest rates. a higher nominal interest rate, but not higher inflation.

Answers

Monetary neutrality and the fisher effect both increase the money supply growth rate increasing the inflation and nominal rate at the same rate.

What is the Fisher effect?

The relationship between inflation and both real and nominal interest rates is outlined in the Fisher Effect, an economic hypothesis developed by economist Irving Fisher. According to the Fisher Effect, the real interest rate is equal to the nominal interest rate less the anticipated inflation rate.

Irvin Fisher, an economist, is credited with creating the Fisher effect. The impartiality of money has a direct bearing on this effect. It claims that real interest rates are stable in economies and that variations in nominal interest rates are a function of changes in anticipated inflation.

Hence/Therefore,

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thirty percent of the cfa candidates have a degree in economics. what is the popbability that none of them have a degree in econmics?

Answers

The probability that none of them have a degree in economics is 0.657.

We need to calculate

P (X > = 1)

= 1 - P(X =0)

= 1 - (1-0.30)^3

= 0.657

Hence, Option C is Correct

The complete question is:

Thirty percent of the CFA candidates have a degree in economics. A random sample of three CFA candidates is selected. What is the probability that at least one of them has a degree in economics?

1. 0.300

2. 0.343

3. 0.657

4. 0.900

Candidate for Level I CFA

You are regarded as a candidate for the CFA Level I if you are presently preparing for the Level I test. You may do this in a number of different ways on your resume. One strategy is to identify as a Level I candidate for the CFA.

The Excel’s function BINOM.DIST can be used.

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if the supply of new reserves in banks is 100 million, the reserve requirement is .1 (10%), and the banks are fully lent out, what is the total amount of loans? what is the total new money supply?

Answers

The number of loans that have been disbursed, according to the supplied statement, total 90 million, while the amount of fresh money supply is one billion.

What makes it a bank?

Whenever Italian merchants inside the Renaissance formed agreements to lend and lend money next to a bench, the term bank is derived from the Italian word banco, which means bench. Then set your coins upon the bench. Simple financial documents have been around since the beginning of time.

Briefing:

100 million is the total supply of reserves.

Reserve requirement = 0.1×100 = 10 million

90 million has been borrowed as a total.

New money supply = change in reserve × Money multiplier = 100million × 1/ 0.10 = 1000million

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leads that meet or exceed screening criteria established by the salesperson or the sales organization are called what?

Answers

Finding qualified prospective customers—often referred to as prospects—is a key component of strategic prospecting. When we state a candidate is qualified, we indicate that they have satisfied or beyond the screening requirements.

How do screening techniques work?

A screening technique is a procedure that, with the fewest steps and the least amount of sample modification, extracts, isolates, and identifies a molecule or collection of components in a sample. A screening technique is essentially a straightforward measurement.

What use does screening serve?

Before any symptoms or signs arise, doctors use screens, which are physical examinations, to check for illnesses and other problems. Screenings help to find problems early on, perhaps when they are easier to treat. Getting the necessary screenings is one of the most important things..

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similar bonds in the market have a yield to maturity of 12 percent today. should she buy the bonds at the offered price

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similar bonds in the market have a yield to maturity of 12 percent today. she should buy the bonds at the offered price.

What is Bond Yield?

Bond yield, which can be calculated in a variety of ways, is the return an investor receives on a bond.

The annual interest rate set when the bond was issued is known as the coupon rate. The price of the bond and the coupon, or interest payment, both affect the current yield.

Bond equivalent yield (BEY), yield to maturity (YTM), and effective annual yield are further methods for calculating a bond's yield (EAY).

A bond may be bought at a premium, which is more than its face value, or at a discount, which is less than its face value.

The bond's coupon rate divided by the market price results in the bond's current yield.

As a bond's price increases, its yield decreases since price and yield have an inverse relationship.

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ben is a salesperson for an industrial equipment manufacturer. once a prospect becomes a new customer, ben looks for ways to improve the products and services his company provides the new customer in order to convert him/her into a loyal customer. in other words, ben looks for ways to:

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Ben is a salesperson for an industrial equipment manufacturer. Ben looks for ways to improve the products and services to convert a new customer into a loyal customer. In other words, Ethan looks for ways to add value.

