4. Exercise 12.5 Alchem (L) is the price leader in the polyglue market. All 10 other manufacturers (follower [F] firms) sell polyglue at the same price as Alchem. Alchem allows the other firms to sell as much as they wish at the established price and supplies the remainder of the demand itself. Total demand for polyglue is given by the following function (QT = QL+QF): P= 10,000 - 4QT Alchem's marginal cost function for manufacturing and selling polyglue is MCL = 5,000 +6QL and the aggregate marginal cost function for the other manufacturers of polyglue is SMCF = 2,000 +4QF. To maximize profits, Alchem should produce units and charge a price of $ per unit. What is the total market demand for polyglue at the price established by Alchem? units. How much of total demand do the follower firms supply? units.

Answers

Answer 1

To maximize profits, Alchem should produce and sell 6,000 units of polyglue at a price of $4,000 per unit. The total market demand for polyglue at this price is 6,000 units, and the follower firms supply the same quantity of 6,000 units.

To maximize profits, Alchem should determine the level of production and price that maximizes its total revenue minus its total cost.

First, we need to find the equilibrium quantity at the established price. The demand function is given by P = 10,000 - 4QT, where QT represents the total quantity demanded.

Substituting P = 10,000 and rearranging the equation, we have QT = (10,000 - P)/4. Since Alchem supplies the remainder of the demand, its quantity supplied (QL) would be equal to QT.

Next, we can calculate Alchem's marginal cost (MCL) function, which is MCL = 5,000 + 6QL. To maximize profits, Alchem should set marginal cost equal to the price. Therefore, 5,000 + 6QL = P.

By substituting P = 10,000 - 4QT into the equation, we can solve for QT and find that QT = 6,000 units. Since Alchem supplies the remainder of the demand, it will produce and sell 6,000 units of polyglue.

To find the total market demand at the established price, we substitute QT = 6,000 into the demand function: P = 10,000 - 4(6,000) = $4,000. Thus, the total market demand for polyglue at the established price is 6,000 units.

Since Alchem supplies the remaining demand, the follower firms (QF) would supply the remaining quantity. Therefore, the follower firms supply 6,000 units of the total demand.

In conclusion, to maximize profits, Alchem should produce and sell 6,000 units of polyglue and charge a price of $4,000 per unit.

The total market demand for polyglue at this price is 6,000 units, and the follower firms supply the same quantity, which is also 6,000 units.

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Related Questions

.The amounts of the assets and liabilities of Wilderness Travel Service at April 30, 2019, the end of the year, and its revenue and expenses for the year following. The capital of Harper Borg, owner, was $180,000 on May 1, 2018, the beginning of the year, and the owner withdrew $40,000 during the year.
Accounts payable $25,000 Supplies $9,000
Accounts receivable 210,000 Supplies expense 12,000
Cash 146,000 Taxes expense 10,000
Fees earned 875,000 Utilities expense 38,000
Miscellaneous expense 15,000 Wages expense 525,000
Rent expense 75,000 Instructions
1. Prepare an income statement for the year ending April 30, 2019.
2. Prepare a statement of owner's equity for the year ending April 30, 2019.
3. Prepare a balance sheet as of April 30, 2019.
4. What item appears on both the income statement and statement of owner's equity?

Answers

The item that appears on both the income statement and statement of owner's equity is the Net Income ($200,000).

Describe what you mean by liabilities.

The sums that a company owes to other creditors are known as liabilities. Accounts payable might consist of notes payable and bank debt. To expand more quickly, businesses borrow money. A company's stability is determined by the harmony between its debts and its assets.

Income Statement for the year ending April 30, 2019:

Fees earned $875,000

Less: Expenses

Supplies expense $12,000

Taxes expense $10,000

Utilities expense $38,000

Wages expense $525,000

Miscellaneous expense $15,000

Rent expense $75,000

Total Expenses $675,000

Net Income $200,000

Statement of Owner's Equity for the year ending April 30, 2019:

Capital, May 1, 2018 $180,000

Add: Net Income $200,000

Less: Owner's Withdrawals $40,000

Capital, April 30, 2019 $340,000

Balance Sheet as of April 30, 2019:

Assets:

Cash $146,000

Accounts Receivable $210,000

Supplies $9,000

Total Assets $365,000

Liabilities and Owner's Equity:

Accounts Payable $25,000

Capital $340,000

Total Liabilities and Owner's Equity $365,000

Therefore, Net Income is calculated on the income statement and then transferred to the statement of owner's equity to determine the change in the owner's capital.

