Answer:
please stop talking bout this stuff but biden is going to raise taxes and take away LGBTQ rights soo yeah that's not the best thing
Answer:
Trump will be a great president
Explanation:
VOTE FOR TRUMP
1. (25 pts) Shannon Company has agreed to buy on September 1, 2018 Inventory for delivery on March 1, 2019 from a German supplier. The cost of the equipment is 500,000 and the bill will be settled in Euros. The purchase qualifies as a firm purchase commitment, as a contract was signed on September 1, 2018. Shannon enters into a forward contract to buy the needed Euros on March 1 at the 180 day forward rate.
Exchange rates for 1.0 Euro are as follows 9/1 12/31 03/01
Spot $1.34 $1.39 $1.41
180 day forward $1.38 $1.44 $1.45
60 day forward $1.37 $1.40 $1.44
1) Record the entries need on September 1. Dr. Cr.
2) Record the entries needed at year end, December 31. Dr. Cr.
3) Record the entries need on March 1, including the purchase of the inventory. Dr. Cr.
A forward contract is a type of derivative instrument or agreement, typically between two counterparties, to buy or sell an asset (i.e. currency) at a certain time in the future for a certain predetermined price.
Shannon Company enters into the forward contract on September 1, 2018 at the 180 day forward rate.
1) On September 1, the contract was signed, so the company must record the liability of 500,000 Euros.
Dr. Cash 500,000
Cr. Firm Purchase Commitment 500,000
2) At the end of December, the company must record the adjustment to the liability to reflect the current exchange rate.
Dr. Firm Purchase Commitment 32,000
Cr. Gain on Firm Purchase Commitment 32,000
3) On March 1, the company must record the purchase of the inventory and the settlement of the liability with the forward contract.
Dr. Inventory 500,000
Dr. Cash 679,000
Cr. Firm Purchase Commitment 500,000
Cr. Forward Contract Payable 179,000
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1. The formula for continuously compounded interest is A = Pe^rt, where A is the amount of money in the account, P is the initial investment, r is the interest rate, and t is the time in years. Using the formula, determine, to the nearest dollar, the amount in the account after 8 years if $750 is invested at an annual rate of 3%
Answer:
the amount in the account after 8 years is $954
Explanation:
The computation of the amount in the account after 8 years is shown below"
Given that
The formula for continuously compound interest is
Amount = Principal e^(rate) (time period)
= $750 × e^(0.03)(8)
= $954
Hence, the amount in the account after 8 years is $954
The same is to be considered by applying the above formula
what is an example of a project's soft costs? group of answer choices a. consulting fees for a civil engineer c. salaries of construction workers d. purchase of structural steel e. dumpster rental
Consulting fees for a civil engineer are an example of a project's soft costs.
Soft costs are the expenses incurred during the planning and design phase of a project, which do not include direct construction costs. These can include fees for architects, engineers, and consultants, as well as permit and zoning costs, legal fees, and other administrative expenses. Soft costs are necessary for a project's success and often account for a significant portion of the overall budget. Other examples of soft costs may include environmental studies, surveying, testing, and feasibility studies. Understanding and managing soft costs is important to ensure a project stays within budget and is completed successfully.
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a small website development firm needs to maintain extremely lean and flexible operations. it does not have the staff or administrative structure to support a human resources function. it needs a solution in which another third party company can handle all hr activities for employees. which strategy should the firm use in this situation?
In this situation, the small website development firm should consider outsourcing its human resources (HR) function to a third-party company. Outsourcing HR activities can provide the firm with the necessary support and expertise without the need for an internal HR staff or administrative structure.
Outsourcing HR activities to a third-party company is the recommended strategy for the small website development firm. By partnering with an external HR service provider, the firm can delegate all HR activities, including recruitment, employee onboarding, payroll processing, benefits administration, and compliance management. The third-party company specializing in HR services will have the necessary expertise and resources to handle these functions effectively and efficiently.
Outsourcing HR has several benefits for the small firm. It reduces the need for dedicated HR staff and administrative infrastructure, resulting in cost savings. It also allows the firm to tap into the expertise of HR professionals who are well-versed in employment regulations, best practices, and industry standards. The firm can focus on its core business activities while relying on the third-party provider to handle HR tasks, ensuring compliance, and maintaining employee satisfaction. This strategy enables the firm to maintain lean operations, adapt quickly to changing needs, and allocate resources effectively.