An industrial equipment manufacturer is a company that produces and sells industrial equipment. This equipment can include machines, tools, and vehicles. Industrial equipment manufacturers usually sell their products to other businesses, rather than to individual consumers.

An equipment manufacturer is a company that produces and sells machinery and equipment. Equipment manufacturers are typically large companies with many employees and a large amount of production capacity.

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suppose your bank account pays interest monthly with an effective annual rate of 6%. what amount of interest will you earn each month? monthly discount rate

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A nominal interest price of 6% compounded monthly is equivalent to an tremendous hobby charge of 6.17%

How do you calculate tremendous interest rate?

Effective annual interest fee = (1 + (nominal price ÷ variety of compounding periods)) ^ (number of compounding periods) - 1. For investment A, this would be: 10.47% = (1 + (10% ÷ 12)) ^ 12 - 1.

How do you calculate monthly activity rate?

To calculate a monthly pastime rate, divide the annual fee through 12 to reflect the 12 months in the year.

Note

For a every day interest rate, divide the annual fee via 360 (or 365, relying on your bank).

For a quarterly rate, divide the annual fee by four.

For a weekly rate, divide the annual rate by means of 52

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An investor buys 400 shares of stock in a fund when the net asset value is $23.79 and the offer price is $23.89. the investor sells these shares when the net asset value is $50.34 and the offer price is $50.46. determine the amount of profit the investor earns. a. $10,580 b. $10,620 c. $10,628 d. $20,136

Answers

The amount of profit the investor earns is  $10580

How do you figure out stock profit?

The profit you make from stock trades is referred to as stock profit. By deducting the amount you paid for the stock (including commissions) from the price you received upon selling it, you may determine the profit on an investment.

An investor buys 400 shares of stock in a fund when the net asset value is $23.79 and the offer price is $23.89.

400 shares were purchased at $23.89 each.

His net asset value when he sold the stocks was $50.34.

Consequently, the profit is determined by;

400(50.34 - 23.89) = $10,580

Consequently, the investor's profit on the 400 shares was $10580.

the amount of profit the investor earns is $10580

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which of the following is not one of the three main restructuring strategies? a. downsizing b. realigning c. leveraged buyouts d. downscoping

Answers

Downsizing is not one of the three main restructuring tactics.

What is Downsizing?Downsizing is not always involuntary. It is also used at other stages of the business cycle to create leaner, more efficient businesses. Eliminating any part of an organizational structure that is not directly adding any value to the final product is a production and management philosophy known as lean enterprise.According to the production principles of lean enterprise, any component of a business enterprise that fails to directly benefit a final product is superfluous. What is valuable (and conversely, what is not valuable) is determined by the customer based on the amount they are willing to pay for a good or service.Downsizing can also be carried out to align the firm's skill and talent with the broader market. For example, a company may pursue downsizing to weed out employees with obsolete skills that may not be useful in its future direction.

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when adam and tori got married 15 months ago, adam moved into the house that toni had owned and lived in for the prior 3 years. they recently decided to move to a more suburban neighborhood and sold the house. what is the maximum amount of gain from the sale of the personal residence that adam and tori can exclude from income taxation?

Answers

Based on the given information, the maximum amount of gain from the sale of the personal residence that Adam and Tori can exclude from income taxation is Zero. Thus the correct option is A.

What is Tax?

A tax is referred to a certain amount that is collected by the government of any country from its citizens which is later on used in the development process of the country including building hospitals, roads and maintaining transportation, and so on.

Determine Your residency in the property for the 5-year period before the sale 2.  The interval between the sale and the day you last sold a house for which you claimed the exclusion.

Therefore, option A is appropriate.

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The comnplete question is Probably

Adam and Tori got married and bought a house 15 months ago. Tori’s job recently transferred her to an office in a different state, so Adam and Tori sold their house. What is the maximum amount of gain from the sale of the personal residence that Adam and Tori can exclude from income taxation?

$0

$250,000.

$312,500.

$500,000.

jet, inc., has net sales of $712,478 and accounts receivable of $167,435. what are the firm's accounts receivable turnover and days' sales outstanding? round your accounts receivable

Answers

The firm's accounts receivables turnover is 4.26 times. The firm's day's sales outstanding is 85.7 days.

What is a receivables turnover?

