Q2-A : Define Law of Demand and Law of Supply theory and draw the concepted curves of each theory.

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Answer 1

The law of demand and law of supply theories help to explain the market's behavior.

The law of demand and law of supply are the two most fundamental laws of economics that establish the relationship between price and quantity demanded or supplied. Here's the definition of the Law of Demand and Law of Supply theory: The Law of Demand: According to the Law of Demand, all things being equal, the quantity demanded of a commodity or service falls when the price of that commodity or service increases. It is a fundamental economic law that explains the inverse relationship between price and quantity.

 The Law of Demand is based on the assumption that all other factors that affect consumer demand, such as disposable income, preferences, population, and advertising, remain constant. Demand is represented by a downward-sloping curve that represents the inverse relationship between price and quantity demanded. The Law of Supply: The Law of Supply, like the Law of Demand, is based on the assumption that all other factors affecting the behavior of suppliers remain constant. The quantity of a commodity or service supplied increases as the price rises, according to the Law of Supply. This law is based on the notion that a high price will attract more producers to the market, resulting in more supply. As a result, the supply curve is upward-sloping, indicating that as the price increases, the quantity supplied also increases.

The supply curve is usually represented as an upward-sloping straight line. Demand curve: It is a graph that represents the relationship between the price of a commodity and the quantity demanded by buyers. The quantity of a good demanded by the buyer is represented on the x-axis, while the price of the good is represented on the y-axis. The law of demand states that as the price of a commodity increases, the quantity demanded by the consumer decreases. The demand curve is a downward-sloping line because of this.

Supply curve: A graph of the relationship between the price of a commodity and the quantity supplied by sellers is known as a supply curve. The quantity of goods sold by the seller is plotted on the x-axis, while the price of the goods is plotted on the y-axis. The law of supply states that as the price of a commodity increases, the quantity supplied by the seller also increases. The supply curve is a straight line that slopes upward as a result of this relationship.

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acob's Event Planning Service has just prepared the unadjusted trial balance, which shows the following balances Salary expense debit $8.000 Service revenue: credit $3,000 Interest expense: 50 Late in this month, Jacob signed a contract with a new client, providing event planning services for an upcoming event. The work will be started and completed in the following month at which time the company will collect the full amount of $900 from this client. The company makes accrual adjustments monthly The adjusted balance of service revenue, as shown on the adjusted trial balance for this month, should be a OA. debit balance of $900 OB. credit balance of $900 OC. credit balance of $2,100 OD. credit balance of $3,000 Combining the amounts from the unadjusted trial balance with the adjustments gives rise to the OA. adjusted trial balance OB. balance sheet OC. Income statement OD. unadjusted trial balance

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The adjusted balance of service revenue, as shown on the adjusted trial balance for this month, should be a credit balance of $2,100. We can solve this problem by calculating the unadjusted and adjusting entries and then preparing the adjusted trial balance.

Step 1: Calculate unadjusted entries. The following unadjusted trial balance has been given:

Salary expense debit $8,000Service revenue: credit $3,000 Interest expense: 50We can see from the unadjusted trial balance that service revenue account has a credit balance of $3,000 and there is no entry for the event planning services provided to the new client. Hence, an adjusting entry is required.

Step 2: Calculate the adjusting entries. Adjusting entries are made to ensure that the correct revenue and expense accounts are reported on the income statement for a given period. The adjusting entry for the new contract is given below:

Adjusting entry: Service revenue account debit: $900Accounts receivable credit: $900 (Because the full amount of $900 will be collected from the client in the following month).Hence, after adjusting entries, the service revenue account will have a balance of $3,000 + $900 = $3,900Step 3: Adjusted trial balance. An adjusted trial balance is prepared after the adjusting entries have been made to ensure that the debits equal the credits.

The adjusted trial balance of Jacob's Event Planning Service is given below:

Therefore, the adjusted balance of service revenue, as shown on the adjusted trial balance for this month, should be a credit balance of $2,100. Hence, option (C) is correct.

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Which of the following shifts short-run, but not long-run aggregate supply right?
A. a decrease in the capital stock B. a decrease in the actual price level C. an increase in the money supply D. a decrease in the expected price level

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Among the options provided, a decrease in the expected price level (option D) is the only one that would shift the short-run, but not long-run, aggregate supply curve to the right.

The short-run aggregate supply (SRAS) curve represents the relationship between the price level and the quantity of goods and services that firms are willing and able to supply in the short run. On the other hand, the long-run aggregate supply (LRAS) curve represents the relationship between the price level and the potential output of the economy in the long run.

A decrease in the capital stock (option A) would shift both the short-run and long-run aggregate supply curves to the left. This is because a decrease in the capital stock reduces the productive capacity of the economy, leading to a decrease in both short-run and long-run aggregate supply.

A decrease in the actual price level (option B) would shift the short-run aggregate supply curve to the right, indicating that firms are willing to supply more goods and services at lower prices. However, in the long run, the aggregate supply curve would adjust back to the potential output level, resulting in no shift of the long-run aggregate supply curve.

An increase in the money supply (option C) would shift both the short-run and long-run aggregate supply curves to the right. This is because an increase in the money supply stimulates spending and aggregate demand, leading to an increase in both short-run and long-run aggregate supply.

