Players 1 and 2 are bargaining over how to split a prize of size 100. In time period 1, player 1 proposes a share of the prize x to player 2 and player 2 may accept or reject his offer. If he accepts, the game ends with the proposed distribution by player 1 i.e., payoffs (100-x, x). If player 2 rejects, the game moves to the second time period, in which the size of the prize becomes half due to some external punishment. In the second time period, player 2 proposes a share y to player 1 and player 1 can either accept, resulting in payoffs y to player 1 and the remainder to player 2. In case player 1 rejects then the game moves to round 3. In round 3, the prize shrinks to 1/4th of the original size and each player gets the prize randomly with a probability of half by flipping a coin and the game finishes.

Solve for a subgame perfect equilibrium to this game.

Answers

Answer 1

To solve for a subgame perfect equilibrium in this bargaining game, we need to analyze the players' decision-making at each stage and determine their optimal strategies. Let's break down the game into different periods and determine the equilibrium outcome:

Period 3:

In this period, the prize is 1/4th of the original size, and the players receive the prize randomly with a probability of half. Since the outcome is random and there are no strategic decisions to be made, the players will simply receive the prize with a 50% chance each.

Period 2:

In this period, the prize size is halved, and player 2 proposes a share (y) to player 1. Player 1 can either accept or reject the offer. If player 1 accepts, the payoffs are (y, 100/2 - y) for player 1 and player 2, respectively. If player 1 rejects, the game moves to period 3.

Player 2's optimal strategy is to propose an offer that maximizes their own payoff since they know player 1 will reject any offer less than or equal to 50 (half of the original prize). Therefore, player 2 will propose y = 50.

Period 1:

In this period, the prize size is 100, and player 1 proposes a share (x) to player 2. Player 2 can either accept or reject the offer. If player 2 accepts, the payoffs are (100 - x, x) for player 1 and player 2, respectively. If player 2 rejects, the game moves to period 2.

Player 1's optimal strategy is to propose an offer that maximizes their own payoff considering the potential outcome in period 2. Since player 2 will propose y = 50 in period 2, player 1 should offer an amount x greater than or equal to 50 to ensure player 2's acceptance. Therefore, player 1 will propose x = 50.

Overall, the subgame perfect equilibrium in this game is:

In period 1, player 1 proposes x = 50 to player 2.

In period 2, player 2 proposes y = 50 to player 1.

In period 3, the players randomly receive the prize with a 50% chance each.

This equilibrium ensures that both players make rational decisions at each stage, maximizing their own payoffs based on their knowledge of subsequent periods.

Note: The solution assumes that players are solely concerned with maximizing their own payoffs and do not consider other factors such as fairness or strategic cooperation.

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Related Questions

The market exchange rate between Australian dollars and the US dollars is USD 0.75 per Australian dollar. The real exchange rate is 1.25. What is the PPP based exchange rate?

Answers

The PPP-based exchange rate cannot be determined without information on price levels in both countries.

The Purchasing Power Parity (PPP) exchange rate is a theoretical concept that suggests that the exchange rate between two currencies should equalize the purchasing power of each currency in their respective countries. To calculate the PPP-based exchange rate, we need to divide the real exchange rate by the ratio of price levels between the two countries.

Given:

Market exchange rate: USD 0.75 per Australian dollar

Real exchange rate: 1.25

To determine the PPP-based exchange rate, we need to consider the price levels in both countries. However, the given information does not provide specific data on price levels. Therefore, we cannot calculate the PPP-based exchange rate without additional information on price levels.

The PPP-based exchange rate is influenced by various factors such as inflation rates, relative price levels, and cost of living. Without knowing the specific price levels in both countries, it is not possible to calculate the PPP-based exchange rate accurately.

To obtain an accurate PPP-based exchange rate, we would need information on price levels or inflation rates in both Australia and the United States. With that information, we could calculate the ratio of price levels and use it to adjust the real exchange rate.

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Equipment constructed for a customer for an agreed price of RM18,000. This has recently been completed at a cost of RM16,800. It has now been discovered that, in order to meet certain regulations, conversion with an extra cost of RM4,200 will be required. The customer has accepted partial responsibility and agreed to meet half the extra cost.

Answers

The total cost to the customer will be RM20,100.

The equipment constructed for a customer for an agreed price of RM18,000 is now discovered to require conversion at an extra cost of RM4,200 to meet specific regulations. The cost of producing the equipment is RM16,800. Therefore, the total cost of the equipment with additional conversion expenses is RM21,000. As the customer accepted partial responsibility and agreed to meet half the extra cost, the remaining half cost would be borne by the manufacturer.

The cost of the equipment:

RM16,800 + RM4,200 = RM21,000

The additional cost of RM4,200 has to be split between the manufacturer and the customer. Thus, the manufacturer is responsible for half of the extra cost, which is RM2,100 (RM4,200/2).