By analyzing how long it takes to collect the outstanding debt over the course of the accounting period, the accounts receivable turnover ratio, also known as receivables turnover, is used in business accounting to quantify how well businesses are managing the credit that they extend to their customers. Calculations for the accounts receivable turnover ratio will be very different among industries. Larger businesses may also be more willing to extend credit terms since they are less dependent on credit sales. Companies should aim for a ratio of at least 1.0 to ensure they collect the whole amount of average accounts receivable at least once during a period. In general, greater accounts receivable turnover ratio is advantageous.

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how to calculate federal funds target rate with target inflation rate current inflation rate real equilibriujm federal funds rate and output gap

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When inflation exceeds the Fed's inflation objective, the rule calls for a higher federal funds rate, and if inflation is below target, a lower one.

How are federal funding rates targeted determined?The Taylor Rule is a formula that central bankers can use to calculate what their overnight interbank lending rate goal should be based on variables including actual inflation, an inflation objective, actual output, potential production of the economy, and an estimate of the equilibrium real fed.Maintaining stable pricing is one of the Fed's primary objectives, along with low unemployment. Since 1996, Fed policymakers have often held the position that their goal was to achieve an inflation rate of about 2%.When inflation exceeds the Fed's inflation objective, the rule calls for a higher federal funds rate, and if inflation is below target, a lower one.            

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Federal Funds Target Rate = Real Equilibrium Federal Funds Rate + Target Inflation Rate - Current Inflation Rate - Output Gap

Output Gap = The difference between actual Gross Domestic Product (GDP) and potential GDP

The federal funds rate is the rate at which banks lend their reserves to other banks overnight. The Federal Reserve sets the target federal funds rate, which is currently 150 points or 1.50 percent.

The federal funds rate is calculated using the real equilibrium funds rate, which is the federal funds rate that balances the economy in the long run.

The real equilibrium federal funds rate is determined by several factors, including the target inflation rate, the current inflation rate, and the output gap.

The formula for calculating the federal funds target rate is as follows:

Federal Funds Target Rate = Real Equilibrium Federal Funds Rate + Target Inflation Rate - Current Inflation Rate - Output Gap

where:

Real Equilibrium Federal Funds Rate = Federal Funds Rate that balances the economy in the long run

Target Inflation Rate = The inflation rate targeted by the Federal Reserve

Current Inflation Rate = The current rate of inflation

Output Gap = The difference between actual Gross Domestic Product (GDP) and potential GDP

The federal funds rate target can be adjusted by the Federal Reserve depending on the state of the economy and inflation levels.

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what are the consequences of bad logistics management for a company? select all that apply. a more paperwork b problems with customer relations c higher costs d longer hours

Answers

The consequences of poor logistics management for company include:  customer relationship issues, higher costs and longer hours.

What leads to bad logistics?

Poor time management. Increased costs and hidden costs due to lack of knowledge. Disruption of operational processes. I don't have the right software for live tracking.

What impact will logistics have on company?

Successful logistics in business entails more effectiveness, lower costs, higher production rates, better inventory control, more efficient storage space utilization, higher levels of customer and supplier satisfaction, and better customer experiences.

What are the consequences of poor management for suppliers?

In short, poor supplier performance costs a company money, time, and reputation, increases the risk of customer churn, and can even threaten a company's viability. The impact on suppliers is also negative. Efforts to ensure performance regressions can be fixed.

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Organizing is monitoring performance, comparing it with goals, and taking corrective action.a. Trueb. False

Answers

It is False that Organizing is monitoring performance, comparing it with goals, and taking corrective action.

Controlling is monitoring performance, comparing it with goals, and taking corrective action.

What is meant by performance monitoring?

Performance monitoring is the systematic and routine observation of performance over time with the goal of creating or verifying performance records, identifying inefficient and ineffective practices, determining service needs, and—most importantly—detection of underperformance early on to prevent further performance degradation. It is the systematic monitoring and continuing assessment of an organization's performance in comparison to recognized performance benchmarks.

Due to its frequency and increased emphasis on observing everyday activities, performance monitoring differs from occasional performance auditing or review.

Performance monitoring aims to immediately identify the signs of underperformance and respond as soon as possible.

