The report argues that LSEV manufacturers are engaged in both low-end and new-market disruption because they are able to offer products that are both relatively inexpensive and technologically advanced.
Low-end disruption refers to the manufacturing of products that are significantly less expensive than their competition.
For instance, LSEV manufacturers can offer vehicles at a fraction of the cost of traditional automobiles.
These vehicles are typically smaller and less powerful than conventional vehicles, but still provide basic transportation.
New-market disruption, on the other hand, involves manufacturing products that are technologically more advanced than those of their competitors.
LSEV manufacturers often use innovative technologies such as advanced batteries, motors, and other components to make their vehicles more efficient and user-friendly.
They are also able to incorporate autonomous driving technology, advanced safety features, and other modern technologies that are not yet available in traditional vehicles.
In summary, the report argues that LSEV manufacturers are engaged in both low-end and new-market disruption because they are able to offer products that are both relatively inexpensive and technologically advanced.
Low-end disruption allows them to compete in the traditional automobile market, while new-market disruption allows them to leverage the latest technological advancements to offer consumers a more advanced and user-friendly product.
To know more about LSEV manufacturers here
https://brainly.com/question/28834646
#SPJ11
A laundry can purchase soap containing 30% by weight water at a rate of ₹14 per kg fo.b. factory. The same manufacturer offers a soap containing 5% water by weight. If the freight rate is ₹1.40 per 10 kg, what is the maximum price that the laundry can pay the manufacturer for the soap containing 5% water?
A laundry has the option to purchase soap that contains 30% water by weight at a rate of ₹14 per kg fo.b. (free on board) factory. The same manufacturer also offers a soap containing 5% water by weight.
Let's calculate the maximum price per kg for the soap containing 5% water. We'll denote this price as ₹x.
In 1 kg of soap containing 30% water, the cost of water is 0.3 kg × ₹14 = ₹4.20. The weight of soap in 1 kg of soap containing 30% water is 1 - 0.3 = 0.7 kg.
The cost of 0.95 kg of soap is 0.95 kg × ₹x = ₹0.95x.
Additionally, considering the freight rate of ₹1.40 per 10 kg, the total cost of 1 kg of soap containing 5% water is ₹0.70 + ₹0.95x + ₹1.40 × (10/100) = ₹0.70 + ₹0.95x + ₹0.14 = ₹0.84 + ₹0.95x.
Since the laundry cannot pay more than the price of soap containing 30% water (₹14), we set up the inequality ₹0.84 + ₹0.95x ≤ ₹14.
Solving this inequality, we find x ≤ ₹18.38.
Therefore, the maximum price that the laundry can pay the manufacturer for the soap containing 5% water is ₹18.38 per kg.
To know more about manufacturer visit:
https://brainly.com/question/28824773
#SPJ11
if you deposit $100 into a savings account which compound interest every month at a 5 % yearly interest rate, what is the expression for the amount of
The interest earned after two years $70.28177.
This is the foremost basic variety of account you'll be able to open at any bank. A savings account, by definition, permits you to deposit your cash, safe with the bank, thus you do not have to be compelled to carry it around with you or hide it in this rusty recent steel safe reception. don't fret, you'll be able to withdraw these funds after you want them.
The interest rate is that the quantity a loaner charges a receiver and could be a share of the principal—the quantity loaned. The charge per unit on a loan is usually noted on an annual basis referred to as the annual share rate (APR).
The question is incomplete, find the complete question here
if you deposit $100 into a savings account which compound interest every month at a 5 % yearly interest rate, what is the expression for the amount of the interest earned after two years?
To learn more about interest rate here
brainly.com/question/13324776
#SPJ4
does anyone here know anything about like witchy stuff, like spells and stuff
Answer:
There are many religions that revolve around witchcraft. A modern pagan religion, called 'Wicca', have some spellbooks. Earthbound (a store) sells some spellbooks. I'm sure you can find some online too.
Explanation:
Extra note- you can actually learn a lot about witchcraft on TikTok. It can teach you about spells, charms, etc.
You have a 3 day weekend coming up. You can go to the beach with your family, spend the weekend at your best friend's house, or spend the weekend taking a SAT prep course. You would pick the weekend at your friend's house over the SAT prep course. What is your opportunity cost if you end up going with your family to the beach?
A) SAT prep course
B) weekend at your best friend's
C) time with your family
D) time at the beach
The opportunity cost in the case given above will be a weekend at best friend's house when one decides to go to the beach with his or her family.