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When estimating depreciation of an improvement, which age will the appraiser use? (a) Actual age O (b) Effective age O (C) Chronological age O (d) Economic age
When estimating depreciation of an improvement, Actual age will the appraiser use.
What is depreciation?
The financial value of an asset decreases over time due to use, wear and tear or fustiness. This drop is measured as deprecation. Description deprecation, i.e. a drop in an asset's value, may be caused by a number of other factors as well similar as inimical request conditions, etc. deprecation is appertained to as the reduction in the cost of a fixed asset in successional order, due to wear and tear until the asset becomes obsolete. Machinery, vehicle, outfit, and structure are some exemplifications of means that are likely to witness wear and tear and gash or fustiness. deprecation is from the Latin word depretiare, which means to lower in price, with the roots de, meaning" down," and pretium, meaning" price." If commodity goes down in value, also the quantum of the drop is called deprecation.
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high transition costs can help a firm retain its customers.
Main answer: True. High transition costs can help a firm retain its customers. Transition costs refer to the expenses and efforts required for customers to switch from one company or product to another.
When these costs are high, it becomes more difficult and less appealing for customers to switch to a competitor.
There are various types of transition costs that can contribute to customer retention. These costs can include financial expenses, such as termination fees, cancellation charges, or the need to purchase new equipment or software. They can also involve time and effort invested in learning new systems, adjusting to new interfaces, or reconfiguring existing setups. Additionally, there may be social or psychological costs, such as the loss of familiarity, trust, or relationships associated with the current provider.
By creating high transition costs, a firm makes it less attractive for customers to switch to competitors, as they would incur significant expenses, efforts, or other inconveniences. This can help to foster customer loyalty and reduce customer churn, ultimately enhancing the
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Using a loan could help with the purchase of which of the following?a) A new televisionb) A dream weddingc) A housed) Airline tickets to your dream vacation
Using a personal loan could help with the purchase of A house .Option C is correct .
What does the term "personal loan" mean?
When someone borrows money for a personal need, such as investing in a business, it is referred to as a personal loan (also known as a consumer loan).
What is an example of a personal loan?
A personal loan is a sum of money that you can borrow and use for a number of things. For instance, you may utilize a personal loan to pay off debt, finance home improvements, or finance your ideal wedding. Online lenders, credit unions, and banks can all provide personal loans.Learn more about personal loan
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I. You are valuing an investment that will pay you $26,000 per year for the first 9 years, $34,000 per year for the next 11 years, and $47,000 per year the following 14 years (all payments are at the end of each year). Another similar risk investment alternative is an account with a quoted annual interest rate of 9. 00% with monthly compounding of interest. What is the value in today's dollars of the set of cash flows you have been offered
To calculate the present value of the investment, we need to discount each cash flow to its present value and then add them up. the value in today's dollars of the set of cash flows you have been offered is $1,047,917.98.
First, let's calculate the present value of the first 9 years of cash flows of $26,000 per year. We can use the formula for the present value of an annuity:
PV = C x \(((1 - (1 + r)^{-n} ) / r)\)
where PV is the present value, C is the cash flow per period, r is the interest rate per period, and n is the number of periods.
In this case, C = $26,000, r = 0.09/12 = 0.0075 (monthly rate), and n = 9 x 12 = 108 (number of months). Plugging these values into the formula, we get:
PV1 = $26,000 x ((1 - \((1 + 0.0075)^{-108} )\) / 0.0075) = $217,904.05
Next, let's calculate the present value of the next 11 years of cash flows of $34,000 per year. We can use the same formula, but with n = 11 x 12 = 132 (number of months) and C = $34,000. Plugging in the values, we get:
PV2 = $34,000 x ((1 - \((1 + 0.0075)^{-132} )\) / 0.0075) = $332,401.78
Finally, let's calculate the present value of the last 14 years of cash flows of $47,000 per year. Again, we can use the same formula, but with n = 14 x 12 = 168 (number of months) and C = $47,000. Plugging in the values, we get:
PV3 = $47,000 x ((1 - \((1 + 0.0075)^{-168} )\) / 0.0075) = $496,611.15
The total present value of the cash flows is the sum of the present values of each cash flow:
PV = PV1 + PV2 + PV3 = $1,047,917.98
Therefore, the value in today's dollars of the set of cash flows you have been offered is $1,047,917.98.