The customer is also accountable for half the extra cost, which is RM2,100. Therefore, the total cost to the customer will be:

RM18,000 (agreed price) + RM2,100 (extra cost borne by the customer) = RM20,100

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discussions with the owner-manager of an entity under audit reveal to the auditor that the company is more concerned with minimizing its income tax payments than maximizing income. based on this information, which management assertion will the auditor be most concerned about verifying with regard to sales revenue?

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Given the company's focus on minimizing income tax payments rather than maximizing income, the auditor would be most concerned about verifying the management assertion of completeness with regard to sales revenue.

The management assertion of completeness relates to ensuring that all sales revenue transactions, including those that may be omitted or understated, are recorded and presented in the financial statements. In this case, where the company's priority is to minimize income tax payments rather than maximizing income, there may be a higher risk of management intentionally omitting or understating sales revenue to reduce taxable income.

The auditor would need to pay close attention to the completeness of sales revenue and ensure that all relevant transactions are appropriately recorded and disclosed. This may involve performing detailed tests, such as reconciling sales records with supporting documentation, verifying the accuracy of sales invoices, and reviewing the company's revenue recognition policies and procedures.

By focusing on verifying the completeness assertion, the auditor aims to address the potential risk of unrecorded or understated sales revenue that could impact the accuracy and fairness of the financial statements.

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which activity helps an organization determine the raw input, equipment, and human resources needed to produce an output?

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The activity that helps an organization determine the raw input, equipment, and human resources needed to produce an output is called production planning. This involves analyzing the demand for the output, estimating the necessary resources, scheduling production, and monitoring the progress.

By carefully planning the production process, organizations can optimize their resources and increase efficiency. This not only saves time and money but also ensures that the output meets the required quality standards. The success of an organization largely depends on effective production planning, as it helps to streamline operations and achieve the desired results.  The activity that helps an organization determine the raw input, equipment, and human resources needed to produce an output is called "capacity planning." Capacity planning involves analyzing an organization's current and future production capabilities to meet the demand for its products or services. It ensures that an organization has the appropriate resources to meet customer expectations and achieve its objectives. This process typically includes assessing the quantity and quality of raw materials, evaluating the capacity of equipment, and determining the necessary human resources. By performing capacity planning, organizations can optimize their operations, minimize costs, and ensure efficient production.

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The Free Soil Party wanted to stop the expansion of slavery into the West. Identify the reasons people supported the Free Soil Party platform.
a) The Free Soil platform appealed to racist thinking in the North as it did not include emancipation or equal rights.
b) The Free Soil Party would create more free states, which would break southern domination of the federal government.
c) Northerners saw moving West as a form of economic betterment, so if the Free Soil Party blocked slavery's expansion, ordinary Americans wouldn't have to compete with plantations to have access to the land.

Answers

The people supported the Free Soil Party platform is that they wanted to stop the expansion of slavery into the West. The party's platform appealed to different groups for various reasons.

First off, several Northerners backed the Free Soil Party because it would increase the number of free states, ending the southern bloc's hold on the federal government. Second, the Free Soil Party hoped to prevent the spread of slavery so that common Americans wouldn't have to compete with plantations for access to the land. Many Northerners considered migration to the West as a way to improve their economic situation.  

a) The Free Soil platform did not include emancipation or equal rights for enslaved people, which made it appealing to those with racist views in the North.

b) By creating more free states, the Free Soil Party would reduce southern domination of the federal government, which appealed to many northerners.

c) Northerners saw moving West as an opportunity for economic betterment. If the Free Soil Party blocked slavery's expansion, they wouldn't have to compete with large plantations for access to land, allowing them a better chance to succeed economically.

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Using the information given here, what is the price-earnings ratio for DEF Company?
Earnings $180,000
Number of shares outstanding 60,000
Price per share $30
Book value per share $10
A. $20.00
B. $4.00
C. $10.00
D. $7.50
E. $3.00

Answers

The price-earnings ratio for DEF Company is 10. The answer choice that is closest to 10 is option D, which is $7.50. However, none of the answer choices match the calculated P/E ratio exactly.


To calculate the price-earnings ratio (P/E ratio) for DEF Company, we need to divide the price per share by the earnings per share (EPS). The EPS is calculated by dividing the total earnings by the number of outstanding shares.

First, we need to find the EPS:

EPS = Earnings / Number of shares outstanding
EPS = $180,000 / 60,000
EPS = $3

Next, we can calculate the P/E ratio:

P/E Ratio = Price per share / EPS
P/E Ratio = $30 / $3
P/E Ratio = 10

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After you present your qualifications in your cover letter, you should Multiple Choice o clearly drive for whatever action is appropriate, such as an interview or further conversation. o describe your long-term goals for your career o capture the reader's attention o thank the reader for their time and offer your contact information o describe your education history

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After you present your qualifications in your cover letter, you should clearly drive for whatever action is appropriate, such as an interview or further conversation. Your cover letter serves as an introduction to your resume and yourself as a potential candidate for the job.