A decrease in the expected price level (option D) would shift the short-run aggregate supply curve to the right. If firms expect lower future prices, they may be more willing to produce and supply goods and services at the current price level. However, in the long run, the aggregate supply curve would adjust back to the potential output level, resulting in no shift of the long-run aggregate supply curve.

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By contract, Quality Metals Corporation forbids Resource Refining, Inc., a wholesale buyer of Quality’s products, from purchasing the products of Quality’s competitors. This is allowed
a. under any circumstances.
b. unless its effect is to cause a competitor a loss of any business.
c. unless its effect is to substantially lessen competition.
d. unless there is no effect on a competitor.

Answers

This is permissible as long as it does not lead to a material restriction of competition.

Option c is correct .

A provision in an agreement that prohibits Resource Refining, Inc. from purchasing products from Quality's competitors is anti-competitive and violates antitrust laws if it has the effect of significantly reducing competition in the marketplace. may be considered probable.

The deciding factor is the impact on competition. A provision may be deemed unlawful if it creates a monopoly or significantly reduces consumer choice or competition in the marketplace. However, it may be permitted if the provision has minimal impact on competition or if the restriction is justified (such as protection of trade secrets or product quality).

hence, Option c is correct .

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Unequal project lives Aa Aa Allied Biscuit Co. has to choose between two mutually exclusive projects. If it chooses project A, Allied Biscuit Co. will have the opportunity to make a similar investment in three years. However, if it chooses project B, it l not have the opportunity to make a second investment. The following table lists the cash flows for these projects. If the firm uses the replacement chain (common life) approach, what will be the difference between the net present value (NPV) of project A and project B, assuming that both projects have a weighted average cost of capital of 11%? Cash Flow Project A Project B Year 0: Year 1: Year 2: Year 3: -$20,000 $11,000 $17,000 $16,000 Year 0: Year 1: Year 2: Year 3: Year 4: Year 5: Year 6: -$45,000 $9,000 $16,000 $15,000 $14,000 $13,000 $12,000 $17,883 $14,631 $13,818 O $16,257 O $9,754 Allied Biscuit Co. is considering a five-year project that has a weighted average cost of capital of 13% and a NPV of $30,450. Allied Biscuit Co. can replicate this project indefinitely. What is the equivalent annual annuity (EAA) for this project? $10,388 O $8,657 O $7,358 O $9,090 O $9,523

Answers

The equivalent annual annuity (EAA) for this project is $9,090. Therefore, the correct option is 3.

Replacement chain approach involves the evaluation of a project or investment over a certain period of time. Unequal project lives occur when a company is considering two or more investment opportunities with different project lives. These projects cannot be compared directly and so the replacement chain approach is used.

This approach involves making each of the projects equal by adding or removing cash flows so that the projects have equal lives. This allows the projects to be compared on an equal footing and is an effective way of comparing investments with different project lives.

Under the Replacement Chain approach, the net present value (NPV) is calculated to determine the difference between the present value of the cash inflows and the present value of the cash outflows. The NPV for each project is determined, and the project with the highest NPV is chosen.

To find the NPV of project A and project B, the following calculation can be used:

NPV Project A = -20000 + 11000/1.11 + 17000/1.11² + 16000/1.11³ + [11000/1.11³ * (1/1.11³ + 1/1.11⁴ + 1/1.11⁵)] - 20000/1.11³

NPV Project A = -20000 + 9867.12 + 13462.48 + 13990.50 + [8122.22 * (0.31050)] - 13321.99

NPV Project A = $1,019.33

NPV Project B = -45000 + 9000/1.11 + 16000/1.11² + 15000/1.11³ + 14000/1.11⁴ + 13000/1.11⁵ + 12000/1.11⁶

NPV Project B = -45000 + 8117.12 + 13313.03 + 12025.26 + 10532.50 + 9146.06 + 7747.12

NPV Project B = -$1,818.91

The difference between the NPV of Project A and Project B = NPV Project A - NPV Project B = $1019.33 - (-$1818.91)= $1019.33 + $1818.91= $2,838.24

The equivalent annual annuity (EAA) can be calculated using the formula below:

EAA = NPV / PVIFA

where PVIFA = Present Value Interest Factor for Annuity

We know that the NPV of the project is $30,450 and the project lasts for 5 years. We are given that the weighted average cost of capital is 13%.

Therefore, PVIFA for 5 years at a rate of 13% = 3.3520

Using the formula above:

EAA = $30,450 / 3.3520

EAA = $9,090

Therefore, the equivalent annual annuity (EAA) is option 3: $9,090.

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To confirm your grasp of the key points in this chapter, try answering the following questions. 1. Why does a corporate entity need a constitution? 2. Explain the difference between governance and management. 3. What are the two aspects of the board's work that can provide a paradox for the unitary board? 4. Describe the scope of corporate governance. 5. What sort of companies might have an all-executive board?

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The statement "To confirm your grasp of the key points in this chapter, try answering the following questions" means that you should try to answer the following questions to determine if you have fully understood the main points in the chapter. Here are the answers to the questions:1. A corporate entity requires a constitution because it is a fundamental document that governs the company's activities, describes the company's objectives, and sets out the limits within which the company's operations must be conducted.2. Governance refers to the way that an organisation is managed, controlled, and directed, whereas management refers to the act of managing or supervising people, processes, and resources to achieve a particular goal. Governance is responsible for overseeing management activities.3. The two aspects of the board's work that can provide a paradox for the unitary board are:

Monitoring the effectiveness of management and making strategic decisions.

