Customer service levels can be improved by better C) short-term forecast accuracy.
Short-term forecasting is the practise of making predictions about what will happen soon (we generally think of it as hour-by-hour) and then using that information to develop a strategy to fulfil those demands. Long-term projections are less reliable than short-term ones.
A longer forecasting horizon considerably raises the likelihood that future demand will be impacted by developments we are not now aware of. Any present or recent past conditions that serve as a foundation for or an improvement to the forecast may be included in the short term forecast. The level of detail in the short-term forecast will be determined by the availability of radar, satellite images, and other remote sensing tools.
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True/False: service is easily managed because it doesn't involve many variables.
False. Service management can be complex and involves managing multiple variables. Unlike the manufacturing of physical products, services are intangible and often involve direct interaction between service providers and customers.
There are several factors and variables that need to be considered and managed in service delivery. Variables in service management can include customer expectations, service quality, employee performance, service customization, service timing, resource allocation, capacity planning, service design, customer feedback, and satisfaction measurement. Additionally, service management often requires effective coordination and integration of various internal departments and external stakeholders. Managing these variables effectively is essential for delivering high-quality services, maintaining customer satisfaction, and achieving business goals. It requires careful planning, efficient operations, effective communication, continuous improvement, and the ability to adapt to changing customer needs and market dynamics.
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What are limited decisions
Answer: Limited decision-making is a little more involved than nominal decision-making
Explanation: But it's still not a process that requires in-depth research. Limited decisions are made about mid-cost products, semi-frequent purchases, or purchases from a somewhat familiar brand. ... Product quality.
Answer:
Limited decision are dicitons that consumer make that is used when purchasing products that require a moderate amount of time and effort to compare models and brands before making a choice. ...
make a list of things that should be considered while managing a factory or an industry
plz say correct answer not stipude answer
ILL GIVE CROWN!!!
what should a loan be taken out to pay for?
A. something essential that you need.
B. something important that you want.
C. something that would make life easier.
D. something that other people would envy.
Answer:
A.
Explanation:
its the most accurate answer.
essential things like a car or a home etc.
explain any four consumer rights as stipulated in the CPA
It’s a bill that has/says that every person has four basic consumer rights. Which are -“the right to be informed, the right to choose, the right to safety, and the right to be heard. ”
Answer:
The right to be informed, the right to choose, the right to safety, and the right to be heard.
Explanation:
These rights received a lot of attention from the consumer movement, a movement to pass laws protecting consumers from unfair and unsafe business practices.
Eastman kodak’s and sears’ long-term industry success gave rise to:
Eastman Kodak's and Sears' long-term industry success gave rise to a culture of innovation and customer-focused strategies. Both companies were pioneers in their respective industries, with Kodak leading the way in the film and photography market and Sears dominating the retail industry.
Their success was built on the ability to anticipate and meet customer needs, as well as the ability to adapt to changing market conditions. As a result, they became household names and set the standard for other companies to follow. While both companies faced challenges in later years, their legacies continue to inspire and inform modern businesses striving for long-term success.
Eastman Kodak's and Sears' long-term industry success gave rise to their prominent positions in their respective markets. Their achievements led to the creation of a loyal customer base, brand recognition, and innovation in products and services. Additionally, these successes allowed for business expansion, job creation, and overall economic growth. Both companies have faced challenges in adapting to changing market dynamics; however, their historical performance has been influential in shaping their industries.
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psychological pricing involves setting prices which end and certain numbers while odd-even pricing as setting
Psychological pricing is a pricing strategy that involves using specific numbers to influence a customer's perception of the value of a product or service.
This can include using odd numbers, such as $9.99 instead of $10, to make a product seem more affordable or using round numbers, such as $1000, to convey a sense of quality and luxury.
Settings are also important in psychological pricing. For example, prices may be set differently in different geographic locations or for different customer segments. Online retailers may use dynamic pricing, adjusting prices in real-time based on factors such as demand, inventory levels, and competitors' prices.
Odd-even pricing is a specific type of psychological pricing that involves setting prices that end in odd or even numbers. The idea behind this strategy is that odd prices, such as $7.99, seem more affordable than even prices, such as $8.00. However, even prices can be perceived as more professional or high-end.