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Calculate VaR and expected shortfall (Part 2): Suppose that each of two investments has a 3% chance of a loss of $10 million, a 7% chance of a loss of $3 million, and a 90% chance of a profit of $2 million. They are independent of each other. What is the VaR for a portfolio consisting of the two investments when the confidence level is 95%? Select one: O a $20 million O b. $13 million Oc. $8 million O d. $6 million Oe. $3 million

Answers

The Value at Risk(VaR) for the portfolio consisting of the two investments at a 95% confidence level is $3 million. The correct option is e. The expected shortfall is not provided in the question.

To calculate the VaR (Value at Risk) for the portfolio consisting of two investments, we need to consider the probability distribution of potential losses.

Let's calculate the potential losses for each investment:

Investment 1:

- 3% chance of a loss of $10 million

- 7% chance of a loss of $3 million

- 90% chance of a profit of $2 million

Investment 2:

- 3% chance of a loss of $10 million

- 7% chance of a loss of $3 million

- 90% chance of a profit of $2 million

Since the investments are independent, we can combine the probabilities to calculate the overall probabilities for the portfolio.

The worst-case scenario for the portfolio is if both investments incur their maximum losses. Therefore, the probability of this scenario occurring is 3% * 3% = 0.09% (0.03 * 0.03 = 0.0009).

The VaR at a 95% confidence level is the value below which we can expect losses to occur with a probability of 5%. To calculate this, we need to sort the potential losses in ascending order:

$2 million (profit), $2 million (profit), $3 million (loss), $3 million (loss), $10 million (loss), $10 million (loss)

Since the cumulative probability of the first four outcomes is 90%, we need to find the fifth outcome that corresponds to a cumulative probability of 95%. In this case, it is a loss of $3 million.

Therefore, the VaR for the portfolio is $3 million.

Thus, the correct answer is option e. $3 million.

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Which of the following cash flows would be included in the operating activities section of the statement of cash flows if the direct method is used? A. Interest paid on long-term debt
B. Cash received from the sale of investments C. Dividends paid to stockholders D. Cash received from issuing long-term debt

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The  option A, interest paid on long-term debt, would be included in the operating activities section of the statement of cash flows if the direct method is used.

The operating activities section of the statement of cash flows includes cash inflows and outflows that arise from the primary revenue-generating activities of a business. Interest paid on long-term debt is a cost associated with financing operations, which falls under operating activities. Cash received from the sale of investments and from issuing long-term debt are related to financing activities, while dividends paid to stockholders are related to investing activities and would not be included in the operating activities section.

A. Interest paid on long-term debt is related to the company's ongoing operations, so it is included in the operating activities section.

B. Cash received from the sale of investments is not directly related to operations; it is a part of investing activities.

C. Dividends paid to stockholders are not related to operations; they are a part of financing activities.

D. Cash received from issuing long-term debt is also not related to operations; it falls under financing activities.

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GPack plc. recently announced an ordinary dividend per share of 26p. The dividend payout per share for 2017-2020 are 20p, 22p, 22p and 24p respectively. The shareholders require a return of 14 per cent. Calculate the price for this share.

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To calculate the price for GPack plc. shares, we can use the Dividend Discount Model (DDM) which takes into account the expected dividends and the required return of shareholders. The formula for the DDM is as follows:

Price = (Dividend per Share / Required Return) + (Dividend per Share / Required Return)^2 + ... + (Dividend per Share / Required Return)^n + Terminal Value

The Terminal Value represents the expected future dividends beyond the last dividend available in the given data. It is calculated by dividing the next expected dividend by the difference between the required return and the expected dividend growth rate.

Let's calculate the price for GPack plc. shares:

Dividend per Share: 26p

Required Return: 14%

Dividend Growth Rate: Assuming a conservative growth rate of 2% based on the historical dividend payouts.

Using the provided dividend payouts for 2017-2020, we can calculate the Terminal Value using the expected dividend growth rate:

Terminal Value = (24p * (1 + 0.02)) / (0.14 - 0.02) = 183.43p

Now, we can calculate the price using the DDM formula:

Price = (20p / 0.14) + (22p / 0.14)^2 + (22p / 0.14)^3 + (24p / 0.14)^4 + 183.43p / (1 + 0.14)^4

Calculating the above equation will give us the price for GPack plc. shares.

Please note that this calculation assumes a constant dividend growth rate. It's important to consider other factors and perform a comprehensive analysis before making investment decisions.

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Using the information below, calculate net cash flows from operating activities: B ZAB Net income Receive cash from issuing stock Pay cash for equipment Increase in accounts receivable Depreciation expense Increase in accounts payable Receive cash from sale of land Pay cash dividends $120,000 80,000 90,000 10,000 $ 30,000 5,000 75,000 20,000 Multiple Choice $190,000 $155,000 Multiple Choice $190,000 $155,000. $145,000 $115,000.