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a technology company wants to increase sales for their newest product, so they decide to invest in advertising and direct marketing for the product. this is an example of

Answers

Answer:

Traditional marketing or direct response marketing

A technology company wants to Increase sales for their newest product, so they decide to invest in advertising and direct marketing for the product. This is an example of traditional marketing or direct response marketing.

What is traditional marketing?

Traditional marketing is the process of fulfilling the target audience’s needs using offline channels and making a profit out of it. In simpler terms, traditional marketing refers to the satisfaction of needs and wants for consumers via those marketing channels that existed before individuals had access to modern digital platforms.

It involves fulfilling the 4ps of marketing without making use of digital marketing channels. This traditional marketing mix includes: Building a product that operates and fulfils customers’ demands online. For example, a washing machine. Using a pricing strategy that’s not dependent on online channels. Using offline channels of distribution to reach out to the customers. Promoting the product using offline channels like TV, radio, newspapers, etc.

Traditional marketing encompasses a wide range of advertising and marketing strategies.

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john is the head of a federal agency. his agency is lacking funds to support a new policy implementation, so it is allowed to borrow funds from another government agency. what are these funds a part of?

Answers

Overestimating the effect of government action carries a risk (neglects other factors) Where there is no one, dominating policy or agency engaged, it is challenging to apply. Policies evolve when they are put into practice.

These foundational principles include (1) creating a clear goal; (2) encouraging initiative; (3) empowering employees; (4) providing staff development or resources; (5) restructuring, monitoring, and problem-solving; and (6) planning. These presumptions offer a plan for the duties and method that assist improvement in effective alterations.

The total of a country's yearly budget deficits, less any surpluses, is its national debt. When the government spends more than it brings in, there is a deficit. The government borrows money by offering debt obligations to investors in order to cover its budget deficit.

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a loan that requires the borrower to pledge specific assets as collateral is called a(n) loan.

Answers

An asset (such a car or piece of property) is pledged as security for a loan in a secured loan, making the asset a secured debt owed to the lender.

How do loans with security operate?

Loans that are secured by an asset are called secured loans. This means that the lender will ask you which of your assets you want to use as collateral when you apply for a secured loan. Following that, the asset will be subject to a lien held by the lender until the loan is returned in full.

What exactly is an asset?

An asset is something that has monetary value or the potential to be profitable. For instance, a machine, a financial instrument, or a patent

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1. how much cash is paid to acquire inventory during year 2021? 2. how much cash is paid for operating expenses (excluding depreciation) during year 2021? hint: examine prepaid expenses and wages payable.

Answers

To determine the cash paid to suppliers for purchases related to inventory, cost of goods sold (COGS) and accounts payable (AP) from the income statement and balance sheet, respectively, are adjusted for inventory movements.

What is an Operating Expense?

Operating expenses are costs incurred by a business as a result of its ongoing operations. Rent, equipment, inventory prices, marketing, payroll, insurance, step charges, & money set aside for R&D are all examples of operating expenses, often known as OPEX. Operating expenses, also known as selling, general, or administrative charges, are what it costs to run a business (SG&A). There are several of them, including rent & utilities, sale & accounting, advertising and marketing and management & administrative salaries.

Why are operating expenses important?

Operating costs are important because they may be used to assess how well a company manages its costs and inventory. It highlights the level of expenses a company must incur in order to achieve its main goal, which is to generate revenue. Examples of naturally recurring expenses incurred to operate a business are administrative, selling, or general expenses.

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country a has a comparative advantage over country b in the production of shoes, if a. country a can produce shoes at a lower monetary cost than country b can. b. country a can produce shoes using fewer resources than country b can. c. the demand for shoes is higher in country a than in country b. d. country a can produce shoes at a lower cost in terms of other goods than country b can.

Answers

Country a has a comparative advantage over country b in the production of shoes, Country A can produce shoes at a lower cost in terms of other goods than other B.

What do you have been comparative advantage?

In an economic model, agents who can produce a particular good at a lower relative opportunity cost or autarky price—that is, at a lower relative marginal cost before trade—have a competitive advantage over rivals. Someone has a comparative advantage if they can produce something for less money than anyone else. Superiority in a particular field is different from comparative advantage.

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what may be asked during an interview? will you list all organizations, clubs and lodges to which you belong? do you own or rent your home? have you worked at the company under a different name? of what country are you a citizen?