What is opportunity cost?When an individual chooses an option, alternatives available in the hands of such individual, which could have been chosen over such option, are the opportunity cost for that individual.
Hence, option B holds true regarding the opportunity cost.
Learn more about opportunity cost here:
https://brainly.com/question/13036997
#SPJ1
toyota vehicles in the united states are manufactured in kentucky using parts obtained from thousands of suppliers from locations around the word. which concept refers to this type of manufacturing?
The term "globalization" refers to the increasing interdependence of the economies, cultures, and inhabitants around the world as a result of cross-border trade.
By "cross-border trading," what do you mean?Business transactions between residents and non-residents are referred to as cross-border commerce in goods and services by the OCDE. In addition to being represented in terms of annual growth for both imports and exports, it is also expressed in terms of USD as a proportion of GDP for net trade (defined as the value of exports minus the value of imports).
Why is crossing borders crucial?Accepting cross-border payments through cross-border e-commerce enables you to grow your business, discover new markets, and engage with a larger audience. When growing abroad, there are a few important things to watch out for.
To know more about cross-border trade visit:
https://brainly.com/question/13930387
#SPJ4
if wrex can produce more math problems per hour and more book reports per hour than maxine can, then wrex cannot gain from trading math problems and book reports with maxine.
A) True
B) False
True. It is correct that if wrex can create more math problems and book reports per hour than maxine can, wrex will not benefit from trading math problems and book reports with maxine.
If Wrex can create more math problems and book reports per hour than Maxine, then there is no benefit to Wrex from trading arithmetic problems and book reports with Maxine. With little to no impact on the solution, economists use assumptions to simplify problems.
The world can be more easily understood when assumptions are used. As a result of being too complex to comprehend, an economic model cannot accurately explain reality.
Learn more about maxine Visit: brainly.com/question/29985544
#SPJ4
How can you make sure there is value in your communication?
Answer:
Something you can do is to ask the person to write notes on the board, or give them a drink of water, hand them a marker, or get them to stand up. Do something that will force them to change their positioning. If you can learn to read body language you can tailor your communication in order to maximize influence.
Explanation:
When the marginal benefits of a decision is equal to the marginal costs, it is called _____________. (SSEF2) * 1 point equilibrium scarcity specialization a rational decision
Answer:
A rational decision
Explanation:
Marginal decision involves using more than or less than what you have by comparing the cost and benefits. Marginal cost is the additional cost as a result of making a different decision while the marginal benefit is the additional benefit as a result of making a different choice. A rational decision is a decision in which the marginal benefits as a result of taking that decision is greater or equal to the marginal cost of that decision.
aetna the application date is the date you received the completed enrollment form from the beneficiary
The application date for Aetna is the date when the completed enrollment form is received from the beneficiary. This means that Aetna considers the date of receiving the form as the application date. Let's break down the process step-by-step:
1. The beneficiary completes the enrollment form, providing all the required information.
2. The completed form is then submitted to Aetna.
3. Aetna receives the form and acknowledges the receipt.
4. The date of this receipt is considered the application date.
It's important to note that the application date is significant because it determines various timelines and deadlines related to the enrollment process.
For example, it may impact the effective date of coverage or the deadline for submitting additional documentation.
In summary, the application date for Aetna is the date when Aetna receives the completed enrollment form from the beneficiary. This date is important for processing and determining timelines related to coverage.
To know more about Aetna visit:-
https://brainly.com/question/30005504
#SPJ11
Khalifa wants to expand his business further. He needs to know if he will make enough profit over the next six months. To do so, Khalid has suggested calculating his breakeven point, and his profit. Khalifa will need 100,000 AED to expand his business.
2a. Evaluate why it is a good idea for Khalifa to calculate his breakeven point.
Answer:
It is a good idea for Khalifa to calculate his breakeven point because the breakeven point will tell him at which point his sales revenue will cover his costs, giving him a profit of exactly zero.
In other words, once the breakeven point is reached, any additional sales will become profit for Khalifa, because the costs of the company will have already been covered.
The breakeven point is one of the most important financial measures, as for this reason, all firms should calculate it, whether small or large.
most financial miss integrate financial and operational information from multiple sources, including the internet, into multiple systems
The statement is True. In today's digital age, most financial systems and processes involve integrating financial and operational information from various sources, including the Internet.
Financial systems refer to the complex structures, processes, and institutions that facilitate the flow of money, assets, and financial transactions within an economy or across global markets. They encompass a wide range of components, including banking systems, stock markets, insurance companies, regulatory frameworks, and payment systems.