Acting as both a representative of the shareholders and as an independent decision-making body.

4. Corporate governance is the set of principles, practices, and procedures that govern how companies are managed and controlled. The scope of corporate governance includes everything from the board's structure and composition to the way that the company's objectives are set and achieved.5. An all-executive board is a board of directors composed entirely of executives from the company. Smaller companies that are closely held, and companies that are at an early stage of development, may have an all-executive board.

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The Samsung Galaxy has been a successful android phone for both t-Mobile and Verizon and is the current market leader. The HTC Inspire has also been popular, is sold through AT&T and Sprint and is the Galaxy's largest competitor. It is estimated that the Galaxy has a market share of 8.7 %, while the HTC comes in at 4.3 %. What is the RMS for the HTC? Round your answer to two decimal places.

Answers

The RMS (Relative Market Share) for the HTC is 0.49.

The RMS is calculated by dividing the market share of a specific brand (in this case, HTC) by the market share of the market leader (Samsung Galaxy). For the HTC, the market share is 4.3%, while the market share of the Samsung Galaxy is 8.7%.

To calculate the RMS, we divide 4.3% by 8.7%, which gives us 0.49425. Rounded to two decimal places, the RMS for the HTC is 0.49.

The RMS is a measure of the relative strength of a brand compared to the market leader. In this case, the HTC Inspire has an RMS of 0.49, indicating that it holds roughly 49% of the market share of the Samsung Galaxy, its largest competitor. This suggests that the HTC Inspire is a significant player in the market but still falls behind the Samsung Galaxy in terms of market dominance.

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Which of the following statements concerning the effects of fluctuating exchange rates on companies competing in foreign markets is true?
Select one:
a. Fluctuating exchange rates pose no significant risks to a company's competitiveness in foreign markets.
b. Competitive advantages of manufacturing goods in a particular country are largely unaffected by fluctuating exchange rates.
c. Exporters are advantaged when the currency of the country where goods are being manufactured grows stronger.
d. Exporters always gain in cost/price competitiveness when the currency of the country in which the goods are manufactured is weak.
e. Exporters always lose in cost/price competitiveness when the currency of the country in which the goods are manufactured is weak.

Answers

The following statements concerning the effects of fluctuating exchange rates on companies competing in foreign markets are true Exporters always gain in cost/price competitiveness when the currency of the country in which the goods are manufactured is weak.

The option (D) is correct.

At the point when the cash of the country where the products are fabricated is powerless, it implies that the merchandise can be delivered at a moderately cheaper with regards to unfamiliar money.

This gives a benefit exporters as they can offer their products at a lower cost in unfamiliar business sectors, which can build their seriousness and piece of the pie.

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should I rko my handicap grandma

Answers

Answer:

no u shloud not rko her ,.

Explanation:

Answer:

How would i know?

Explanation:

POINTS

Which of the following is correct? If interest rates are expected to fall, investors may prefer bonds with longer duration. The higher the yield, the longer the duration. The higher the coupon rate, the longer the duration. If interest rates are expected to rise, investors may prefer bonds with longer duration.

Answers

The correct statement is if interest rates are expected to rise, investors may prefer bonds with longer duration. Option d is correct.

Duration is a widely-used measure of bond investment risk that calculates the bond's sensitivity to variations in interest rates. The period indicates the bond's interest rate sensitivity over time. Furthermore, the bond with a higher period is more vulnerable to changes in interest rates.

Bonds with longer maturities, or durations, are usually more sensitive to interest rate fluctuations because they have a greater number of payments in the future. The duration of a bond is an estimation of how much its price would adjust if interest rates shift by a certain percentage.

An investor can make better choices about which bonds to purchase or sell and which ones to keep in their portfolio by understanding the concept of duration.

Therefore, d is correct.

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QUESTION 7 Budgeted Production in units 500 500 Budgeted Fixed Costs 100,000 100,000 Budgeted VC per unit 150 150 Operating Costs per Unit 75 75 Fixed Operating Costs 95,000 95,000 Selling price per unit 1,500 1,500 Expected sales per unit 200 500 Based on the above information what is the budgeted fixed cost per unit? Compute the Sales, Cost of Goods Sold and the Operating Income under 1) Variable Costing and 2) Absorption Costing.

Answers

1) Variable Costing:

Sales: $300,000

Cost of Goods Sold: $45,000

Operating Income: $217,500

2) Absorption Costing:

Sales: $300,000

Cost of Goods Sold: $145,000

Operating Income: $60,000

To calculate the budgeted fixed cost per unit, we divide the total budgeted fixed costs by the budgeted production in units.