Overall, psychological pricing and setting strategies are important tools for businesses to influence customer perceptions and maximize profits. By understanding the psychology of pricing, businesses can effectively set prices that appeal to their target market and improve their bottom line.
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neighborhood centers multiple choice are designed for convenience shopping. are anchored by at least one big-box store. are enclosed from weather effects. provide a range of recreational and entertainment activities. have high occupancy costs.
Neighborhood centers are designed for convenience shopping. They typically cater to the everyday needs of local residents and offer a variety of goods and services in a compact, easily accessible area.
Neighborhood centers are designed for convenience shopping and can provide a range of recreational and entertainment activities. However, they may not necessarily be anchored by a big-box store and are typically not enclosed from weather effects. Additionally, because of their prime locations and accessibility, neighborhood centers often have high occupancy costs.
They are typically smaller retail centers that serve local communities by providing everyday convenience shopping options. They often include a variety of stores and services such as grocery stores, pharmacies, banks, restaurants, and other essential amenities. These centers are usually easily accessible to the surrounding residential areas and cater to the day-to-day needs of the local residents.
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Why does life have to be hard?
Answer:
Life is hard because life needs to know if you're willing to fight. Willing to be strong when life is 'hard'. The second that you prove yourself with one challenge, another challenge show's up. Don't let life get you down. Be grateful for all you have. Live as if it's your last day. :>
Explanation:
Answer:
Because thats just how it is. There are the good times and the bad times. When life smacks you down, you need to get up and say "you hit like a b*tch". But it gets better. With age comes gratitude, perspective, and the ability to problem-solve for ourselves. With age we accrue more experiences, more self-awareness, and more successfully navigated pain and heartbreak. But life doesn't get better because you're older, you just get better at dealing with how life works. Life is painful, and we have got the answer to one of its parts. Now, it's time to understand another one:- Emotional Pain. The reason we feel emotional pain is because we don't accept the situation. We want something else out of our current situation. We suffer because of the idea that life was meant to be painless and things should go smoothly as it is. You don't expect life to be fair to you because you are a good person or you work so hard. Life has its own rules, it's complicated and not the same for everyone.
the coffee house, a local coffee shop, has a low return on equity. what does this indicate?
it is important for investors to carefully evaluate the coffee shop's financials, such as revenue and expenses, to determine the reasons behind the low return on equity and to identify potential areas for improvement.
If the coffee house has a low return on equity, it means that the profits generated by the business are not enough to compensate for the amount of money invested in it. This can be a red flag for investors as it suggests that the business may not be performing well and may not be able to generate sufficient returns in the future. It is important to note that a low return on equity does not necessarily mean that the business is failing or that it should be avoided altogether. However, it is important for investors to carefully evaluate the coffee shop's financials, such as revenue and expenses, to determine the reasons behind the low return on equity and to identify potential areas for improvement.
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esfandairi enterprises is considering a new three-year expansion project that requires an initial fixed asset investment of $2,350,000. the fixed asset will be depreciated straight-line to zero over its three-year tax life. the project is estimated to generate $2,290,000 in annual sales, with costs of $1,310,000. the project requires an initial investment in net working capital of $160,000, and the fixed asset will have a market value of $195,000 at the end of the project. assume that the tax rate is 21 percent and the required return on the project is 10 percent. what are the net cash flows of the project each year? note: a negative answer should be indicated by a minus sign. do not round intermediate calculations and round your answers to the nearest whole number, e.g., 32. what is the npv of the project?
a)The Net cash flow in year 1& 2 is $938,666
b)The Net cash flow in year 3 is $195,000
c)Using a financial calculator or spreadsheet, we get a NPV of $136,752.
The company should perform sensitivity analysis to assess the impact of these changes on the project's profitability.