Therefore, it is important to capture the reader's attention and showcase your qualifications. However, it is not enough to simply list your qualifications; you need to take the next step and drive for an appropriate action, such as an interview or further conversation. This shows that you are interested in the job and willing to take the initiative to move the process forward. So, make sure to end your cover letter with a strong call to action, and thank the reader for their time and consideration. In a cover letter, the main goal is to convince the employer that you are a suitable candidate for the job, and that you should be given an opportunity to showcase your skills and personality through an interview or further conversation.

Therefore, after presenting your qualifications, you should focus on driving towards the desired action, such as requesting an interview or follow-up conversation." A cover letter serves as a tool to introduce yourself and persuade the employer that you are the right fit for the job. After outlining your qualifications and relevant experience, you need to clearly drive for the next step, which is usually an interview or further conversation. This is because your primary objective is to secure a chance to further discuss your suitability for the position and ultimately secure the job."

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jackson autos has one employee. as of march 30, their employee had already earned $6,180. for the pay period ending april 15, their employee earned an additional $2,060 of gross wages. only the first $7,000 of annual earnings are subject to futa of 0.6% and suta of 5.4%. the journal entry to record the employer's unemployment payroll taxes for the period ending april 15, would be:

Answers

To record the employer's unemployment payroll taxes for the period ending April 15,

you would make the following journal entry:
Date: April 15, 20XX (assuming the year is 20XX)
Debit: Payroll Tax Expense - FUTA ($7,000 x 0.6%)
Debit: Payroll Tax Expense - SUTA ($7,000 x 5.4%)
Credit: FUTA Payable (the amount of FUTA tax)
Credit: SUTA Payable (the amount of SUTA tax)

The FUTA (Federal Unemployment Tax Act) tax is calculated on the first $7,000 of annual earnings at a rate of 0.6%. The SUTA (State Unemployment Tax Act) tax is also calculated on the first $7,000 of annual earnings, but at a rate of 5.4%.

Let's assume the FUTA tax calculation is $42 (0.6% of $7,000) and the SUTA tax calculation is $378 (5.4% of $7,000). The journal entry would be as follows:

Date: April 15, 20XX
Debit: Payroll Tax Expense - FUTA           $42
Debit: Payroll Tax Expense - SUTA           $378
Credit: FUTA Payable                                     $42
Credit: SUTA Payable                                     $378

Remember to adjust the values for the FUTA and SUTA taxes based on the specific earnings and tax rates applicable in your jurisdiction.

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the fed wishes to expand the money supply. what three things can it do? which has the most predictable effect? be specific.

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The Federal Reserve (the Fed) has several tools at its disposal to expand the money supply.

The three common methods used by the Fed are:

1. Open Market Operations (OMO): The Fed can purchase government securities, such as Treasury bond , from commercial banks and financial institutions. This injects money into the banking system, increasing the reserves of the banks and consequently expanding the money supply. The effect of open market operations is generally predictable because the Fed has direct control over the amount of securities it purchases and can adjust it as needed.

2. Lowering Reserve Requirements: The Fed can reduce the reserve requirements that banks are obligated to hold against deposits. By lowering the reserve requirements, banks are allowed to lend a larger portion of their deposits, increasing the money supply. However, the effect of reserve requirement changes may be less predictable compared to open market operations because it depends on how banks choose to utilize their newfound capacity to lend.

3. Lowering the Discount Rate: The discount rate is the interest rate at which commercial banks can borrow funds directly from the Federal Reserve. When the Fed lowers the discount rate, it encourages banks to borrow more, leading to increased lending and an expansion of the money supply. However, the effect of changing the discount rate may be less predictable compared to open market operations since it depends on the response of banks and their borrowing behavior.

Among these three methods, open market operations (OMO) typically have the most predictable effect on the money supply. The Fed has direct control over the amount of government securities it purchases, allowing it to more precisely determine the impact on the money supply. By adjusting the quantity and timing of open market operations, the Fed can have a relatively predictable effect on the money supply.

It's important to note that the actual impact of these tools can be influenced by other factors such as economic conditions, market response, and the behavior of banks and financial institutions. The Fed carefully assesses various factors and adjusts its policies accordingly to achieve its monetary policy objectives.

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after retirement older adults problem solving activities typically involve

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After retirement, older adults' problem-solving activities typically involve adapting to the changes that come with aging, such as managing chronic illnesses, financial planning, and maintaining social connections.