Budgeted fixed cost per unit = Budgeted fixed costs / Budgeted production in units

Budgeted fixed cost per unit = $100,000 / 500 units

Budgeted fixed cost per unit = $200

1) Variable Costing:

Sales = Selling price per unit × Expected sales per unit

Sales = $1,500 × 200 units

Sales = $300,000

Cost of Goods Sold (Variable Costing) = Budgeted VC per unit × Expected sales per unit + Variable operating costs per unit × Expected sales per unit

Cost of Goods Sold = $150 × 200 units + $75 × 200 units

Cost of Goods Sold = $30,000 + $15,000

Cost of Goods Sold = $45,000

Operating Income (Variable Costing) = Sales - Cost of Goods Sold (Variable Costing) - Variable operating costs per unit × Budgeted production in units

Operating Income = $300,000 - $45,000 - $75 × 500 units

Operating Income = $300,000 - $45,000 - $37,500

Operating Income = $217,500

2) Absorption Costing:

Cost of Goods Sold (Absorption Costing) = Budgeted VC per unit × Expected sales per unit + Variable operating costs per unit × Expected sales per unit + Fixed manufacturing costs per unit × Budgeted production in units

Cost of Goods Sold = $150 × 200 units + $75 × 200 units + $200 × 500 units

Cost of Goods Sold = $30,000 + $15,000 + $100,000

Cost of Goods Sold = $145,000

Operating Income (Absorption Costing) = Sales - Cost of Goods Sold (Absorption Costing) - Fixed operating costs

Operating Income = $300,000 - $145,000 - $95,000

Operating Income = $60,000

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which of the following examples would be considered an unfunded mandate?

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An unfunded mandate is a statute or regulation that requires a state or local government to perform certain activities or provide services, without providing funds to cover the cost of those activities or services. The correct option is the federal government required universities to accept more students tuition-free without appropriating more funds to offset the lost revenue.

Unfunded mandates place a financial burden on the state or local government, which may lead to cuts in other programs or services to balance the budget. Below are some examples of unfunded mandates :Expanding Medicaid coverage without providing additional funding to cover the costs.

Imposing new environmental regulations on state and local governments without providing funding to comply with the regulations. Imposing new education standards on schools without providing funding for additional resources or training. Mandating security measures for elections without providing funding to cover the costs. The correct option is c.

The complete question is:

Which of the following examples would be considered an unfunded mandate?

-Texas universities were required to allow veterans and their children to attend tuition-free and the federal government covered the costs.

-The state legislature considers an income tax to fund public schools and higher education in the state.

-The federal government required universities to accept more students tuition-free without appropriating more funds to offset the lost revenue.

-The federal government funded federal veterans health centers and required them to serve all veterans.

-The federal government extended more benefits to veterans and increased block grants to cover the costs.

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What happens to the welfare of a large nation as a result of the following forms of technical progress if consumption is trade neutral?

a. Neutral technical progress in production of the exportable good.

b. Neutral technical progress in production of the importable good.

Answers

a. Neutral technical progress in the production of the exportable good can potentially enhance the welfare of a large nation through increased exports and income.

b. Neutral technical progress in the production of the importable good can potentially improve the welfare of a large nation by reducing prices and increasing consumer purchasing power.

When considering the welfare of a large nation in the context of trade and technical progress, the impact of neutral technical progress in the production of the exportable and importable goods can be analyzed.

a. Neutral technical progress in the production of the exportable good:

If there is neutral technical progress in the production of the exportable good, it implies that the productivity of resources used in producing the exportable good has improved without affecting the terms of trade. As a result, the nation's production capacity for the exportable good increases. This leads to an expansion in exports, which can benefit the nation's welfare.

With increased production and exports of the exportable good, the nation can generate higher income and potentially experience positive welfare effects. The increased export revenue can contribute to economic growth, employment opportunities, and improved living standards. Additionally, the nation may have access to more resources to allocate towards other sectors or goods, further enhancing welfare.

b. Neutral technical progress in the production of the importable good:

If there is neutral technical progress in the production of the importable good, it implies that the productivity of resources used in producing the importable good has improved without affecting the terms of trade. This leads to a reduction in the cost of producing the importable good, making it cheaper for the nation to acquire.

The reduced cost of the importable good benefits the nation's consumers by lowering prices and increasing their purchasing power. As a result, consumers can enjoy a higher standard of living and increased welfare. Additionally, the availability of cheaper importable goods can lead to a more efficient allocation of resources within the nation, which can further contribute to welfare improvements.

Overall, both forms of neutral technical progress have the potential to positively impact the welfare of a large nation. Increased production and exports of the exportable good can boost income and economic growth, while improved productivity in the production of the importable good can enhance consumer welfare through lower prices and increased purchasing power.

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A force majeure clause in a contract permits the cancellation of a contract based on an extraordinary or unexpected event like an act of God, fire, or labor dispute should one occur during the life of the contract? T of F True O False

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The statement "A force majeure clause in a contract permits the cancellation of a contract based on an extraordinary or unexpected event like an act of God, fire, or labor dispute should one occur during the life of the contract" is True.

A force majeure clause is a contract clause that excuses a party's failure to perform its contractual duties as a result of unforeseeable events beyond its control. This is a clause that is commonly included in contracts to protect the parties from unforeseeable events that could render the contract unworkable.

A force majeure clause essentially allows one or both parties to the contract to suspend or terminate their duties under the contract in the event of unforeseeable events beyond their control, making it impossible for them to fulfil their contractual obligations.

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Which meets the criteria of a good email subject line?

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A good email subject line is the one that is short, catchy, and descriptive of the content of the email. In general, the ideal length of the email subject line should be around 50 characters or less to ensure that it displays properly on all devices, including smartphones.

The subject line should convey the purpose or context of the email without being too vague or generic. It should be clear, concise, and informative, with a sense of urgency or relevance that prompts the recipient to open the email.Using capital letters, exclamation marks, or special characters can also help to draw attention to the subject line and increase the open rate. However, it is important not to overdo it as this may come across as spammy or unprofessional. Avoid using misleading or deceptive subject lines as this can lead to low open rates or even legal consequences. In summary, a good email subject line is short, descriptive, informative, and relevant to the recipient's needs or interests.