To calculate the net cash flows of the project, we need to consider the following:
Year 0:
Initial fixed asset investment: $2,350,000
Initial net working capital investment: $160,000
Total initial investment: $2,510,000
Year 1, 2, and 3:
Sales: $2,290,000
Costs: $1,310,000
Depreciation: $783,333 (calculated as $2,350,000 divided by 3)
Taxable income: $196,667 (calculated as $2,290,000 minus $1,310,000 minus $783,333)
Taxes: $41,333 (calculated as $196,667 multiplied by 21%)
Net income: $155,333 (calculated as $196,667 minus $41,333)
Add back depreciation: $783,333
Net cash flow: $938,666 (calculated as $155,333 plus $783,333)
Year 3 (end of project):
Sale of fixed asset: $195,000
Taxable gain or loss: $0 (since the market value is equal to the book value)
Taxes: $0
Net cash flow: $195,000
To calculate the NPV of the project, we need to discount the net cash flows at the required rate of return of 10%. Using a financial calculator or spreadsheet, we get a NPV of $136,752.
This positive NPV indicates that the project is expected to generate more cash flows than the initial investment and meets the required rate of return of 10%. Therefore, the company should proceed with the project. However, it is important to note that the NPV is sensitive to changes in assumptions such as sales, costs, and required rate of return.
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How is an internship valuable to an intern?
Answer:
Internships help students master professional soft skills such as communication, punctuality and time management. These are skills that are key for success at a job and college and are highly sought after by companies. Many employers complain that there are few candidates with excellent soft skills.
What is the expected value of each option?
The following account balances relate to the stockholders’ equity accounts of Concord Corp. at year-end.2022 2021Common stock, 10,500 and 10,000 shares, issued andoutstanding, respectively, for 2022 and 2021$163,200 $139,800Preferred stock, 5,000 shares, issued and outstanding132,500 132,500Retained earnings303,000 249,600A small stock dividend was declared and issued in 2022. The market price of the shares issued was $11,300. Cash dividends of $17,000 were declared and paid in both 2022 and 2021. The common stock and preferred stock have no par or stated value.(a) What was the amount of net income reported by Concord Corp. in 2022?Net income $enter the net income amount in dollarseTextbook and MediaSave for LaterAttempts: 0 of 5 usedSubmit Answer(b) Determine the amounts of any cash inflows or outflows related to the common stock and dividend accounts in 2022.Common stock$enter a dollar amountselect an option OutflowInflow Dividends$enter a dollar amountselect an option InflowOutflow eTextbook and MediaSave for LaterAttempts: 0 of 5 usedSubmit Answer(c) Indicate where each of the cash inflows or outflows identified in (b) would be classified on the statement of cash flows.Common stockselect a type of cash flow activity OperatingFinancingInvestingDividendsselect a type of cash flow activity OperatingInvestingFinancing
The net income reported by Concord Corp. in 2022 is $70,400.
To calculate the net income, we can use the following formula:
Net Income = Ending Retained Earnings - Beginning Retained Earnings + Dividends - Stock Dividend
Net Income = $303,000 - $249,600 + $17,000 - $11,300 = $70,400
Common stock: $23,400 Inflow
Dividends: $17,000 Outflow
The cash inflows or outflows related to common stock and dividend accounts in 2022 are calculated as follows:
Common stock: $163,200 (2022 balance) - $139,800 (2021 balance) = $23,400 Inflow
Dividends: Declared and paid in both 2022 and 2021, so $17,000 Outflow
Common stock: Financing activity
Dividends: Financing activity
In the statement of cash flows, the cash inflows or outflows identified in (b) would be classified as follows:
Common stock: Issuance of common stock is a financing activity.
Dividends: Payment of dividends is a financing activity.
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are structural adjustment loans as provided by organizations such as the world bank consistent with the goals of neoliberalism?
Yes, structural adjustment loans provided by company such as the World Bank are consistent with the goals of neoliberalism.
Neoliberalism is an economic ideology that emphasizes the importance of free markets, limited government intervention, and privatization.
Structural adjustment loans are typically associated with neoliberal policies as they aim to promote market-oriented reforms in recipient countries. These loans are provided to countries facing economic difficulties,
with the condition that they implement specific policy reforms, such as reducing government spending, liberalizing trade, and deregulating markets. These conditions align with the principles of neoliberalism, as they aim to promote market efficiency, private sector development, and economic liberalization.