Answers

The question " have you worked at the company under a different name?" can be asked during an interview. Hence, option (c) will be regarded as the suitable option.

Give a brief account on interview.

In a structured conversation known as an interview, one party asks questions and the other responds. A private conversation between an interviewer and an interviewee is referred to as a "interview" in daily speech. The interviewee frequently responds to the interviewer's inquiries with information. You are completely free to use or share the information with other audiences. This trait is obvious in a wide variety of interviews; even when no one else is present during a witness interview or a job interview, the responses will be made available to others later in the hiring or investigative process. During an interview, information might be transferred in both directions.

Although face-to-face interviews are the norm, it is possible for parties to conduct interviews over the phone or by videoconferencing if they are geographically apart. The majority of the time, interviews entail a spoken exchange between two or more people. A "conversation" between two people who type their inquiries and responses can occasionally occur.

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how would putting a price on natura attributes and ecological services affect demand for reneabe reouces

Answers

Different characteristics of ecological services.

People have a tendency to value each service and product differently because natural features and ecological services are priced differently.

The consumer would so stand to gain the most.

The ecological services are those that make our lives easier and preserve the harmony of the natural world. The prices of each commodity or service would benefit the customers. The user would benefit from the natural features such as the fresh water and other elements like sunlight, rain, fresh air, etc. on several occasions.

Wetlands are places or areas where the soil is occasionally covered in water. These fall under the categories of marshes, bogs, fens, swamps, and shallow water. Peatlands are another type of area that has partially degraded organic materials.These are several, crucial areas that are present in various biospheres. They enhance water quality, stop soil erosion and loss of land mass, safeguard coasts.

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reverse culture shock occurs primarily because of the ease of reintegrating into the organization. true false

Answers

Reverse culture shock occurs primarily because of the ease of reintegrating into the organization.

The statement is true.

What do you mean by reverse culture shocks?

Re-entry, often known as reverse culture shock, is merely a typical reaction to coming home after studying abroad. It is a period of emotional and psychological readjusting, comparable to your initial acclimatization to living overseas.One gradually regains their emotional and psychological equilibrium as they accept differences and learn to fit into the new society. Some people finish this experience in a matter of weeks, while others may need months.

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city council is deciding whether to clean up a local pond. they estimate the marginal benefit and marginal cost of each cleanup hour in the table below. marginal cost of cleanup (dollars) quantity of pollution cleanup (hours) marginal benefit of cleanup (dollars) $350 1 $650 $400 2 $600 $450 3 $550 $500 4 $500 $550 5 $450 what is the optimal time spent on pollution cleanup?

Answers

The optimal time spent on pollution cleanup is: ($450).

What is pollution?

Pollution is the introduction of contaminants into the environment that cause harm or discomfort to humans, animals, and other living organisms. It is the result of human activities such as burning fossil fuels, agricultural activities, industrial processes, and other daily activities. Pollution can take many forms including air pollution, water pollution, soil pollution, and noise pollution. Air pollution is the introduction of pollutants into the air that can cause health and environmental problems. Water pollution is the contamination of water bodies such as lakes, rivers, oceans, and groundwater with chemicals, microbiological organisms, and other pollutants. Soil pollution is the contamination of soil with hazardous chemicals, metals, and other pollutants, which can lead to reduced fertility of the soil and decrease crop yields. Noise pollution is the excessive noise from industrial and other activities that can interfere with normal activities such as sleeping, conversation, or work. Pollution has serious impacts on the environment, human health, and the economy and should be tackled for the betterment of the planet.

The optimal time spent on pollution cleanup is 3 hours, since this is the quantity where the marginal benefit ($550) is equal to the marginal cost ($450).

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The ideal amount of time to spend cleaning up pollution is three hours since at this point, the potential reward ($550) and marginal cost ($450) are equal.

What are the four primary types of pollution?

The three main types of pollution are smog, industrial effluents, and land pollution, which are often categorized by environment. Particular pollutant kinds, like plastic, light, and noise pollution, are also of concern to contemporary civilization.

Describe pollution:

When toxins are released into the environment, it causes injury or discomfort to people, animals, as well as other living things. Pollutants that can harm human health and the environment are released into the air, causing air pollution.

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