Financial systems play a crucial role in the functioning of modern economies by providing a framework for individuals, businesses, and governments to manage their finances, allocate resources, and mitigate risks. They enable individuals to save, invest, and borrow, while businesses can access capital for growth and expansion. Moreover, financial systems promote economic stability by facilitating efficient allocation of capital, risk diversification, and price discovery in financial markets.
To know more about Financial system refer to-
brainly.com/question/32288319
#SPJ4
Complete Question:
most financial misses integrate financial and operational information from multiple sources, including the internet, into multiple systems. T or F.
what is the tax multiplier formula?
The tax multiplier formula is used to calculate the impact of changes in government tax policies on the overall economy. It is calculated as follows:
Tax Multiplier = - MPC / (1 - MPC)
The tax multiplier is a measure of how much an initial change in taxes affects overall economic activity. It is a concept used in macroeconomics to understand the impact of fiscal policy on the economy. The tax multiplier indicates the change in national income or output caused by a change in taxation.
When a government increases taxes, people have less money to spend on goods and services. This reduction in spending causes a decrease in demand, which in turn leads to a decrease in production, employment, and income. The tax multiplier measures the magnitude of this chain reaction. A tax multiplier is a negative number because an increase in taxes decreases economic activity.
To learn more about Tax Multiplier here:
brainly.com/question/16965373
#SPJ4
Joe Chin bought a house for $180,000. He made a 20% down payment. Joe secured a loan for the balance of the purchase price at 6.5% interest for 30 years. What will be the monthly payments on the loan? (do not use commas or dollar signs in your answer)
Answer:
910.18
Explanation:
After Chin's down payment the amount borrowed is ...
(1 - 20%)($180,000) = 0.80·$180,000 = $144,000
The amount of the payment is given by the amortization formula ...
A = P(r/n)/(1 -(1 +r/n)^(-nt))
for P borrowed at rate r for t years, compounded n times per year.
A = 144000(0.065/12)/(1 -(1 +.065/12)^(-12·30)) = 910.18
The monthly loan payments will be 910.18.
which of the following basic components of demand cannot be predicted by a forecasting model?
What is the definition of hangry my friend keeps saying it but i dont understand
Answer:
hangry is when you feel hungry and angry at the same time
Explanation:
basically, your angry because of the fact that your hungry
Corporations prefer bonds over preferred stock for financing their operations because:
a. Preferred Stocks require a dividend,
b. Bond interest rates change with the economy while stock dividends remain constant,
c. The after-tax cost of debt is less than the cost of preferred stock,
d. None of the above.
Corporations prefer bonds over preferred stock for financing their operations because the after-tax cost of debt is less than the cost of preferred stock. The correct option is C.
The after-tax cost of debt is generally lower than the cost of preferred stock for corporations. Interest payments made on bonds are tax-deductible, which reduces the overall cost of debt for the issuing corporation.
On the other hand, preferred stock requires regular dividend payments, which are not tax-deductible, increasing the cost for the corporation. Therefore, from a cost perspective, corporations often find issuing bonds more advantageous than issuing preferred stock. It correctly states that the after-tax cost of debt is generally lower than the cost of preferred stock, providing a valid reason for corporations' preference for bonds over preferred stock.
The correct option is C.
To know more about bonds, click here.
https://brainly.com/question/31358643
#SPJ4
Ella presented her master's thesis to her supervising professor. She had linked many data tables into her PowerPoint
presentation. A year later, she was asked to present her findings at a conference. When she tried to present her slides,
many of her links had broken. Which best explains what happened to her links?
Answer:Stolen
Explanation:somebody prolly stole her work for there own keep your digital stuff save
Answer:
She renamed a folder or file, and the link can no longer be found.
Explanation:
server virtualization offers significant cost savings because _____.
It enables the running of several virtual servers on a single physical server, lowering hardware costs and enhancing server utilization. Virtual servers may also be quickly added, relocated.
or scaled, allowing for greater flexibility and more effective server administration. Furthermore, virtual servers may be separated from one another, decreasing downtime caused by software or hardware issues and increasing security. All of these advantages contribute to the cost reductions realized by server virtualization. The market-clearing price and quantity. At this price and quantity, the quantity delivered equals the quantity sought. virtual servers may be separated from one another, decreasing downtime caused by software or hardware issues and increasing security.
learn more about virtualization here:
https://brainly.com/question/29620580
#SPJ4
Maria Jensen, an insurance agent, earns a 40% commission on her sales. If Maria earned a commission of $1,500 in her first week on the job, what were her total sales for the week?