They may also need to make decisions about downsizing their living arrangements, adjusting to decreased mobility, and planning for end-of-life care. In addition, many older adults seek to continue learning and engaging in mentally stimulating activities, such as playing games, solving puzzles, and participating in community classes or workshops. Overall, problem-solving activities for older adults require a combination of practical and cognitive skills, as well as the ability to adapt to changing circumstances and maintain a positive outlook. It is important for older adults to continue to challenge themselves mentally and remain socially active in order to maintain their overall well-being.

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Discuss different forms of risk that any multinational enterprise might be exposed to the recent geopolitical tension in Ukraine and Russia.

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Recent geopolitical tensions between Ukraine and Russia can expose multinational enterprises (MNEs) to various forms of risk. Here are some potential risks:

Political Risk: The heightened geopolitical tension can lead to political instability, changes in government policies, or even the possibility of war. MNEs may face challenges in conducting business operations, including disruptions to supply chains, nationalization of assets, or changes in regulations and trade barriers.

Economic Risk: Geopolitical tension can have a significant impact on the economies of both Ukraine and Russia, as well as neighboring countries. MNEs operating in these regions may face currency volatility, inflation, economic sanctions, or trade disruptions, which can affect their profitability and financial performance.

Operational Risk: The tense situation can create operational challenges for MNEs, including physical security risks to employees, facilities, and supply chains. There may be disruptions to transportation networks, increased corruption, and difficulties in managing cross-border transactions.

Reputational Risk: MNEs may face reputational risks due to their involvement in regions affected by geopolitical tensions. Consumers, stakeholders, and the public may scrutinize their actions and expect them to align with ethical standards and human rights considerations.

Legal and Regulatory Risk: Changes in laws, regulations, or the imposition of sanctions can impact MNEs' legal and regulatory environment. Compliance with new rules or navigating legal complexities in uncertain times can pose challenges and increase compliance costs.

Financial Risk: Fluctuations in currency exchange rates, interest rates, and stock markets can create financial risks for MNEs. Currency devaluation or restrictions on capital movements can affect cash flows, profitability, and the valuation of assets and liabilities.

To mitigate these risks, MNEs can employ various strategies, such as diversifying their operations across multiple countries, maintaining strong risk management frameworks, closely monitoring the geopolitical situation, developing contingency plans, and engaging in dialogue with governments and local stakeholders.

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a stock is currently priced at $37 and will move up by a factor of 1.4 or down by a factor of .55 each period over each of the next two periods. the risk-free rate of interest is 3 percent. what is the value of a put option with a strike price of $51? (do not round intermediate calculations. round your answer to 2 decimal places.)

Answers

When the risk-free rate of interest is 3 percent. The value of a put option with a strike price of $51 is $7.49.

To calculate the value of a put option with a strike price of $51, we can use the binomial option pricing model. This model takes into account the potential movements in the stock price and calculates the option value based on the probabilities of these movements.

Current stock price = $37

Up factor (u) = 1.4

Down factor (d) = 0.55

Risk-free rate of interest (r) = 3%

Strike price (K) = $51

Number of periods (n) = 2

First, we calculate the risk-neutral probability of an up movement (p) and a down movement (1 - p) using the risk-free rate:

p = (1 + r - d) / (u - d)

  = (1 + 0.03 - 0.55) / (1.4 - 0.55)

  = 0.48

Next, we calculate the expected stock price at each period using the up and down factors:

Expected stock price at period 1 (S1) = Current stock price * u

                                     = $37 * 1.4

                                     = $51.80

Expected stock price at period 2 (S2) = Current stock price * d

                                     = $37 * 0.55

                                     = $20.35

Now, we calculate the option value at each period:

Option value at period 2 (C2) = Max(K - S2, 0)

                            = Max($51 - $20.35, 0)

                            = $30.65 (because the stock price is lower than the strike price)

Option value at period 1 (C1) = (p * C2 + (1 - p) * C2) / (1 + r)

                            = (0.48 * $30.65 + 0 * $30.65) / (1 + 0.03)

                            = $14.71

Finally, we calculate the option value at period 0 (the current period) by discounting the expected option value at period 1:

Option value at period 0 (C0) = (p * C1 + (1 - p) * C2) / (1 + r)

                            = (0.48 * $14.71 + 0 * $30.65) / (1 + 0.03)

                            = $7.49

Therefore, the value of the put option with a strike price of $51 is $7.49.

The value of the put option with a strike price of $51 is $7.49, according to the binomial option pricing model.

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what are 3 new improvements to the reclassify transactions tool

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Batch actions: The reclassify transactions tool now allows users to perform batch actions on multiple transactions simultaneously. This feature enables users to reclassify or delete multiple transactions at once, saving time and increasing efficiency.

Improved search functionality: The search functionality of the reclassify transactions tool has been enhanced to enable users to search for transactions based on multiple criteria. Users can now search for transactions based on account type, date range, transaction type, and other parameters, making it easier to locate specific transactions quickly.