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Deadweight losses from tariffs and quotas in high-income countries

a.can be justified by jobs protected.

b.are small enough to be ignored

c.are greater than consumer losses from tariffs and quotas.

d.have been reduced since the mid-1990s.

Answers

Deadweight losses from tariffs and quotas in high-income countries can be justified by jobs protected, which means that option (a) is correct.

Deadweight loss is a term used to describe the loss of economic efficiency that occurs when supply and demand for a product are not in equilibrium due to a tax, subsidy, or price ceiling. Deadweight losses from tariffs and quotas in high-income countries can be justified by jobs protected. For instance, a tariff may be imposed on foreign goods to protect domestic producers and workers, ensuring that the domestic industry remains competitive and profitable. The goal of these protectionist measures is to create more jobs and to make goods less expensive. Although the measure has its drawbacks, it is beneficial to some extent. The size of the deadweight loss from a tariff or quota can be substantial in some cases, and the losses for consumers, producers, and the economy as a whole can be significant. If a tariff or quota is intended to generate revenue for the government, the loss to the economy may be justified by the revenue received. If the objective is to protect jobs, the deadweight loss is justified, although there may be better alternatives. The term deadweight loss is not used in conjunction with a subsidy because it is intended to boost economic efficiency. The government may subsidize goods or industries to stimulate production and demand, which can result in a net economic benefit.

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Which of the following is not a risk associated with a global strategy?
A. A firm with only one manufacturing location must export its product, sometimes at great distance from the operation.
B. The geographic concentration of any activity may also tend to isolate that activity from the targeted markets.
C. Concentrating an activity in a single location makes the rest of the firm dependent on that location.
D. The pressures for local adaptation may elevate the cost structure of the firm.

Answers

The correct answer is D. The pressures for local adaptation may elevate the cost structure of the firm.

A global strategy involves operating in multiple countries and targeting global markets. While there are several risks associated with a global strategy, option D does not accurately reflect one of these risks. The pressures for local adaptation actually tend to reduce the cost structure of the firm, rather than elevate it. Local adaptation involves customizing products or services to suit the specific needs and preferences of local markets. By catering to local demands, a firm can enhance its competitiveness and increase its market share, which can ultimately lead to cost efficiencies through economies of scale and improved customer satisfaction.

While options A, B, and C accurately depict risks associated with a global strategy, option D does not. It is important to assess and manage the risks involved in a global strategy, such as the challenges of exporting products, geographic concentration, and dependence on a single location. However, the pressures for local adaptation typically contribute to cost efficiencies and market success rather than elevating the cost structure of the firm.

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Consider a hypothetical world with two countries: Country A and Country B. Per hour, Country A can produce 8080 units of Product 1 or 110110 units of Product 2, while Country B can produce 9090 units of Product 1 or 6060 units of Product 2. Each country has 140140 worker hours. Assume that, initially, each country devotes 50%50% of its available time to each product.

Answers

Initial production in Country A is 5600 units of Product 1 and 7700 units of Product 2, whereas production in Country B is 6300 units of Product 1 and 4200 units of Product 2.

In this hypothetical world, we have two countries: Country A and Country B. Each country has a certain number of worker hours available to allocate towards the production of two products: Product 1 and Product 2.

Given the production capabilities per hour for each country, we have the following information:

Country A:

- Can produce 80 units of Product 1 or 110 units of Product 2 per hour.

- Has 140 worker hours available.

Country B:

- Can produce 90 units of Product 1 or 60 units of Product 2 per hour.

- Also has 140 worker hours available.

Initially, both countries allocate 50% of their worker hours to each product. This means that in each hour, both Country A and Country B produce an equal number of units for both Product 1 and Product 2.

To determine the total production of each product for each country, we can multiply the production per hour by the number of worker hours and the initial allocation:

Country A:

- Product 1: 80 units/hour * 140 hours * 0.5 = 5600 units

- Product 2: 110 units/hour * 140 hours * 0.5 = 7700 units

Country B:

- Product 1: 90 units/hour * 140 hours * 0.5 = 6300 units

- Product 2: 60 units/hour * 140 hours * 0.5 = 4200 units

Therefore, initially, Country A produces 5600 units of Product 1 and 7700 units of Product 2, while Country B produces 6300 units of Product 1 and 4200 units of Product 2.

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Swifty Corporation had sales of $580000, variable costs of $245000, and direct fixed costs totaling $100000. The company's operating assets total $880000, and its required return is 10%. How much is the residual income? a. $147000 b. $157000 c. $88000 d. $492000

Answers

As per the given information, the residual income is  a. $147000

Sales = $580,000

Variable costs = $245,000

Direct fixed costs = $100,000

Operating assets = $880,000

Required return = 10%

Calculating the operating income -

Operating income = Sales - (Variable costs + Direct fixed costs)

= 580,000 - (245,000 + 100,000)

= 580,000 - 345,000

= 235,000

Calculating the required return on operating assets:

The required return on operating assets = Operating assets x Required return

= 880,000  x 10%

= 88,000

Calculating the residual income -

Residual income = Operating income - Required return on operating assets

= 235,000 - 88,000

= 147,000

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organizations function within three identifiable environments: external, industry, and internal.

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Organizations function within three identifiable environments: external, industry, and internal. The external environment includes factors such as technology, demographics, and economic forces.