Maria Jensen is an insurance agent who earns a commission of 40% on her sales. In her first week on the job, Maria earned a commission of $1,500.
We can solve the problem by using the formula below;
C = P x Rwhere;C = Commission earnedP = Total salesR = Commission rate
Maria's commission rate is 40%. That means the commission she earned represents 40% of the total sales.
We can represent the total sales with the letter "S." We can,
herefore, write an equation below to represent the information given in the problem;
1,500 = 0.40S
We can solve for S by dividing both sides of the equation by 0.40;1,500/0.40 = S3750 = S
Total sales for the week were $3,750.
To know more about insurance visit:
https://brainly.com/question/13293881
#SPJ11
Ratna is preparing q presentation titled "similarities between miceo-leval and marco-lecal orientation in sociology". Which explanation should she include
Answer:
Ratna is preparing q presentation titled "similarities between micro-level and marco-local ... - did not match any documents.
Suggestions:
Make sure that all words are spelled correctly.
Try different keywords.
Try more general keywords.
except media what else can provide job information
Answer:
see below
Explanation:
Other sources of job information are
1. Trade or professional associations
They are organizations formed by professionals in the same career path. Members frequently meet to share information regarding developments in their profession.
2. Family and friends working in different organizations
Close friends and relatives are an important source of information for vacancies existing in different workplaces.
3. Educational institutions
In some cases, employers share information on their available job opportunities with schools and colleges.
4. Career or employment agencies
Employment agencies have updated information on various labor requirements for different employers
Wingler Communications Corporation (WCC) produces airpods that sell for $28.80 per set, and this year's sales are expected to be 460,000 units. Variable production costs for the expected sales under present production methods are estimated at $10,100,000, and fixed production (operating) costs at present are $1,560,000. WCC has $4,800,000 of debt outstanding at an interest rate of 8%. There are 240,000 shares of common stock outstanding, and there is no preferred stock. The dividend payout ratio is 70%, and WCC is in the 25% federal-plus-state tax bracket. WCC is a small company with average sales of $25 million or less during the past 3 years, so it is exempt from the interest deduction limitation. The company is considering investing $7,200,000 in new equipment. Sales would not increase, but variable costs per unit would decline by 20%. Also, fixed operating costs would increase from $1,560,000 to $1,800,000. WCC could raise the required capital by borrowing $7,200,000 at 10% or by selling 240,000 additional shares of common stock at $30 per share.
a. What would be WCC's EPS (1) under the old production process, (2) under the new process if it uses debt, and (3) under the new process if it uses common stock? Do not round intermediate calculations. Round your answers to the nearest cent.
1. $
2. $
3. $
b. At what unit sales level would WCC have the same EPS assuming it undertakes the investment and finances it with debt or with stock? (Hint: V = variable cost per unit = $8,080,000/460,000, and EPS = [(PQ - VQ - F - I)(1 - T)]/N. Set EPSStock = EPSDebt and solve for Q.) Do not round intermediate calculations. Round your answer to the nearest whole number.
c.At what unit sales level would EPS = 0 under the three production/financing setups - that is, under the old plan, the new plan with debt financing, and the new plan with stock financing? (Hint: Note that VOld = $10,100,000/460,000, and use the hints for part b, setting the EPS equation equal to zero.) Do not round intermediate calculations. Round your answers to the nearest whole number.
Old plan:
New plan with debt financing:
New plan with stock financing:
d. On the basis of the analysis in parts a through c, and given that operating leverage is lower under the new setup, which plan is the riskiest, which has the highest expected EPS, and which would you recommend? Assume that there is a fairly high probability of sales falling as low as 250,000 units. Determine EPS Debt and EPS Stock at that sales level to help assess the riskiness of the two financing plans. Negative values should be indicated by a minus sign. Do not round intermediate calculations. Round your answers to the nearest cent.