Answers

To calculate the net cash flows from operating activities, we need to consider the cash inflows and outflows related to the operating activities of the company.

The net cash flows from operating activities can be calculated by considering the cash inflows and outflows directly related to the company's operating activities. In this case, the cash inflows include the amount received from issuing stock, increase in accounts receivable, and cash received from the sale of land. The cash outflows consist of payments made for equipment and increase in accounts payable. By subtracting the total cash outflows from the total cash inflows, we arrive at the net cash flows from operating activities. In this scenario,

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a self-employed individual makes $95,000 per year. to which type of retirement plan can the maximum contribution be made? a roth ira b traditional ira c sep ira d simple ira

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As a self-employed individual, the retirement plan that allows for the maximum contribution of $95,000 would be the SEP IRA (Simplified Employee Pension Individual Retirement Arrangement).

This type of plan allows for contributions of up to 25% of the individual's net earnings from self-employment, or $58,000 (whichever is less) for the year 2021. Since $95,000 is above the maximum limit for a Traditional or Roth IRA, and a SIMPLE IRA has a lower maximum contribution limit, the SEP IRA would be the best option for the individual in this scenario. It's important to note that contribution limits and eligibility requirements can change over time, so it's always a good idea to consult with a financial advisor or tax professional for specific guidance on retirement planning.

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True/false: Companies today are focused on vertical integration encompassing the ownership and coordination of all supply chain activities while also outsourcing their core competencies.

Answers

False. While some companies may focus on vertical integration, many others are pursuing a strategy of outsourcing non-core competencies to specialized vendors while retaining control over their core competencies.

This allows companies to benefit from the expertise of external partners while focusing on their own areas of expertise. The main answer to the question is false, and the is that while vertical integration is a viable strategy for some companies, many are pursuing a different approach that involves outsourcing non-core activities.
True/false: Companies today are focused on vertical integration encompassing the ownership and coordination of all supply chain activities while also outsourcing their core competencies.

False. While some companies do focus on vertical integration to control their supply chain activities, it is not accurate to say that all companies today follow this approach. Furthermore, outsourcing core competencies would be counterproductive, as companies generally aim to strengthen and retain control over their core competencies to maintain a competitive advantage in the market.

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gdp does count: changes in inventorygroup of answer choicesspending for new homeschanges in inventoriesvalue of freight shipments to mexicostate and local government purchasesany one of the answers is correct.

Answers

GDP does count changes in inventory as one of the components in measuring the overall economic output of a country.

Other factors that contribute to GDP include group of answer choices such as spending for new homes, changes in inventories, value of freight shipments to Mexico, and state and local government purchases. Each of these factors plays a role in determining the level of economic activity within a country and can have an impact on GDP.By considering these factors, GDP provides a comprehensive view of a nation's economic health and growth.

Therefore, any one of the answers provided is correct in terms of contributing to the overall calculation of GDP.

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Question 5 1 Which of the following is true in welfare economics? At the market cours, the consumer surplus into the producer The consumer surplus shows a person could see when the winness to pay exce

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The correct statement in welfare economics is option A: At the market equilibrium, the consumer surplus is always equal to the producer surplus. Consumer surplus is the difference between what consumers are willing to pay for a good or service and what they actually pay. Producer surplus, on the other hand, represents the difference between the price at which producers are willing to sell a good or service and the price they actually receive.

At the market equilibrium, the quantity supplied equals the quantity demanded, and the market clears. This equilibrium results in the maximum combined consumer and producer surplus. The consumer surplus is represented by the area above the market price and below the demand curve, while the producer surplus is represented by the area below the market price and above the supply curve. In a perfectly competitive market, where equilibrium is achieved, the total consumer surplus is equal to the total producer surplus.

Option B refers to the concept of consumer surplus but does not accurately describe it. Option C describes the computation of producer surplus incorrectly. Option D refers to excess supply but not producer surplus.

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Complete question- Question 5 1 Which of the following is true in welfare economics?

A. At the market equilibrium, the consumer surplus is always equal to the producer surplus.

B. The consumer surplus shows a person could save when his/her willingness to pay exceeds what is actually said.

C. The producer surplus is computed by getting the area of the triangle below the curve.

D. The producer refers to the excess of quantity supply over quantity demanded.

Which of the following is false?
a. package labeling is usually done at the end of the assembly line
b. code numbers are preferable to words for labeling a product
c. some firms are moving from one dimensional to two dimensional bar codes

Answers

The statement, b. Code numbers are preferable to words for labeling a product is false. Therefore, option b is correct.