Custom categories: The reclassify transactions tool now allows users to create custom categories for transactions. This feature enables users to classify transactions based on their unique needs and preferences, making it easier to track expenses and income accurately.

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where there is no well-understood or agreed-on procedure for making a decision, it is said to be: group of answer choices low-level. semi-structured. documented. unstructured. undocumented.

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When there is no well-understood or agreed-on procedure for making a decision, it is said to be unstructured. This means that there is no set process or guidelines to follow in order to make a decision.

Where there is no well-understood or agreed-on procedure for making a decision, it is said to be unstructured. Unstructured decisions involve situations with ambiguous or uncertain information and typically require human judgment and intuition to resolve. Unlike documented or semi-structured decisions, they lack clear, predefined processes and may vary greatly from one situation to another. In such cases, individuals or groups may rely on their own intuition or past experiences to arrive at a decision. This can be risky and may lead to inconsistent or biased decisions. It is important to establish a clear and documented procedure for decision-making to ensure consistency and fairness.

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Rolf exchanges an office building with FMV of $145,000 and stock with FMV of $30,000 for investment land with FMV of $175,000. Rolf's adjusted basis in the building and stock is $104,500 and $10,000, respectively. a. How much gain (or loss) will Rolf recognize on the exchange?

Answers

Rolf will recognize a gain of $20,000 on the exchange, which is attributable to the stock.

In this exchange, Rolf is trading an office building and stock for investment land. To determine the gain or loss recognized, we need to follow these steps:

1. Calculate the total Fair Market Value (FMV) of the assets given up: $145,000 (building) + $30,000 (stock) = $175,000
2. Calculate the total adjusted basis of the assets given up: $104,500 (building) + $10,000 (stock) = $114,500
3. Calculate the realized gain or loss: Total FMV - Total Adjusted Basis = $175,000 - $114,500 = $60,500
4. Since this is a like-kind exchange involving only real estate (building for land), the entire realized gain is deferred. However, since stock is also included in the transaction, the gain attributable to the stock is recognized. The gain on the stock is $30,000 (FMV) - $10,000 (adjusted basis) = $20,000.

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ABC Company bought a new machine that cost $500,000 on 1/1/15. The machine had a useful life of 10 years. ABC Company used straight-line depreciation with an estimated salvage value of $0. ABC Company is subject to an income tax rate of 40%. ABC Company sold the machine on 1/1/18 (after using the machine for exactly 3 full years. In the next 3 questions, you are to determine the Net Cash Inflow (NCF) from the sale of the machine on 1/1/18.
If the machine was sold on 1/1/18 for $350,000, the Net Cash Inflow (NCF) is: A. $0 B. $200,000 C. $350,000 D. $400,000

Answers

To calculate the Net Cash Inflow (NCF) from the sale of the machine on 1/1/18, we need to consider the book value of the machine at the time of sale.

The machine was purchased for $500,000 and has been used for 3 full years, which means it has accumulated 3 years of depreciation expense. Annual depreciation expense = (Cost - Salvage value) / Useful li Annual depreciation expense = ($500,000 - $0) / 10 = $50,000

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Traditionally, ________ is defined as two or more people related by blood, marriage, or adoption who reside together.
A) friendship
B) celebrity
C) household
D) a work group
E) family

Answers

Option (e), Traditionally, family is defined as two or more people related by blood, marriage, or adoption who reside together.

The definition of family has evolved over time and varies across cultures. Some families may include non-blood relatives or may not reside together. Additionally, the definition of family is constantly changing with new societal norms and legal recognition of different types of families.


A traditional family consists of individuals who are connected through biological ties, legal bonds such as marriage, or adoption processes. They typically live together and maintain close relationships.

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Which of the following statements is true in comparing regular monopoly with perfect price discrimination? a. Perfect price discrimination increases dead weight loss. b. Perfect price discrimination increases consumer surplus. c. Perfect price discrimination achieves the efficient output. d. Perfect price discrimination results in fewer consumers receiving the product.

Answers

Statement c is true: Perfect price discrimination achieves the efficient output. Perfect price discrimination refers to a situation where a monopolistic seller is able to charge each customer their individual willingness to pay for a product or service.

In this scenario, the monopolist maximizes its profits by charging different prices to different customers based on their specific willingness to pay.

Compared to a regular monopoly, perfect price discrimination has some distinct effects. While regular monopoly power allows the monopolist to charge a single price and restrict output, perfect price discrimination achieves a more efficient outcome.

Statement a, which suggests that perfect price discrimination increases deadweight loss, is incorrect. In fact, perfect price discrimination eliminates deadweight loss since it allows the monopolist to capture all available consumer surplus.

Statement b, claiming that perfect price discrimination increases consumer surplus, is incorrect as well. Perfect price discrimination maximizes the monopolist's profits by capturing all consumer surplus for itself.