However, it is important to note that the impact and effectiveness of structural adjustment loans have been the subject of debate and criticism.
Critics argue that these loans often lead to austerity measures, social inequality, and a reduction in public services, which can negatively affect vulnerable populations.
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Xootr LLC is the producer of a high-end, award-winning kick scooter, known as the Xootr (pronounced "zooter"). The basic Xootr model (known as the Ultra Cruz) sells for slightly over $200.
The company started production using a three-step assembly process depicted in the preceding figure. Three workers assemble the Xootr. The processing times are 13 minutes/unit for the first worker, 11 minutes/unit for the second worker, and 8 minutes/unit for the third worker. The assembly operation runs for 35 hours per week. The average salary for an assembly worker is $12 per hour.
As demand for the Xootr grows, the company needs to change its assembly operations to increase its process capacity. Two experts are consulted for advice. The first expert comments: "As we grow our business, we really have to benefit from our workers specializing in a small set of activities. Right now, our longest processing time is 13 minutes per unit. If Xootr wants to double its process capacity, it should simply take each of the three activities and break them up into two subactivities. That way, six workers can produce a unit every 6.5 minutes."
Another expert, however, disagrees. She observes: "Division of labor leads to frustrating, monotone work for the workers. Instead of having workers specialize in small subactivities, Xootr should do the opposite. Imagine one worker would perform all activities from beginning to end. This would avoid the problem of line balancing and increase the labor utilization. And the workers would see how all pieces come together, providing a more meaningful production experience. If we have six workers operating this way, we can have even more capacity."
What do you think of the comments of these two experts? Draw a process flow diagram for each of the two expert proposals. For each proposal, compute process capacity, labor utilization, and costs of direct labor, assuming that the processing times in the proposal of the first expert would be cut in half (i.e., it would take 6.5 minutes per unit to do the first set of tasks currently included in activity 1 and another 6.5 minutes per unit to do the second set of tasks). Then, ask yourself what other variables might differ across these two proposals.
The first expert recommends breaking up the current three activities into two subactivities each and having six workers specialize in these smaller tasks. The second expert suggests having one worker perform all activities from beginning to end to avoid line balancing issues and provide a more meaningful production experience.
Detailed answer:
Process flow diagram for first expert proposal:
Activity 1:
- Subactivity 1a (6.5 minutes/unit)
- Subactivity 1b (6.5 minutes/unit)
Activity 2:
- Subactivity 2a (5.5 minutes/unit)
- Subactivity 2b (5.5 minutes/unit)
Activity 3:
- Subactivity 3a (4 minutes/unit)
- Subactivity 3b (4 minutes/unit)
Process flow diagram for second expert proposal:
Activity 1, 2, and 3:
- One worker performs all tasks from beginning to end (32 minutes/unit)
Process capacity for first expert proposal:
Each unit will take a total of 23.5 minutes to assemble (6.5 + 5.5 + 4 + 6.5 + 5.5 + 4). This means that the process can produce approximately 90 units per week (35 hours x 60 minutes per hour / 23.5 minutes per unit).
Process capacity for second expert proposal:
Each unit will take 32 minutes to assemble. This means that the process can produce approximately 65 units per week (35 hours x 60 minutes per hour / 32 minutes per unit).
Labor utilization for first expert proposal:
With six workers, each subactivity can be performed simultaneously, resulting in a total labor time of 23.5 minutes per unit. This means that the labor utilization rate is approximately 80% (23.5 minutes per unit / 29.33 minutes per worker per unit).
Labor utilization for second expert proposal:
With one worker, the labor time per unit is 32 minutes. This means that the labor utilization rate is 100% (32 minutes per unit / 32 minutes per worker per unit).
Costs of direct labor for first expert proposal:
With six workers, the total labor cost per unit is $2.35 (23.5 minutes per unit x $12 per hour / 60 minutes per hour). This means that the total labor cost for 90 units per week is approximately $211.50.
Costs of direct labor for second expert proposal:
With one worker, the total labor cost per unit is $4.27 (32 minutes per unit x $12 per hour / 60 minutes per hour). This means that the total labor cost for 65 units per week is approximately $277.55.