Code numbers and words both have their advantages and disadvantages for labeling products. However, it is not accurate to state that code numbers are always preferable to words for labeling a product. The choice between code numbers and words depends on various factors, including the nature of the product, industry standards, and the target audience.

Code numbers, such as barcodes or QR codes, offer advantages in terms of efficiency, accuracy, and automated scanning. They can store a large amount of information in a compact form, making them suitable for inventory management, tracking, and quick identification. Code numbers are particularly useful in industries with high-volume products or when speed and accuracy are crucial, such as retail or logistics.

On the other hand, words can provide clear and direct information about the product, including its name, brand, features, and instructions. Words are easily understandable by humans and can convey important details that may not be captured by a code number alone. In consumer-facing industries or for products requiring detailed labeling, words may be more appropriate and user-friendly.

Therefore, it is incorrect to claim that code numbers are always preferable to words for labeling a product. The choice between code numbers and words depends on the specific requirements, industry practices, and the needs of the target audience.

When it comes to product labeling, the choice between code numbers and words depends on various factors. While code numbers offer advantages in terms of efficiency and automation, words provide clear and direct information for human understanding. The decision to use code numbers or words should be based on the specific requirements, industry standards, and the target audience.

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suppose publix introduces a deal on steak. publix lowers the price of the steak per lbs. from $11.00 to $9.00. sales of steak at the beginning of the month were 700 and after the price change, the sales increased 1,100 at the end of the month. assuming no other market changes and using the midpoint method, we can determine the demand elasticity is ... (give two decimals and correct sign).

Answers

Assuming no other market changes and using the midpoint method, the demand elasticity for the steak at Publix is -2.22. This means that the demand for the steak is elastic, and a decrease in price leads to a more than proportionate increase in the quantity demanded.

Let's find the demand elasticity for the steak at Publix using the midpoint method. Here are the steps:
1. Calculate the percentage change in price: (($9 - $11) / (($9 + $11) / 2)) x 100 = (-$2 / $10) x 100 = -20%.
2. Calculate the percentage change in quantity demanded: ((1,100 - 700) / ((1,100 + 700) / 2)) x 100 = (400 / 900) x 100 = 44.44%.
3. Calculate the price elasticity of demand: (percentage change in quantity demanded) / (percentage change in price) = 44.44% / -20% = -2.22.

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military food service is interested in management companies mostly to

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Military food service is interested in management companies to enhance efficiency, improve quality, and provide cost-effective solutions for feeding large numbers of personnel in diverse operational environments.

Military food service operations often involve serving meals to a large number of personnel in various locations and situations, such as military bases, field deployments, and remote areas. The involvement of management companies can bring several benefits. These companies have expertise in food service management, allowing them to streamline operations, optimize logistics, and improve overall efficiency. They can also bring innovation and quality enhancements to the food service, ensuring that military personnel receive nutritious and satisfying meals. Additionally, management companies can leverage their procurement networks and economies of scale to provide cost-effective solutions, reducing expenses for the military while maintaining high standards.

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which of the following should be disclosed in a summary of significant accounting policies? basis of consolidation. composition of plant assets. adequacy of pension plan assets in relation to vested benefits. concentration of credit risk of financial instruments.

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The basis of consolidation should be disclosed in a summary of significant accounting policies.  (Option A)

A summary of significant accounting policies provides users of financial statements with information about the company's accounting methods and principles. The basis of consolidation is a critical accounting policy that should be disclosed. It explains how the company combines the financial statements of its subsidiaries or other entities it controls. The disclosure would include details about the criteria used for consolidation and any adjustments made to eliminate intercompany transactions or balances.

While the other options may also be important disclosures in other sections of the financial statements or footnotes, they are not typically included in a summary of significant accounting policies. The composition of plant assets may be discussed in the property, plant, and equipment section, the adequacy of pension plan assets in relation to vested benefits may be covered in the employee benefits section, and the concentration of credit risk of financial instruments may be disclosed in the notes on financial instruments or risk management.

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suppose that market demand is q = 660 – 12p and marginal cost is mc = 5. the producer surplus in a perfectly competitive market is $____, while the producer surplus in a monopoly market is $ ___.

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In a perfectly competitive market, the producer surplus can be calculate by finding

the area below the market price (p) and above the marginal cost (MC) curve. The producer surplus is the difference between the market price and the marginal cost multiplied by the quantity (q) produced. Using the given marginal cost of 5, we can set MC equal to the market price (p) to find the equilibrium quantity and price. 5 = 660 - 12p 12p = 660 - 5 12p = 655 p = 54.58 Substituting this price into the demand equation, we find the equilibrium quantity: q = 660 - 12(54.58) q ≈ 3.44 Therefore, in a perfectly competitive market, the producer surplus is: Producer Surplus = (p - MC) * q = (54.58 - 5) * 3.44 ≈ $177.84In a monopoly market, the producer has the ability to set the price above the marginal cost. However, since the specific price and quantity are not given for the monopoly market

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here's our first in-lecture quiz. what is one way erikson's theory differs from freud's theory?