Statement d, stating that perfect price discrimination results in fewer consumers receiving the product, is also incorrect. Perfect price discrimination does not affect the number of consumers receiving the product; instead, it focuses on extracting the maximum possible surplus from each individual consumer.

Therefore, statement c, which indicates that perfect price discrimination achieves the efficient output, is the true statement when comparing regular monopoly with perfect price discrimination.

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classical economists believe that prices are __________ and focus on the _________ run.
A. Prices are sticky
B. The economy can adjust back to full employment on its own
C. The short run is more significant than the long run
D. Aggregate demand is more significant than aggregate supply
E. The economy needs help in moving back to full employement

Answers

B. The economy can adjust back to full employment on its own.

Classical economists believe that prices are flexible and that the economy has self-adjusting mechanisms to return to full employment without the need for government intervention. They argue that market forces of supply and demand will naturally bring about equilibrium and restore the economy to its full potential. Classical economics emphasizes the long-run perspective, focusing on the idea that the economy has inherent mechanisms that can restore balance over time. They advocate for free markets, limited government intervention, and the belief that economies can achieve long-run stability and growth through the operation of market forces.

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.The set of procedures in which the sample size and sample statistic are used to make an estimate of the corresponding population parameter is called:
A) Process inference.
B) Statistical inference.
C) Population inference.
D) Parameter inference.

Answers

The B) Statistical inference is the process of using sample statistics to make estimates about population parameters.

This involves selecting a sample from the population, collecting data, and using statistical methods to analyze the sample data and make inferences about the population. The goal of statistical inference is to make accurate and reliable predictions or generalizations about the population based on the information provided by the sample.

Statistical inference is the process of using data from a sample to make estimates or test hypotheses about a population parameter. It involves drawing conclusions from sample data by considering the likelihood that the results occurred by chance.

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The constraint at Johngrass Corporation is time on a particular machine. The company makes three products that use this machine. Data concerning those products appear below:
Assume that sufficient time is available on the constrained machine to satisfy demand for all but the least profitable product. Up to how much should the company be willing to pay to acquire more of the constrained resource? (Round your intermediate calculations and final answer to 2 decimal places.)
$10.29 per minute
$39.09 per unit
$75.41 per unit
$13.38 per minute

Answers

The constraint at Johngrass Corporation is **machine time**, and the company produces three products that utilize this resource.

To address the constraint, it is essential to calculate the contribution margin per unit of the constrained resource for each product. The contribution margin is the difference between the selling price and variable costs per unit. In this case, the selling price is $39.09 per unit, and the variable cost is $13.38 per minute of machine time. To maximize profits, Johngrass Corporation should prioritize the production of the product with the highest contribution margin per minute of machine time. By doing so, the company can efficiently allocate the limited resource and increase its overall profitability. Remember to consider demand and other factors as well when making the final decision on production levels.

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what would happen to the value of bonds if the required rate of return remained 10% for the entire ten year term

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If the required rate of return remained 10% for the entire ten year term, the value of bonds would remain stable. This is because the required rate of return is the rate of return that investors demand for holding a bond.

If the required rate of return stays the same, the price of the bond would also stay the same, as the bond's yield (which is the return on investment) remains constant. However, it's important to note that if interest rates rise, the value of bonds will decrease, and if interest rates fall, the value of bonds will increase.

Conversely, when interest rates fall below the bond's coupon rate, the bond's value tends to increase as it becomes more attractive relative to new bonds with lower coupon rates. However, if the required rate of return remains constant at 10%, assuming no changes in market interest rates, the value of the bonds would generally remain stable over the ten-year term.

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what are the main advantages of traditional volume-based allocation methods compared to activity-based costing? group of answer choices traditional volume-based methods are easier to use and less costly to implement and maintain. traditional volume-based methods are less accurate and easier to use. traditional volume-based methods are more accurate and allowed by gaap. traditional volume-based methods are harder to use and more costly to implement and maintain. there are no advantages to using traditional volume-based methods.

Answers

Traditional volume-based allocation methods have been in use for a long time and are still preferred by some organizations due to their simplicity and low cost.

These methods allocate indirect costs based on a single volume driver, such as direct labor hours or machine hours. This means that the indirect costs are allocated to products based on the volume of the driver that they use. This approach is useful when there are few indirect costs and the cost behavior is reasonably predictable.
The advantages of traditional volume-based allocation methods are that they are easier to use and less costly to implement and maintain. These methods require less data collection and analysis, and the calculations are simpler and more straightforward. Also, traditional volume-based methods are allowed by GAAP, which is the Generally Accepted Accounting Principles.
However, activity-based costing (ABC) is a more accurate method of allocating indirect costs. ABC is based on identifying the activities that drive indirect costs and allocating these costs to products based on the specific activities that each product consumes. This results in more accurate product costs, which can be useful for pricing decisions, cost control, and performance measurement.