Organizations function within three identifiable environments: external, industry, and internal. These environments have an impact on the operation of an organization and need to be considered when developing strategy and making decisions.The external environment includes factors such as technology, demographics, and economic forces. Technological advances have allowed businesses to operate in new ways and can create both opportunities and threats. Demographics play a role in determining customer preferences and needs. Economic forces can impact an organization's ability to operate and influence the availability of resources. The industry environment includes factors such as competitors, suppliers, and regulations. Competitors can drive innovation and create a need for differentiation. Suppliers can influence the availability and cost of raw materials and other inputs. Regulations can impact how an organization operates and limit its ability to grow and innovate. The internal environment includes factors such as organizational structure, culture, and resources. The structure of an organization can impact communication, decision-making, and efficiency. Culture can impact employee morale, motivation, and performance. Resources, such as financial and human capital, are necessary for an organization to operate effectively. By understanding the three environments in which organizations function, managers can better assess the impact of external factors on their operations, develop strategies to respond to these factors, and make informed decisions.

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Westgate Inc. uses a lean manufacturing strategy to manufacture DVR (digital video recorder) players. The company manufactures DVR players through a single product cell. The budgeted conversion cost for the year is $819,000 for 1,950 production hours. Each unit requires 12 minutes of cell process time. During March, 820 DVR players were manufactured in the cell. The materials cost per unit is $74. The following summary transactions took place during March:

1. Materials were purchased for March production.
2. Conversion costs were applied to production.
3. 820 DVR players were assembled and placed in finished goods.
4. 780 DVR players were sold for $280 per unit.

a. Determine the budgeted cell conversion cost per hour. If required, round to the nearest dollar. per hour
b. Determine the budgeted cell conversion cost per unit.

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a. Budgeted cell conversion cost per hour Conversion costs are the direct and indirect manufacturing costs that are required to convert raw materials into finished goods. Direct costs include labor and materials, while indirect costs include facility maintenance and utilities. The budgeted cell conversion cost per hour is calculated by dividing the budgeted cell conversion cost for the year by the number of budgeted production hours. The budgeted cell conversion cost for the year is $819,000, and the number of budgeted production hours is 1,950. Therefore, the budgeted cell conversion cost per hour is $419.

b. Budgeted cell conversion cost per unit Budgeted cell conversion cost per unit is calculated by dividing the budgeted cell conversion cost per hour by the number of units produced per hour. One unit requires 12 minutes of cell process time. In an hour, there are 60 minutes. Therefore, the number of units produced per hour is 60 / 12 = 5. The budgeted cell conversion cost per hour is $419. Therefore, the budgeted cell conversion cost per unit is $419 / 5 = $83.80. Answer: a. The budgeted cell conversion cost per hour is $419.
b. The budgeted cell conversion cost per unit is $83.80.

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You own a portfolio that has 2,860 shares of stock A, which is priced at $17.60 per share and has an expected return of 11.54%, and 3,768 shares of stock B, which is priced at $8.20 per share and has an expected return of 5.74%. The risk-free return is 2.62% and inflation is expected to be 1.91%. What is the expected real return for your portfolio?

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The expected real return for your portfolio is 6.11%.

To calculate the expected real return for the portfolio, we need to adjust for inflation. The formula to calculate the expected real return is:

Expected Real Return = (1 + Expected Nominal Return) / (1 + Inflation Rate) - 1

Let's calculate the expected nominal return for the portfolio first:

Expected Nominal Return = (Weight of Stock A * Expected Return of Stock A) + (Weight of Stock B * Expected Return of Stock B)

Weight of Stock A = Number of shares of Stock A / Total number of shares in the portfolio

Weight of Stock B = Number of shares of Stock B / Total number of shares in the portfolio

Weight of Stock A = 2,860 / (2,860 + 3,768) = 0.4316

Weight of Stock B = 3,768 / (2,860 + 3,768) = 0.5684

Expected Nominal Return = (0.4316 * 11.54%) + (0.5684 * 5.74%)

Expected Nominal Return = 4.988% + 3.266%

Expected Nominal Return = 8.254%

Now, let's calculate the expected real return:

Expected Real Return = (1 + 8.254%) / (1 + 1.91%) - 1

Expected Real Return = 1.08254 / 1.0191 - 1

Expected Real Return = 1.0611 - 1

Expected Real Return = 0.0611

Therefore, the expected real return for your portfolio is 6.11%.

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Saved Assume that Simple Company had credit sales of $257.000 and cost of goods sold of $157,000 for the period. Simple uses the aging method and estimates that the appropriate ending balance in the Allowance for Doubtful Accounts is $3.700. Before the end-of-period adjustment is made, the Allowance for Doubtful Accounts has a credit balance of $320. Required: What amount of Bad Debt Expense would the company record as an end of period adjustment?

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The company would record $3,380 amount of Bad Debt Expense as an end-of-period adjustment.

The Allowance for Doubtful Accounts has a credit balance is $320.

Simple Company uses the aging method and estimates that the appropriate ending balance in the Allowance for Doubtful Accounts is $3,700.

Credit sales of Simple Company = $257,000

Cost of goods sold of Simple Company = $157,000

To determine the amount of Bad Debt Expense that Simple Company would record as an end-of-period adjustment, we use formula:

Ending balance of Allowance for Doubtful Accounts = Beginning balance of Allowance for Doubtful Accounts + Bad Debt Expense - Write-offs - Recoveries

Since the beginning balance of Allowance for Doubtful Accounts is a credit of $320 and the estimated ending balance is a credit of $3,700, the amount of the end-of-period adjustment for bad debts will be $3,380.