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One way Erikson's theory differs from Freud's theory is by emphasizing the importance of psychosocial development throughout the entire lifespan, whereas Freud's theory mainly focuses on psychosexual development in childhood.

While both Erikson and Freud are prominent figures in the field of psychology, their theories diverge in significant ways. Freud's psychoanalytic theory centers around the stages of psychosexual development, highlighting the influence of unconscious desires and early childhood experiences. In contrast, Erikson's psychosocial theory encompasses eight stages that span across the lifespan, addressing social and emotional challenges individuals encounter at each stage.

Erikson believed that individuals continue to develop and face psychosocial crises throughout their lives, with each stage presenting a unique conflict to be resolved. This perspective broadens the scope beyond childhood and accounts for the ongoing psychological growth and adaptation that occurs in adulthood and old age.

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Ash, Benny, and Chantel are the only buyers in the market for a private good. Answer the following questions based on the MC and MWTP functions given below. MC = 25+ 0.25Q MWTPA= 100-Q MWTPB = 210 - 2

Answers

Therefore, the equilibrium quantity when the market price is $210 and the marginal cost is 210-2 is 9000.  

Using the equation for the market equilibrium price (MC = MWTPA), we can find the equilibrium price as follows:

MC = 25 + 0.25Q

MC = 25 + 0.25(2000)

MC = 25 + 500

MC = 25 + 500

MC = 2550

Therefore, the equilibrium price when the market price is  25 and the marginal cost is 0.25 is 2550.

Question 2: What is the equilibrium quantity when the market price is $210 and the marginal cost is 210-2?

Solution: Using the equation for the market equilibrium quantity (MWTPB = MWTPA), we can find the equilibrium quantity as follows:

MWTPB = 100 - Q

MWTPB = 100 - 2000

MWTPB = 9000

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The following pertains to Upton Co. for the year ending December 31, 2019: Budgeted Sales $1,400,000 Break-even Sales 780,000 Budgeted Contribution Margin 680,000 Cashflow Break-even 240,000 Upton's margin of safety is:

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Budgeted Sales $1,400,000 Break-even Sales 780,000 Budgeted Contribution Margin 680,000 Cashflow Break-even 240,000 Upton's margin of safety is $620,000.

The margin of safety represents the difference between the budgeted sales and the break-even sales. It indicates how much sales can decline before the company starts incurring losses.

To calculate the margin of safety, we subtract the break-even sales from the budgeted sales. In this case, the budgeted sales are $1,400,000, and the break-even sales are $780,000.

Margin of Safety = Budgeted Sales - Break-even Sales

Margin of Safety = $1,400,000 - $780,000

Margin of Safety = $620,000

Upton Co. has a margin of safety of $620,000. This means that the company's sales can decline by $620,000 before it reaches the break-even point and starts incurring losses. The margin of safety provides a buffer for the company and indicates the level of sales cushion it has to absorb unexpected changes or fluctuations in the market. A higher margin of safety is generally desirable as it implies a more stable financial position and a greater ability to withstand adverse conditions. Upton Co. should monitor its margin of safety regularly to ensure it remains within acceptable levels and take appropriate actions if it declines significantly.

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The amount credited to share warrants outstanding by Gumamela on the issuance of the share was:

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Gumamela, each preference share carried one non-detachable warrant, which means that the holder of the preference share had the option to exercise the warrant and acquire additional ordinary shares of the company at a fixed price. The total amount credited to share warrants outstanding by Gumamela on the issuance of the shares was P68,000.

The total amount credited to share warrants outstanding by Gumamela on the issuance of the shares was P68,000. This can be calculated by multiplying the number of shares issued (4,000) by the exercise price of the warrant (P17) which results in P68,000. The market price of the preference share without warrants was given as P104 per share, but the market price of the share warrants was not provided in the question. Hence, it is not possible to determine the exact value of the share warrants at the time of issuance.

It is important to note that share warrants are a form of financial instrument that gives the holder the right to purchase a company's stock at a predetermined price within a specific time frame. In the case of Gumamela, each preference share carried one non-detachable warrant, which means that the holder of the preference share had the option to exercise the warrant and acquire additional ordinary shares of the company at a fixed price.