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1.
In 2016, a market had sales of £350.000. In 2017, the market grew by 5%.
Calculate the new market size in sales value.
Answer:
The new market size in sales value is 367,500
Explanation:
Answer:
£367,500
Explanation:
the market was £350,000 in 2016.
in 2017, the market grew by 5%.
the new market size will 5% more than 2016.
if 2016 was 100%, 2017 will be 105%
2017 = 105% x £350,000
=105/100 x £350,000
=1.05 x £350,000
=£367,500
the best performance objectives for a training session specify how well a trainee needs to be able to perform a task, such as speed or accuracy. True or false?
Training is the teaching or development of skills, knowledge, or abilities related to specific useful skills in oneself or others. It is true.
Training is the process of adding an hand's knowledge and chops to perform a specific task. It aims to ameliorate the performance and work behavior of trained people.
Hand training is defined as a planned series of conditioning aimed at conducting knowledge to workers in such a way that an increase in professional chops necessary for the development of the association is linked. These can be specialized, professional or business chops.
Benefits of training:
Enhanced Abilities.Increased productivity and efficiency.Less staff turnover.Greater job satisfaction.Improving the quality of management.happier employees.Create a positive company culture.Better knowledge of the product.To know more about Training,
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Membership in the Future Business Leaders of America (FBLA) has nearly limitless benefits, including scholarships.
True
False
Answer:
True.
Explanation:
I think this will be the answer.
Your big brother has decided that he wants to get into the
workforce relatively soon and doesn't want to pursue a 4-year
degree. He is considering a career as a paralegal. While
browsing job postings for paralegals in the area he notices that
most firms are requiring candidates to have an associate's
degree or a certification. Based on the information in the table
below, which option is best for your brother and why?
The answer is based on the table Work study which includes 6 weeks of certification program and 2 years in community college is best for the brother.
The reason is because he doesn't want to pursue a 4-year degree and most firms require candidates to have an associate's degree or a certification.
Therefore, work study is best option as it fulfills his requirement for certification and college within a limited time period.
What is certification in plain English?Certifications are special qualifications there by an individual to show their validity and capacity to carry out a task. Your certification is shown as a document that certifies that, as a professional, you have received the necessary training, education, and preparation to fulfill the requirements of your position.
What are the three different certifications?A certification might be of one of three broad forms. Corporate (internal), product-specific, and profession-wide are listed in order of development level and portability.
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It is said that there are a number of steps in designing an effective service system which include a) Establishing procedures to be followed in case of service failure b) Identifying failure-prone areas can be enabled by a service blueprint technique c) Obtaining feedback from the customers and continuous review of service delivery d) Defining and incorporating service standards and explicitly communicating them to the customers e) Empowerment enabled through training and other HR practices List them in the right order.
Answer is in a file below
cutt.us/tWGpn
How did the relationship between Parliament and the Restoration monarchs, Charles II and James II, change following the English Civil War? The monarchs respected Parliament’s limits on their power. The monarchs succeeded in increasing their power at the expense of Parliament. The monarchs continued to challenge Parliament's authority. The monarchs generally deferred to Parliament when there was a disagreement.
Answer:
The monarchs continued to challenge Parliament's authority.
Explanation:
Following the English Civil War, tensions between the monarchs and Parliament began to grow. Queen Elizabeth did not leave any heir, therefore, James I began the Stuart Dynasty. James I believed in Divine Rule, which was in oppose of Queen Elizabeth's rule who worked with Parliament.
After the English Civil War, the monarchs continues to challenge Parliament's authority. During Restoration monarchs, Charles II and James II, Parliament and monarchs were in conflict with each other.
Therefore, option C is correct.
Answer:
The monarchs continued to challenge Parliament's authority.
Explanation:
An important cause of recessions is an unexpected negative supply shift, such as higher oil prices.
a. true
b. false
The statement "An important cause of recessions is an unexpected negative supply shift, such as higher oil prices" is true.