In conclusion, while traditional volume-based allocation methods have some advantages, such as simplicity and low cost, they are less accurate than activity-based costing. Therefore, organizations should consider using activity-based costing if they want more accurate product costs and better cost control.

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abrupt changes in which water quality indicators are warnings to operators of abnormal process conditions?

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Here is a list of water quality indicators that, when experiencing abrupt changes, serve as warnings to operators of abnormal process conditions:

pH

Turbidity

Dissolved Oxygen (DO)

Temperature

Chlorine Residual

The water quality indicators

Abrupt changes in the following water quality indicators can serve as warnings to operators of abnormal process conditions:

pH: A sudden shift in pH levels can indicate the presence of acidic or alkaline substances, which may suggest a chemical imbalance or a potential problem with the treatment process.

Turbidity: A rapid increase in turbidity, which refers to the cloudiness or haziness of water, can signal the presence of suspended particles, such as sediment or contaminants. It may indicate issues with filtration or sedimentation processes.

Dissolved Oxygen (DO): A sudden drop in dissolved oxygen levels can indicate a decrease in the amount of oxygen available in the water. This may suggest issues with aeration or oxygenation processes, and it can negatively affect aquatic life.

Temperature: Abrupt changes in water temperature can indicate equipment malfunctions, changes in influent sources, or abnormal thermal discharges. Significant temperature variations may impact the efficiency of biological processes or the suitability of the water for specific uses.

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In the statement of cash flows, the section for cash flows from operating activities will include which of the following?
(A) Dividends paid
(B) Issuance of common stock
(C) A decrease in accounts payable
(D) Purchase of a building financed entirely by a mortgage

Answers

In the statement of cash flows, the section for cash flows from operating activities includes the cash inflows and outflows that arise C. A decrease in accounts payable.

What can these include?

These can include cash received from customers, cash paid to suppliers and employees, and any other operating expenses. Dividends paid, issuance of common stock, and the purchase of a building financed entirely by a mortgage are not included in this section.

A decrease in accounts payable, on the other hand, is included as it represents a reduction in the amount owed to suppliers, which is a cash outflow related to operating activities.

It is essential to understand the components of the statement of cash flows as it provides valuable insights into a company's liquidity and financial health.

Therefore, option C is the correct answer.

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alternative energy sources that are often called new renewables include

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Alternative energy sources that are often called new renewables include are energy from the sun, from wind, from Earth's geothermal heat, and from the movement of ocean water.

The term "renewable energy" refers to energy produced from naturally replenished renewable resources over a human lifespan. Inexhaustible assets incorporate daylight, wind, the development of water, and geothermal heat. Albeit most environmentally friendly power sources are manageable, some are not. For instance, at the current rates of exploitation, some biomass sources are thought to be unsustainable.

Renewable energy is frequently utilized for the production of electricity as well as for heating and cooling. Large-scale renewable energy projects are common, but they are also suitable for developing nations and rural and remote areas where energy is frequently essential to human development. Renewable energy is frequently utilized in conjunction with additional electrification, which has a number of advantages:

Electricity is clean at the point of use and can efficiently move heat or objects. Between 2011 and 2021, renewable energy will account for 28% of the world's electricity supply. Nuclear power fell from 12% to 10% and fossil fuels from 68% to 62%. Hydropower's share fell from 16% to 15%, while solar and wind power's share rose from 2% to 10%.

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1) Explain what a limit order is.
2) Explain what "residual claim" means

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1) A limit order is an investor's instruction to buy or sell a financial instrument at a specified price or better.

2) "Residual claim" refers to the ownership stake that remains after all other debts and obligations have been settled.

1) A limit order is a type of order placed by an investor to buy or sell a financial instrument (such as stocks, bonds, or currencies) at a specific price or better. When placing a limit order, the investor sets a specific price level, known as the limit price, at which they are willing to execute the trade.

The limit order remains active in the market until either the specified price is reached or the order is canceled by the investor. If the market price reaches or exceeds the limit price for a buy order, or falls to or below the limit price for a sell order, the trade is executed. However, if the specified price is not reached, the trade does not take place, and the limit order remains open until it is canceled or the market conditions change.

2) "Residual claim" refers to the ownership interest in a company or entity that remains after all the debts and other claims have been paid. In the context of business and finance, it signifies the position of equity shareholders who hold ownership rights in a company. Equity shareholders are considered residual claimants because they have the right to the remaining assets and profits of a company after all other obligations, such as debt repayments and payments to preferred shareholders, have been fulfilled. In the event of liquidation or bankruptcy, residual claimants have the right to receive the remaining proceeds or assets of the company after satisfying all other claims and obligations.