EPSDebt:
EPSStock:
1. EPS under the old production process:
Sales revenue = Price per unit × Number of units sold = $28.80 × 460,000 = $13,248,000
Variable costs = Variable cost per unit × Number of units sold = $10,100,000
Fixed costs = $1,560,000
Interest expense = Debt × Interest rate = $4,800,000 × 8% = $384,000
Tax rate = 25%
Dividend payout ratio = 70%
EPS = [(Sales revenue - Variable costs - Fixed costs - Interest expense) × (1 - Tax rate) × (1 - Dividend payout ratio)] / Number of shares
= [($13,248,000 - $10,100,000 - $1,560,000 - $384,000) × (1 - 0.25) × (1 - 0.70)] / 240,000
= $0.3033
2. EPS under the new process with debt financing:
Variable costs (new) = Variable cost per unit (new) × Number of units sold = ($10,100,000 - 20%) = $8,080,000
Fixed costs (new) = $1,800,000
Interest expense (new) = Debt × Interest rate (new) = $7,200,000 × 10% = $720,000
EPS = [(Sales revenue - Variable costs (new) - Fixed costs (new) - Interest expense (new)) × (1 - Tax rate) × (1 - Dividend payout ratio)] / Number of shares
= [($13,248,000 - $8,080,000 - $1,800,000 - $720,000) × (1 - 0.25) × (1 - 0.70)] / 240,000
= $0.6477
3. EPS under the new process with stock financing:
Variable costs (new) = $8,080,000
Fixed costs (new) = $1,800,000
EPS = [(Sales revenue - Variable costs (new) - Fixed costs (new) - Interest expense) × (1 - Tax rate) × (1 - Dividend payout ratio)] / (Number of shares + 240,000)
= [($13,248,000 - $8,080,000 - $1,800,000 - $384,000) × (1 - 0.25) × (1 - 0.70)] / (240,000 + 240,000)
= $0.4216
b. To find the unit sales level where EPS is the same for debt and stock financing:
EPSDebt = EPSStock
[($13,248,000 - VOldQ - $1,560,000 - (Debt × Interest rate) × (1 - Tax rate) × (1 - Dividend payout ratio)] / 240,000
= [($13,248,000 - VNewQ - $1,800,000 - (Debt × Interest rate) × (1 - Tax rate) × (1 - Dividend payout ratio)] / (240,000 + 240,000)
Simplifying the equation, we can solve for Q:
($13,248,000 - VOldQ - $1,560,000 - Debt × 0.08 × 0.75 × 0.3) / 240,000
= ($13,248,000 - VNewQ - $1,800,000 - Debt × 0.10 × 0.75 × 0
.3) / (240,000 + 240,000)
Solving this equation will give us the unit sales level where EPS is the same for both financing options.
c. To find the unit sales level where EPS = 0:
For the old plan:
EPS = [($13,248,000 - VOldQ - $1,560,000 - Interest expense) × (1 - Tax rate) × (1 - Dividend payout ratio)] / 240,000
Setting EPS = 0 and solving for Q will give us the unit sales level.
For the new plan with debt financing:
EPS = [($13,248,000 - VNewQ - $1,800,000 - Debt × 0.10 × 0.75 × 0.3) × (1 - Tax rate) × (1 - Dividend payout ratio)] / 240,000
Setting EPS = 0 and solving for Q will give us the unit sales level.
For the new plan with stock financing:
EPS = [($13,248,000 - VNewQ - $1,800,000 - Interest expense) × (1 - Tax rate) × (1 - Dividend payout ratio)] / (240,000 + 240,000)
Setting EPS = 0 and solving for Q will give us the unit sales level.
d. To assess the riskiness of the financing plans, we can compare EPSDebt and EPSStock at a sales level of 250,000 units. Negative EPS values indicate riskier scenarios.
Learn more about EPStock here :
https://brainly.com/question/22852403
#SPJ11
Aryn is a music fan, and she enjoys learning about how speakers and sound systems are wired. She is reading books
about electrical circuits, and she has decided she would like to work as an electrician on construction projects to help
build new homes. However, she does not want to go to school for very long after finishing high school.
What type of training would best prepare Aryn for working in construction without needing many years in school?
an apprenticeship done on the job
a bachelor's degree in engineering
O a physics class during her last year of high school
O an after-school program about power tools
Answer:
an apprenticeship done on the job
Explanation:
An apprenticeship is a method for tutoring new practitioners of a profession. It entails on-the-job training coupled with some study (classroom work and reading). Apprenticeship is provided by a skilled, experienced, and licensed professional. The apprentice gets to learn practical aspects of a profession while earning.
Aryn would be best with an apprenticeship as she will not spend a lot of time in class. She will, however, acquire the skills she needs. Some apprenticeship may lead to certification.
Answer:
A- an apprenticeship done on the job
Explanation:
this was correct for me
Dana buys dress shirts from a clothing manufacturer for Z dollars each, and then sells the dress shirts in her retail clothing store at a 35% markup. The expression 1z 0. 35z or 1. 35z represents the retail price of each dress shirt. How much did she sell one shirt for if she bought it at $32 each.