During an economic recession, there is a significant decline in economic activity, leading to a decrease in the production and consumption of goods and services.
One of the causes of recessions is an unexpected negative supply shift, which refers to a sudden decrease in the availability or increase in the cost of resources needed for production.
Higher oil prices can be a specific example of a negative supply shift.
When oil prices rise, it affects various sectors of the economy.
Transportation costs increase, making it more expensive to deliver goods and services.
This can lead to higher prices for consumers, resulting in a decrease in their purchasing power.
Industries that heavily rely on oil, such as manufacturing, may face higher production costs, leading to reduced output and potential job losses.
This negative supply shock can disrupt the overall economic equilibrium, leading to a contraction in economic activity and potentially causing a recession.
In summary, an unexpected negative supply shift, such as higher oil prices, can be a significant cause of recessions.
It impacts various sectors of the economy, affecting production costs, consumer prices, and overall economic activity.
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My last points to help you.
Answer:
Thank you, I can help you too dear :)
Explanation:
Answer:)
Explanation:
You will be following some of the steps that a decision-maker should go through when they must decide. Utilize the 7 steps of the decision-making process in your lecture slides answer the following questions. 1. (3 marks) Generate multiple alternatives. What possible alternatives for locations does Amber have? Are there more alternatives besides what was listed? Please list at least 3 alternatives. 2. Analyzing Alternatives. a. (8 marks) Generate criteria. What should matter to Amber? Please to assign a weight to each of the criteria. For example, if you believe the cost matters a lot, but the distance from home only matters somewhat, you may want to assign a weight out of 10 on each one. Create a scoring model using your learnings from today's slides. This can be in a simple chart format, use at least 3 selection criteria. Selection Criteria Weight of criteria Option 1 Option 2 Option 3 Weighted Scores b. (2 marks) Discuss the pros and cons of each of the alternatives you have generated against the criteria you have created. 3. (4 marks) Select an Alternative. What recommendation do you have for Amber? You may do this by assigning a score for each of the alternatives under each of the criteria, and multiplying it by the weight, then adding up the totals for each alternative. (Usually, the second highest score is the best alternative) 4. (3 marks) Justify and explain your answer.
Based on the analysis of alternatives and criteria, it is recommended that Amber chooses the shared office space option for her business location. This option provides the best balance of cost-effectiveness, networking opportunities, and professional environment.
1. (3 marks) Generate multiple alternatives:
Amber has several possible alternatives for locations. In addition to the ones already listed, she can consider the following three alternatives:
1) Renting a shared office space: This option would provide a professional environment and the opportunity to network with other professionals in a cost-effective manner.
2) Working from a co-working space: Co-working spaces offer flexibility in terms of office space and provide opportunities to collaborate with other professionals.
3) Setting up a home office: This option would eliminate the need for commuting and reduce expenses associated with renting office space.
2. Analyzing Alternatives:
a. (8 marks) Generate criteria and assign weights:
Amber should consider the following criteria:
1) Cost (weight: 8/10)
2) Location convenience (weight: 7/10)
3) Access to amenities (weight: 6/10)
b. (2 marks) Pros and cons:
Option 1: Shared office space
Pros: Cost-effective, networking opportunities
Cons: Lack of privacy, limited control over the workspace
Option 2: Co-working space
Pros: Flexibility, potential for collaboration
Cons: Monthly membership fees, noise and distractions
Option 3: Home office
Pros: Convenience, cost-saving
Cons: Potential for distractions, limited separation between work and personal life
3. (4 marks) Select an Alternative:
Based on the criteria and weights assigned, Amber's best option would be the shared office space. By multiplying the weighted scores for each alternative and summing them up, the shared office space would likely have the highest score.
4. (3 marks) Justification:
The shared office space offers a balance between cost-effectiveness and networking opportunities. It aligns with Amber's priorities of minimizing expenses while still having access to a professional environment. Additionally, the lack of control over the workspace and potential distractions are relatively minor drawbacks compared to the benefits offered by the shared office space.
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Each of the following is a reward of entrepreneurship EXCEPT:
A shorter work day
B. bringing ideas to life
C higher earnings potential
D. feeling of accomplishment
Answer:
higher earning potential.
.