Beginning balance of Allowance for Doubtful Accounts = $320

Estimated ending balance of Allowance for Doubtful Accounts = $3,700

Bad Debt Expense = Beginning balance of Allowance for Doubtful Accounts + Bad Debt Expense - Write-offs - Recoveries

= $320 + Bad Debt Expense - Write-offs - Recoveries

= $3,700 - $320

= $3,380

Therefore, the company would record $3,380 amount of Bad Debt Expense as an end-of-period adjustment.

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According to four-drive theory, organizations maximize motivation by focusing employees on opportunities to fulfill only one of the four drives. T/F

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According to the Four-Drive Theory, organizations maximize motivation by focusing employees on opportunities to fulfill all four drives :False.

 The drive to acquire, the drive to bond, the drive to comprehend, and the drive to defend. The theory, proposed by Lawrence and Nohria, suggests that these four intrinsic drives are fundamental to human motivation in the workplace.

By creating a work environment that addresses and satisfies all four drives, organizations can enhance employee motivation, engagement, and overall performance. Each drive serves a unique purpose and contributes to different aspects of employee motivation and satisfaction. Therefore, it is important for organizations to consider and cater to all four drives to maximize employee motivation and well-being.

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Kryton Corp. has provided the following information: Gross profit was $586,500; Cost of goods sold was $404,000; Net income was $436,000. What was Kryton's gross profit percentage? 44% o 134.5% o 68.9% o 59.2%

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The Kryton Corp's gross profit percentage, we need to divide the gross profit by the net sales (revenue).

The Gross profit percentage is calculated using the formula:

Gross Profit Percentage = (Gross Profit / Net Sales) * 100  Without the net sales information, we cannot accurately determine the gross profit percentage. Therefore, we cannot calculate the specific percentage based on the given data.Please note that gross profit percentage is typically calculated by dividing gross profit by net sales and multiplying by 100 to express it as a percentage. However, without the net sales figure, we cannot proceed with the calculation.

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the perception that an individual has a valid right to leadership is called

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Legitimacy is the belief that an individual or government has the moral or legal authority to govern. It is the recognition of a valid right to hold the reins of power.

It is vital for leaders to have legitimacy in order to lead effectively. Legitimacy has three main elements that contribute to it: Traditional authority is the first type. It is based on tradition and history, with power transferred from one generation to the next. For example, a monarchy is a form of traditional authority. Rational-legal authority is the second type.

It is based on rules and laws, with power derived from a person's position within the organisation. A prime minister is an example of a person who holds rational-legal authority. Charismatic authority is the third type. It is based on an individual's unique personality and their ability to inspire others. Martin Luther King, for example, had charismatic authority during the civil rights movement.

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Friedman Roses Inc. needs $80,000 in funds for expansion. With a compensating balance requirement of 19%, how much will the firm need to borrow? (Round your answer to the nearest dollar amount.) Multi

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Friedman Roses Inc. needs $80,000 in funds for expansion. With a compensating balance requirement of 19%, the firm will need to borrow $98,765.

Compensating balance requirement (CBR) is the minimum balance that a bank needs its borrowers to maintain in a bank account at all times. It is the fraction of the loan that must remain with the bank to cover the costs of processing, disbursing, and servicing the loan, as well as the bank's administrative costs. As a result, the borrower will only receive a portion of the loan. Here's how to compute the amount of money that Friedman Roses Inc. will need to borrow:

Loan amount = Amount needed ÷ (1 - CBR)

In this scenario, Friedman Roses Inc. requires $80,000 in funds.

The CBR is 19 percent.

Thus, the amount that Friedman Roses Inc. will need to borrow is:$80,000 ÷ (1 - 0.19)=$80,000 ÷ 0.81=$98,765. (Rounded to the nearest dollar)

Therefore, Friedman Roses Inc. will need to borrow $98,765 to obtain $80,000 in funds for expansion, assuming the compensating balance requirement is 19%.

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El Capitan Foods has a capital structure of 42% debt and 58% equity, its tax rate is 25%, and its beta (leveraged) is 0.70. Based on the Hamada equation, what would the firm's beta be if it used no debt, i.e., what is its unlevered beta, bu? a. 0.45 b. 0.53 C0.59 . d. 0.41 e. 0.34

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The unlevered beta (bu) for El Capitan Foods, if it used no debt, is approximately 0.4536.

The Hamada equation is used to calculate the unlevered beta (bu) of a company, which represents the risk of the company's assets without the influence of debt.

The formula for the Hamada equation is:

bu = bl / [1 + (1 - t) * (D / E)]

where:

bu = Unlevered beta

bl = Levered beta

t = Tax rate

D = Debt proportion

E = Equity proportion

In this case, El Capitan Foods has a capital structure of 42% debt (D) and 58% equity (E). The tax rate (t) is given as 25%. The levered beta (bl) is 0.70.

To calculate the unlevered beta (bu), we substitute the given values into the Hamada equation:

bu = 0.70 / [1 + (1 - 0.25) * (0.42 / 0.58)]

bu = 0.70 / [1 + (0.75) * (0.7241)]

bu = 0.70 / [1 + 0.5431]

bu = 0.70 / 1.5431

bu ≈ 0.4536

Therefore, the unlevered beta (bu) for El Capitan Foods, if it used no debt, is approximately 0.4536.