Answer: the raphster says..
Explanation:
a. Because percents are the ratios of a given number to 100, you would divide 35 by 100, getting you a decimal of 0.35.
b. Now to get the total price. Because you are making it an ADDitional 35%, you would first say you have 100% of the original price, plus the extra 35%, getting a total of 135% the original. When divide by 100 the decimal form would be 1.35, which can then be plugged into an equation.
1.35s = retail price
c. Now that you have the equation, you just plug the given s value in.
1.35(32.00) = $43.20
d. You can now take the final price, and subtract the initial from it to find the change.
$43.20 - $32.00 = $11.20 added to the price
credit to the raphster
You are a representative from one of the software companies you
recommended in the recommendation proposal assignment. You got a
lead that Access Mortgage Company responded for more information
about
As a representative of the software company, it is important to provide additional information about the product and services that we offer.
Access Mortgage Company's interest in our product indicates their need for a reliable software solution to manage their business.
Our software provides a comprehensive platform for mortgage companies to streamline their operations, manage customer information, and improve communication between departments.
Our user-friendly interface and customizable features make it easy for companies to tailor the software to their specific needs. Our team also provides training and support to ensure a smooth transition to our software.
We look forward to working with Access Mortgage Company to provide them with a solution that meets their needs and helps their business succeed.
To know more about software company click on below link:
https://brainly.com/question/24445434#
#SPJ11
Which describes a crash?
Responses
stock prices being higher than their real value
general downward trend in stock price
major decrease in stock prices
general upward trend in stock prices
A crash is defined as a big drop in stock prices that occurs over a brief period of time and is characterised by a rapid and significant decline in the value of stocks or other financial assets.
What does a falling stock price trend mean?A stock's progression towards a lower price from its prior state is referred to as a downtrend. It will continue to exist as long as the stock chart continues to show lower highs and lower lows. If a trader decides to unload a falling stock, they can end up making money.
What exactly is a downhill or downtrend?A downtrend is a steady decline in a stock's price, commodity's value, or the activity of the financial market.
To know more about stocks visit:-
brainly.com/question/29750557
#SPJ1
If you borrow $421 for 9 years at an interest rate of 4%, how much interest will you pay?
I will assume it as simple interest as nothing is mentioned
SI = (P × R × T)/100
SI = (421×4×9)/100
SI = 15156/100
SI = 151.56
You will pay $151.56
Answered by Gauthmath must click thanks and mark brainliest
Rachel lives and works on her father's dairy farm as a large animal veterinarian. The farm does not
employ any outside workers. One of the cows is having a difficult time delivering her calf. As Rachel approaches to help, the cow kicks wildly breaking Rachel's arm. Is Rachel covered under the OSH Act?
Yes, because Rachel's injury is job-related.
Yes, because Rachel works for her father and is not self-employed.
No, because Rachel is an immediate family member employed on her father's farm.
No, because Rachel's family farm does not employ outside workers.
Answer:
No, because Rachel's family farm does not employ outside workers
Explanation:
No, because Rachel's family farm does not employ outside workers. Under the OSH Act since Rachel's family does not employ outside workers they are not seen as an official business and therefore are not protected under the act. The workers on the farm are not seen as employees but instead family members helping one another and acting as co-owners of the farm. Therefore, the act does would not provide any coverage to Rachel in this scenario.
1) State with reasons, the method you would adopt to price materials into production.
i.)in a period of rapidly increasing prices of the material,
ii). in a period of rapidly reducing prices of the material.
The method you would adopt to price materials into production:
i) In a period of rapidly increasing prices of the material is price penetration
ii). in a period of rapidly reducing prices of the material is price skimming
What is pricing methods?Pricing Methods are the ways in which the price of goods and services are determined. It is computed from all factors such as the resources and materials used for production.
In a period of rapidly increasing prices of the material you maintain a low price because of competitive market and then raise the price later. It called penetration price
In a period of rapidly reducing prices of the material use price skimming where you maintain your high price of selling and lower it as the market evolves.
Therefore, different pricing strategy works for different period and market season.
Learn more on pricing strategy below
https://brainly.com/question/20927491
#SPJ1
How can a person become a dentist
Explanation:
It generally takes eight years to become a dentist: four years to earn a bachelor's degree as an undergraduate and four years to earn a DDS or DMD in dental school. If you're interested in specializing, you'll also need to complete a dental residency (more on that below).
brainliest please