.
please like
an investor discovers that predictions about weather patterns published years in advance and found in the farmer's almanac are amazingly accurate. in fact, these predictions enable the investor to predict the health of the farm economy and therefore certain security prices. this finding is a violation of the: group of answer choices strong form of the efficient market hypothesis. weak form of the efficient market hypothesis. semistrong form of the efficient market hypothesis. efficient market hypothesis at all levels. moderate form of the efficient market hypothesis.
The strong form of the efficient market hypothesis (EMH) is widely considered to be too strong of an assumption, as it is unlikely that all information, including private information, is fully reflected in market prices.
This finding is a violation of the strong form of the efficient market hypothesis.
The efficient market hypothesis (EMH) states that financial markets are "informationally efficient," meaning that current market prices reflect all available information. The EMH has three forms: weak, semi-strong, and strong.
The weak form of the EMH assumes that market prices reflect all past publicly available information, while the semi-strong form assumes that market prices reflect all publicly available information, including news and other announcements. The strong form of the EMH assumes that market prices reflect all information, both public and private, and that no investor can consistently achieve returns higher than the market as a whole.
In this scenario, the investor is able to use information from the farmer's almanac to predict the health of the farm economy and certain security prices. This information was not publicly available at the time, and therefore violates the strong form of the EMH.
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Why is network business is risky?
Answer:
because small business have compitator
Tianna invested $500 in a CD account. She earned $8 in interest. Inflation was $2. What is Tianna's rate of return? (3 points)
Answer:
1.6%
Explanation:
A rate of return is the total gain or loss on investment. It is usually expressed in percentage form
Rate of return on the CD is the total return derived from investing in the Certificate of deposit
Rate of return = (interest earned / total amount invested ) x 100
(8/500) x 100 = 1.6%
If we are asked to calculate the real rate of return, the inflation rate would be subtracted from the interest earned
Real rate of return = \(\frac{8-2}{500}\) × 100 = 1.2%
If you knew nothing about your data except that it is a scale variable, which measure of central tendency would be the "safest bet"?
Answer:
Median
Explanation:
The scale variable refers to a variable in which it could be measured and contains a numerical value
In case when you dont know about the data except for scale variable so the safest bet for measuring the central tendancy should be median as it derives the mid-value of the given set of numbers
So here the median should be considered
Assume the following information is known for Simple Watches Company: The average sales price per unit is $37. Total costs at the lowest observed activity of 150 units are $3,822 and at the highest observed activity of 310 units are $5,902. The relevant range is from 0 units to 350 units. The company uses the high-low method to separate total costs into variable and fixed costs. a. What are variable and fixed costs? b. What is the contribution margin? c. What is the operating income if 80 units are sold?
The operating income for selling 80 units is $48. Operating income is calculated by subtracting fixed costs from the contribution margin.
To determine the variable and fixed costs using the high-low method, we need to calculate the variable cost per unit and the fixed cost component.
a. Variable and fixed costs:
Step 1: Determine the variable cost per unit.
Change in Total Costs = Total Costs at Highest Activity - Total Costs at Lowest Activity
Change in Total Costs = $5,902 - $3,822 = $2,080
Change in Activity = Highest Activity - Lowest Activity
Change in Activity = 310 - 150 = 160 units
Variable Cost per Unit = Change in Total Costs / Change in Activity
Variable Cost per Unit = $2,080 / 160 units = $13 per unit
Step 2: Calculate the fixed costs.
Total Fixed Costs = Total Costs at Lowest Activity - (Variable Cost per Unit * Lowest Activity)
Total Fixed Costs = $3,822 - ($13 * 150) = $3,822 - $1,950 = $1,872
Therefore, the variable cost per unit is $13, and the fixed costs are $1,872.
b. Contribution margin:
Contribution Margin = Sales Price per Unit - Variable Cost per Unit
Contribution Margin = $37 - $13 = $24 per unit
c. Operating income for 80 units sold:
Operating Income = (Sales Volume * Contribution Margin) - Fixed Costs
Operating Income = (80 units * $24 per unit) - $1,872
Operating Income = $1,920 - $1,872
Operating Income = $48
Therefore, if 80 units are sold, the operating income would be $48.
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sport directs and British Heart Foundation: mission, vision, and values.