The value of the residual claim depends on the financial performance and success of the company. If the company performs well, equity shareholders may benefit from increased profits and the appreciation of the company's value, while poor performance may result in reduced or no dividends and potentially loss of value in the residual claim.

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At the beginning of 2015, a country is at full-employment. During 2015, oil- producing countries decrease oil production leading to much higher oil prices. The higher oil prices can increase aggregate demand and lead to an expansion. increase aggregate supply and lead to an expansion. decrease aggregate demand and lead to a stagflation. decrease aggregate supply and lead to a stagflation. decrease aggregate demand and lead to a higher price level.

Answers

The higher oil prices can decrease aggregate demand and lead to a stagflation.

When oil-producing countries decrease oil production, it can result in higher oil prices. Higher oil prices can have several effects on the economy. One major effect is that it increases production costs for businesses, particularly those that rely heavily on oil as an input.

This increase in costs can lead to a decrease in aggregate supply as businesses reduce their production levels. At the same time, higher oil prices also increase production costs for consumers, as they face higher prices for fuel and other oil-related products.

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Matching accounting changes to situations.
The four types of accounting changes, including error correction, are:
Code
a. Change in accounting principle.
b. Change in accounting estimate.
c. Change in reporting entity.
d. Error correction.
Instructions
Following are a series of situations. You are to enter a code letter to the left to indicate the type of change.
1. Change from presenting nonconsolidated to consolidated financial statements.
2. Change due to charging a new asset directly to an expense account.
3. Change from expensing to capitalizing certain costs, due to a change in periods benefited.
4. Change from FIFO to LIFO inventory procedures.
5. Change due to failure to recognize an accrued (uncollected) revenue.
6. Change in amortization period for an intangible asset.
7. Changing the companies included in combined financial statements.
8. Change in the loss rate on warranty costs.
9. Change due to failure to recognize and accrue income.
10. Change in residual value of a depreciable plant asset.
11. Change from an unacceptable to an acceptable accounting principle.
12. Change in both estimate and acceptable accounting principles.
13. Change due to failure to recognize a prepaid asset.
14. Change from straight-line to sum-of-the-years'-digits method of depreciation.
15. Change in life of a depreciable plant asset.
16. Change from one acceptable principle to another acceptable principle.
17. Change due to understatement of inventory.
18. Change in expected recovery of an account receivable.

Answers

Matching accounting changes to situations can be a complex process that requires careful consideration of the circumstances involved. When faced with a change in both estimate and acceptable accounting principles, it is important to evaluate the impact on financial statements and ensure compliance with accounting standards. Similarly, when addressing a change due to understatement of inventory or a change in expected recovery of an account receivable, it is crucial to determine the root cause of the change and adjust accounting practices accordingly. These changes may require adjustments to financial statements, such as restatement of prior period financial statements or disclosure of the change in the notes to financial statements. Ultimately, matching accounting changes to situations requires a thorough understanding of accounting principles and the ability to apply them effectively in different scenarios.

When a change in both estimate and acceptable accounting principles occurs, it can have a significant impact on financial statements. Estimation changes can affect the recognition, measurement, and disclosure of financial statement elements, while changes in accounting principles can result in differences in the timing and amounts of revenue and expense recognition.

To address these changes, companies should carefully consider the specific circumstances involved and consult with accounting professionals to ensure compliance with accounting standards. Similarly, when addressing a change due to understatement of inventory or a change in expected recovery of an account receivable, companies must determine the root cause of the change and evaluate the impact on financial statements. This may require restatement of prior period financial statements or disclosure of the change in the notes to financial statements. Ultimately, effective matching of accounting changes to situations requires a comprehensive understanding of accounting principles and their application in various scenarios.

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Sam, Inc. provided the following data at year end:
Common stock ($10 par value)
Shares authorized: 200,000
Net income: $210,100
Shares issued: 143,500
Treasury stock: 2,700
What is the earnings per share of the stock?

Answers

Based on the given data and calculations, the earnings per share (EPS) for Sam, Inc. is approximately $1.49.

Earnings per share (EPS) is a financial metric that indicates the profitability of a company and is calculated by dividing the net income by the number of outstanding shares. In this case, we have the necessary information to calculate the EPS for Sam, Inc.

The net income provided is $210,100. To calculate the number of outstanding shares, we subtract the treasury stock from the issued shares. Therefore, the outstanding shares would be 143,500 - 2,700 = 140,800 shares.

To calculate the EPS, we divide the net income by the outstanding shares: $210,100 / 140,800 = $1.49 (rounded to two decimal places).

In conclusion, the earnings per share for Sam, Inc. is $1.49. This means that for each outstanding share of common stock, the company generated a net income of $1.49. EPS is an important metric for investors as it helps them assess the profitability and value of the company's stock. Higher EPS generally indicates better financial performance, although it's important to consider other factors such as industry norms and the company's growth prospects when evaluating an investment opportunity.

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