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The initial impact of an increase in an investment tax credit is to shift:
a) aggregate demand right
b) aggregate demand left
c) aggregate supply right
d) aggregate supply left

Answers

a) aggregate demand right

The initial impact of an increase in an investment tax credit is to shift aggregate demand right. This is because the tax credit provides an incentive for businesses to increase investment, leading to higher aggregate demand in the economy.

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.Choose the correct example of tactical versus operational inventory management--one of the responsibilities of supply chain managers.
A) Tactical: Managing inbound deliveries from suppliers; Operational: Preparing and evaluating forecasts
B) Tactical: Deciding where in the supply chain to hold inventory; Operational: replenishing inventory when depleted
C) Tactical: Converting inputs into outputs; Operational: Coordinating the external supply chain.

Answers

The correct example of tactical versus operational inventory management in supply chain management is B) Tactical: Deciding where in the supply chain to hold inventory; Operational: replenishing inventory when depleted.

What is the management ?

Tactical inventory management involves making strategic decisions about inventory placement, such as deciding where in the supply chain to hold inventory.

Operational inventory management, on the other hand, involves the day-to-day management of inventory, such as replenishing inventory when it is depleted.

Supply chain managers must have a good understanding of both tactical and operational inventory management in order to effectively manage their organization's inventory and ensure the availability of products to customers while minimizing inventory holding costs.

Hence, option b. is correct.

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A human resource analyst who was taking a social information processing approach to job redesign might find which of the following factors most important for that redesign? Check all that apply. a. This job is made up of many very complex work tasks b. An individual working on this fob rarely talks with anyone but an immediate manaper. c. The job is basically done alone, d. The people who work on this job do so in teams. e. There is constant interaction and conversation. f. Employees who do this job rely on a number of interpersonal skills because they are doing customer service tasks.

Answers

If a human resource analyst is taking a social information processing approach to job redesign, they would likely find factors such as- e.  constant interaction and conversation, F. as well as the reliance on interpersonal skills for customer service tasks, to be the most important for that redesign.

What does this approach do?

This approach emphasizes the social context in which work is performed, and how communication and social relationships affect job performance and satisfaction.

Therefore, the analyst would prioritize redesigning the job to incorporate more opportunities for interaction and collaboration, as well as providing training and support for employees to improve their interpersonal skills.

This approach also recognizes the importance of teamwork, so if the job involves working in teams, the analyst would consider ways to optimize team dynamics and foster effective communication among team members.

Hence, option e. and f. are correct.

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The nominal exchange rate between the United States dollar and the Japanese yen is which of the following?
The rate at which one of the currencies can be converted into the other currency
Always equal to the real effective exchange rate except when nominal interest rates within the two countries diverge
Always equal to the real effective exchange rate except when real interest rates within the two countries diverge
The reciprocal of the real exchange rate

Answers

The nominal exchange rate between the United States dollar and the Japanese yen is the rate at which one of the currencies can be converted into the other currency.

The nominal exchange rate is the price of one currency in terms of another currency. It is the rate at which one currency can be exchanged for another currency. In the case of the United States dollar and the Japanese yen, the nominal exchange rate is the rate at which one dollar can be exchanged for a certain number of yen or vice versa. It is important to note that the nominal exchange rate can fluctuate over time due to various economic factors, such as inflation rates, interest rates, and trade balances.

The nominal exchange rate is not always equal to the real effective exchange rate except when nominal or real interest rates within the two countries diverge. The real effective exchange rate takes into account the inflation rate and the relative purchasing power of the two currencies. It is the rate at which the trade-weighted average value of one country's currency can be exchanged for the trade-weighted average value of another country's currency. The real effective exchange rate is a better measure of the true exchange rate between two countries, as it reflects the changes in the relative prices of goods and services in each country.

The nominal exchange rate is also not the reciprocal of the real exchange rate. The real exchange rate is the rate at which the goods and services of one country can be exchanged for the goods and services of another country. It takes into account the inflation rate and the relative purchasing power of the two currencies. The real exchange rate reflects the true value of the exchange rate between two countries in terms of their respective goods and services.

In summary, the main answer to the question is that the nominal exchange rate between the United States dollar and the Japanese yen is the rate at which one of the currencies can be converted into the other currency. The nominal exchange rate can fluctuate over time due to various economic factors, and it is not always equal to the real effective exchange rate or the reciprocal of the real exchange rate.

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The dollar-value LIFO retail method Select one: O a. does not really include retail LIFO in the calculation process. O b. combines the principle of retail LIFO with dollar-value LIFO. O c. is an interesting theoretical exercise that is rarely used in practice. O d. is a new principle.