Our British goal is to create a world without the worry of cardiovascular and Foundation circulation conditions. These illnesses destroy the hearts mission of millions of families and claim the lives of 1 in 4 people.
We intend to alter that. In order to permanently defeat sadness, we raise money for research into treatments and Foundation cures. According to the BBC's Royal Charter, its purpose is to act in the public interest mission while providing all audiences with objective, outstanding, and distinctive products and services that inform, educate, and amuse them. The British Heart Foundation Society seeks to promote the charity and raise funds for it.
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how do you manage scarce resources?
By setting the rations ahead of time and sticking to the intended plan as best as possible. Understand your limits to know how to measure the resources.
Payments on a four-year lease valued at $24,400 are to be made at the beginning of every three months. If interest is 3.5% compounded quarterly, what is the size of the quarterlypayments?
To calculate the size of the quarterly payments on a four-year lease with an interest rate of 3.5% compounded quarterly, we can use the formula for the present value of an annuity.
The formula for the present value of an annuity is:
PV = PMT * [(1 - (1 + r)^(-n)) / r]
Where:
PV = Present Value (value of the lease, $24,400 in this case)
PMT = Payment amount (what we need to calculate)
r = Interest rate per period (3.5% per quarter, or 0.035)
n = Number of periods (number of quarterly payments over four years, 4 years * 4 quarters per year = 16 quarters)
Plugging in the values into the formula, we can solve for PMT:
24,400 = PMT * [(1 - (1 + 0.035)^(-16)) / 0.035]
Now, let's calculate the value of the quarterly payments (PMT):
PMT = 24,400 / [(1 - (1 + 0.035)^(-16)) / 0.035]
Calculating this equation gives us:
PMT ≈ $1,077.96
Therefore, the size of the quarterly payments on this lease is approximately $1,077.96.
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ECONOMICS CHAPTER 2 SECTION 3
explain the relationship between the terms in each of these pairs
A. Private property rights and market
B. laissez-faire and capitalism
C. Specialization and profit
D. Factor market and product market
ECONOMICS CHAPTER 2 SECTION 3
Private property rights and market is in which people buy and sell resources or goods and services.
Private property rights are the rights of individuals and groups to own property and the market is any place or situation in which people buy and sell resources and goods and services.
Laissez-faire and capitalism-The relation-ship between laissez-faire and capitalism is laissez-faire is an economic philosophy of free-market capitalism that opposes government intervention.
Specialization and profit- The relation-ship between specialization and profit is the companies specialize in making one product or one component of a product, if this product will make at large scale, companies reduces it's cost to earn profit.
Factor market and product market- The relation-ship between Factor market and product market is the factor market is running by the demand of product market. The product market is sold their goods and services with the demand of factor market to production these goods and services.
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for inferior​ goods, the substitution and income effects of an​ own-price increase will:______.
Goods that see a decline in demand as consumer income rises are considered inferior. The substitution effect and the income effect both occur when the price of a subpar item rises.
The substitution effect occurs when consumers switch to cheaper substitutes due to the price increase. This effect results in a decrease in the quantity demanded of the inferior good. On the other hand, the income effect occurs when the price increase reduces the purchasing power of consumers' income.
This effect leads to a decrease in the quantity demanded of all goods, including the inferior good. Therefore, for an inferior good, the income effect and substitution effect work in opposite directions. The net effect on the quantity demanded of the inferior good depends on the relative strengths of these two effects.
If the substitution effect is stronger than the income effect, the quantity demanded of the inferior good will decrease. Conversely, if the income effect is stronger, the quantity demanded of the inferior good will increase.
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how do i get an egg out of my fridge????? HELP NEED TO KNOW ASAP
Answer:
open fridge!!!
Explanation:
STEP 1: open fridge
STEP 2: find the egg then grab with hand!!!!!!!!
(Its really hard!!)
Which function identifies prospects in the marketplace, works with research and development to create products, develops promotion strategies, and establishes prices?
The function that identifies prospects in the marketplace, works with research and development to create products, develops promotion strategies and establishes prices is known as Marketing.
What is Marketing?It refers to the process of creating, distributing, pricing and promoting goods, services in order to facilitate satisfying exchange relationships with customers and develop and maintain favorable relationships with stakeholders in a dynamic environment.
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