Looking at the answer choices provided, the closest option is 0.45 (a), which corresponds to the calculated unlevered beta.

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People are living longer while the number paying into Social Security is declining. The text suggests that maintaining Social Security for years to come may require reducing benefits, encouraging people to retire later, increasing social security taxes, and: ______________

a. increasing federal income taxes.
b. limiting cost-of-living adjustments.
c. placing caps on benefits for those whose income is greater than $300,000 per year.
d. receiving benefits for only 10 years.

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The text suggests that in addition to reducing benefits, encouraging later retirement, and increasing Social Security taxes, another measure that may be required to maintain Social Security for years to come is limiting cost-of-living adjustments.

Cost-of-living adjustments (COLAs) are annual increases in Social Security benefits designed to help offset the effects of inflation on retirees' purchasing power. By limiting COLAs, the growth rate of benefits would be slowed down, resulting in cost savings for the Social Security system.

Limiting COLAs can be seen as a way to control the growth of Social Security expenditures without directly reducing the benefits received by retirees. It acknowledges the need for sustainability and ensures that the program remains financially viable in the face of demographic changes and increased life expectancy.

While there may be other potential measures to address the long-term sustainability of Social Security, limiting cost-of-living adjustments is one of the options that can help manage the financial challenges associated with an aging population and a declining workforce contributing to the system.

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Cullumber Company issued $1,160,000, 13-year bonds. It agreed to make annual deposits of $93,000 to a fund (called a sinking fund), which will be used to pay off the principal amount of the bond at the end of 13 years. The deposits are made at the end of each year into an account paying 4% annual interest. Click here to view the factor table. (For calculation purposes, use 5 decimal places as displayed in the factor table provided.) What amount will be in the sinking fund at the end of 13 years? (Round answer to 2 decimal places, e.g. 25.75.) Amount in the sinking fund $

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The amount in the sinking fund at the end of 13 years will be $45,991.69. In order to find out what amount will be in the sinking fund at the end of 13 years, we will use the formula for the future value of an annuity.

In order to find out what amount will be in the sinking fund at the end of 13 years, we will use the formula for the future value of an annuity. Future value of an annuity (FVA) is the amount to which a series of equal payments or deposits will grow over a specified period of time when deposited at a specified interest rate.

The formula for calculating FVA is: FVA = P * ((1 + i)n - 1) / i

where P = annual deposit, i = interest rate, and n = number of years. We know that the annual deposit is $93,000, the interest rate is 4%, and the number of years is 13. So, we can plug these values into the formula:

FVA = $93,000 * ((1 + 0.04)13 - 1) / 0.04

FVA = $93,000 * (1.598747 - 1) / 0.04

FVA = $93,000 * 0.494869

FVA = $45,991.69

Therefore, the amount in the sinking fund at the end of 13 years will be $45,991.69.

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Calculate the amount of two commodities that maximizes satisfaction from the following budget line and the utility function,. What is the maximum amount of satisfaction?

4000 = 25X +35Y
U= 400 X^0.6X^0.7

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Given budget line is 4000 = 25X + 35Y and the utility function is U = 400 X^0.6Y^0.7.To calculate the amount of two commodities that maximizes consumer satisfaction from the given budget line and utility function, we will use the Lagrange multiplier method.

Let L(X,Y,λ) = U(X,Y) + λ [M - PX - QY] be the Lagrangian equation Where L

= Lagrangian function, X

= quantity of commodity X, Y

= quantity of commodity Y, λ = Lagrange multiplier, U = Utility function, P = Price of commodity X, Q

= Price of commodity Y, and M = Income of the consumerPut the given value of U and M into the equation above, we haveL(X,Y,λ) = 400 X^0.6Y^0.7 + λ[4000 - 25X - 35Y].

Now, solve for the first order conditions ∂L/∂X, ∂L/∂Y, and ∂L/∂λ∂L/∂X = 0∂L/∂X = 240X^-0.4Y^0.7 - 25λ = 0∂L/∂Y = 280X^0.6Y^-0.3 - 35λ

= 0∂L/∂λ = 4000 - 25X - 35Y = 0From equation (1), we have 240X^-0.4Y^0.7 = 25λ ...........

(i)From equation (2), we have 280X^0.6Y^-0.3 = 35λ ...........(ii) Multiplying equation (i) by 7/5 and multiplying equation

(ii) by 6/4, we have:(7/5) × 240X^-0.4Y^0.7 = (7/5) × 25λ ..........

.(iii)(6/4) × 280X^0.6Y^-0.3 = (6/4) × 35λ ...........(iv)Now, dividing equation

(iii) by equation (iv), we get:X/Y = (7/5) × (4/6) × [(280/240)^(0.3/1.1)]X/Y = 0.763Y/X = 1.309Putting the value of X/Y in the budget line equation,

we have:4000

= 25X + 35Y4000 = 25X + 35 (0.763X)4000

= 51.805X ⇒ X

= 77.3Now, Y = (0.763)77.3

= 58.94 Thus, the maximum amount of satisfaction is U(X,Y)

= 400 X^0.6Y^0.7

= 296482.8 (approx)Therefore, the maximum amount of satisfaction is 296482.8 (approx).

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