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B) combines the principle of retail LIFO with dollar-value LIFO.

The dollar-value LIFO retail method combines the principles of retail LIFO (Last-In, First-Out) and dollar-value LIFO. This method is used to value inventory in retail businesses where a mix of different items with varying costs and selling prices are involved. It takes into account changes in both the quantity and value of inventory over time.

By using the dollar-value LIFO retail method, a retailer can account for changes in the cost of inventory and the impact of inflation on inventory values. It allows for adjustments to inventory layers based on changes in the retail selling prices and the cost-to-retail ratios of inventory items.

This method is a practical approach used by retailers to maintain accurate inventory valuations that reflect the changing market conditions. It helps in managing inventory costs and determining the cost of goods sold in a way that is consistent with the principles of LIFO and dollar-value adjustments.

The dollar-value LIFO retail method combines the principles of retail LIFO and dollar-value LIFO to accurately value inventory in retail businesses. It is a practical approach used by retailers to manage inventory costs and account for changes in both quantity and value over time.

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required: b. which two of the four basic tax planning variables increase the value of vern's investment?

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By strategically timing his income and taking advantage of available tax credits, Vern can potentially minimize his tax liability and increase the overall value of his investment.

The four basic tax planning variables are: Timing of income: This refers to the strategic timing of when income is received. By deferring income to future years or accelerating income into the current year, Vern can potentially increase the value of his investment. Deferring income allows for potential tax savings by delaying the tax liability, while accelerating income may take advantage of lower tax rates or tax deductions in the current year. Timing of deductions: Similar to timing of income, timing of deductions involves strategically timing when expenses or deductions are claimed. By maximizing deductible expenses in higher tax years and minimizing them in lower tax years, Vern can potentially increase the value of his investment. This can result in higher tax savings by maximizing deductions in years with higher tax rates. Choice of entity: Choice of entity refers to the selection of the legal structure through which Vern conducts his investment activities. Depending on the type of investment and Vern's overall financial situation, choosing the right entity structure (such as a corporation, partnership, or individual ownership) can impact the taxation of investment income and potentially increase the value of his investment. Tax credits: Tax credits are specific incentives provided by the tax code that directly reduce the amount of tax owed. By identifying and utilizing applicable tax credits related to his investment activities, Vern can potentially increase the value of his investment by reducing his overall tax liability.

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1) True/False. Explain. In the long run as new firms ever the monopolistically competitive industry, the profit of the existing firms is driven down to zero. Thus, monopolistically competitive industries are efficient in the long run.
2) How does the number of firms in a cartel affect the probability that a cartel will be able to successfully maintain a high price?

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False. In the long run, new firms entering the monopolistically competitive industry can increase competition, but it does not necessarily drive profits down to zero.

Instead, existing firms may differentiate their products and continue to earn profits. Monopolistically competitive industries may not be efficient in the long run because firms may engage in excessive advertising and product differentiation, leading to higher costs and prices for consumers. 2) The larger the number of firms in a cartel, the more difficult it becomes to maintain a high price. This is because as the number of firms in the cartel increases, each firm has a smaller share of the market, making it less profitable for them to collude. Additionally, the more firms involved, the more difficult it is to monitor and enforce the agreement.

As a result, larger cartels are less stable and more likely to break down. Smaller cartels with fewer firms may be able to maintain a high price more effectively because they have a larger share of the market and can more easily monitor and enforce the agreement.

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a depreciation of the real exchange rate in a small open economy could be the result of: a domestic tax cut. an increase in government spending. a decrease in the world interest rate. the expiration of an investment tax-credit provision.

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A depreciation of the real exchange rate in a small open economy could be the result of a decrease in the world interest rate among the given options.

The real exchange rate is the relative price of goods and services between two countries, adjusted for inflation. A depreciation of the real exchange rate means that the domestic currency has become relatively weaker compared to foreign currencies.

A decrease in the world interest rate can lead to a depreciation of the real exchange rate. When the world interest rate decreases, it can reduce the return on investment in the domestic economy. As a result, international investors may seek higher returns elsewhere, leading to capital outflows and a decrease in the demand for domestic currency. This decrease in demand can result in a depreciation of the real exchange rate.

On the other hand, a domestic tax cut, an increase in government spending, or the expiration of an investment tax-credit provision may have other effects on the economy, but they are not directly related to the depreciation of the real exchange rate.

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Dini a member of a protected class, applies for a job with Coffee Brew Corporation, but fails the company’s employment test and is not hired. Beal believes that the test has an unintentionally discriminatory effect. If so, this is
a constructive discharge.
disparate-impact discrimination.
disparate-treatment discrimination.
never discrimination.

Answers

If Dini, a member of a protected class, applies for a job with Coffee Brew Corporation, but fails the company's employment test and is not hired, and if Beal believes that the test has an unintentionally discriminatory effect, this is an example of disparate-impact discrimination. Disparate-impact discrimination occurs when a seemingly neutral policy or practice unintentionally has a discriminatory effect on a protected class.

If Beal believes that the employment test has an unintentionally discriminatory effect, then this would be an example of disparate-impact discrimination. Disparate-impact discrimination occurs when a seemingly neutral employment practice, such as a test, disproportionately affects members of a protected class and cannot be justified as job-related and consistent with business necessity. This is different from disparate-treatment discrimination, which occurs when an employer intentionally treats an individual differently because of their membership in a protected class. It is also not a constructive discharge, which occurs when an employee is forced to resign because of intolerable working conditions.

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If the test has an unintentionally discriminatory effect, this is known as disparate-impact discrimination.

Disparate impact is defined as a theory of discrimination in employment that holds that employment practices, policies, and other procedures that appear to be neutral and applied to everyone equally but that have a greater effect on one group over another can be deemed discriminatory and illegal.The federal courts are more than 100 years old. The US Supreme Court has issued decisions in hundreds of disparate-impact cases, including in the areas of hiring, promotions, terminations, and testing. The Supreme Court has provided a framework for resolving disparate-impact discrimination claims under Title VII of the Civil Rights Act. The test must first show that the challenged practice has a disparate impact on a protected group.

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The management of Lanzilotta Corporation is considering a project that would require an investment of $255,000 and would last for 6 years. The annual net operating income from the project would be $109,000, which includes depreciation of $32,000. The scrap value of the project's assets at the end of the project would be $16,000. The cash inflows occur evenly throughout the year. The payback period of the project is closest to (Ignore income taxes.): (Round your answer to 1 decimal place.) Multiple Choice a) 1.8 years. b) 2.3 years. c) 1.6 years. d) 3.0 years.

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Dividing the initial investment by the net cash inflow per month gives a payback period of approximately 39.7 months, which is closest to option d) 3.0 years.

How to find?

The payback period is a measure of how quickly an investment will generate enough cash inflows to recover the initial investment. To calculate the payback period of this project, we need to divide the initial investment by the annual net cash inflow.

In this case, the initial investment is $255,000 and the annual net cash inflow is $77,000 ($109,000 - $32,000). Therefore, the payback period is approximately 3.3 years ($255,000 ÷ $77,000).

However, since the cash inflows occur evenly throughout the year, we need to adjust the payback period to account for the timing of the cash flows. This means that we would need to divide the initial investment by the net cash inflow per period (i.e. per month or per quarter) rather than per year.

Assuming monthly cash inflows, the net cash inflow per month would be $6,417 ($77,000 ÷ 12). Dividing the initial investment by the net cash inflow per month gives a payback period of approximately 39.7 months, which is closest to option d) 3.0 years.

Hence, option d. is correct.

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who is responsible for paying the taxes of a real estate salesperson?

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The responsibility for paying taxes of a real estate salesperson typically falls on the individual real estate salesperson themselves.

As independent contractors or self-employed individuals, real estate salespeople are generally responsible for managing their own taxes. This includes fulfilling their tax obligations, such as reporting their income, deducting eligible expenses, and paying any applicable taxes, such as income tax and self-employment tax.

Real estate salespeople often receive commissions or earnings directly from the real estate transactions they facilitate. These earnings are considered self-employment income, and the salesperson is responsible for reporting and paying taxes on this income.

Additionally, real estate salespeople may have other tax-related responsibilities, such as making estimated tax payments throughout the year or keeping track of deductible business expenses.

It's important for real estate salespeople to understand their tax obligations and consult with tax professionals or accountants to ensure compliance with tax laws and maximize their deductions within the legal framework.

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the color crate exchange sends a new art activity in the mail each month. nora prepaid a 6-month subscription for her son. she signed up during their spring sale and received $12 off the total cost. nora paid $78 in all. which equation can nora use to find m, the regular cost per month?

Answers

The equation Nora can use to find the regular cost per month (m) is: (6m - 12) = 78. So the regular cost per month for the art activity subscription is $15.

In this equation, 6m represents the total cost for the 6-month subscription, and 12 is the discount Nora received during the spring sale. By subtracting the discount from the total cost, Nora paid $78 in all.

To find the regular cost per month, Nora can rearrange the equation as follows: 6m = 78 + 12. Simplifying further, 6m = 90, and dividing both sides of the equation by 6 gives m = 15. Therefore, the regular cost per month for the art activity subscription is $15.

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