Other variables that might differ across these two proposals include the level of worker satisfaction and potential for worker burnout with the first expert proposal's division of labor versus the potential for boredom with the second expert proposal's lack of task variety. Additionally, the first expert proposal may require more training and coordination among workers, while the second expert proposal may result in longer lead times and potentially lower quality due to the lack of specialization.
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How many millions are there in 93 601 008?
Answer:
There are 93 millions in 93,601,008.
Answer:
93 million in 93,601,008
Explanation:
Hope this helps have a wonderful day! <3
Why do people enter an apprenticeship rather then attend college?
And here are three great reasons to choose an apprenticeship instead: 1. You need to start earning a livable wage. On average, college costs $23,600 per year — and if you don't finish with a degree, you still have to pay for the classes you took.
Benefits of Apprenticeship
Customized training that meets industry standards, tailored to the specific needs of businesses, resulting in highly-skilled employees.
Increased knowledge transfer through on-the-job learning from an experienced mentor, combined with education courses to support work-based learning.
Apprenticeships are an excellent way to gain access to a company or a sector you want to work in, and if you do a great job and become a valued member of the team, it will put you in a strong position when there are permanent job opportunities. Learn transferable skills
If you're someone who really wants to embrace the student experience and explore your course subject in-depth, going to university might be for you. If you enjoy hands-on learning, want to get paid for on-the-job training and get a degree without tuition fees, then an apprenticeship could be a good option.
Though they receive valuable training, individuals often endure both pros and cons of apprenticeships. You might want to research the pros and cons tho.
A person is eligible to undertake an apprenticeship or traineeship in NSW if they are: an Australian citizen, or. a foreign national with permanent residency, or. a New Zealand passport holder who has been a resident in Australia for more than six months.
I HOPE THIS HELPS AND MAYBE I COULD GET BRAINLIEST <3
Answer:
So you dont have to go to college?
Explanation:
Larkspur Corporation manufactures drones. On December 31, 2019, it leased to Althaus Company a drone that had cost $104,800 to manufacture. The lease agreement covers the 5-year useful life of the drone and requires 5 equal annual rentals of $37,400 payable each December 31, beginning December 31, 2019. An interest rate of 7% is implicit in the lease agreement. Collectibility of the rentals is probable. Prepare Larkspur’s December 31, 2019, journal entries
Answer:
First find the present value of the lease. Payments are constant and fixed so this is an annuity. As it is to be paid from the beginning, it is an Annuity due.
= Annuity * Present value interest factor of annuity due, 5 years, 7%.
= 37,400 * 4.3872
= $164,081
Date Account Details Debit Credit
Dec. 31, 2019 Lease Receivable $164,081
Cost of goods sold $104,800
Sales $164,081
Inventory $104,800
Date Account Details Debit Credit
Dec. 31, 2019 Cash $37,400
Lease Receivable $37,400
What is the danger of having a lot of debt?
(brainlyest)
Answer:
probably not paying it off in time or something
Explanation:
TRUE/FALSE. The growing importance of human resource issues has led most firms to expect only their human resource specialists to tackle HR issues.
The growing importance of human resource issues has led most firms to expect only their human resource specialists to tackle HR issues. This statement is false.
What is the importance of human resource?
A company's culture can be developed, reinforced, or changed in significant ways thanks to its human resources. Compensation, performance management, training and development, hiring and onboarding, and reinforcing corporate values are just a few of the critical facets of organisational culture that fall within the purview of HR.
Culture can be difficult to get right. The performance of employees and the organization's strategic goals are often at odds with one another. Human resource management helps close this gap.
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6. Toxic stress-such as extreme poverty, maternal depression, severe neglect, or exposure to
violence- are childhood experiences that can undermine the developing brain.
(1 Point)
O adverse
O cephalocaudal
O cognitive
O cortisol
O development
o infants
O maturation
O neurons
physical
O plasticity
O preschoolers
O proximodistal
O Social Emotional
O synapses
O toddlers
O window of opportunity
Answer:Adverse
Explanation:Search it up
Lopez acquired a building on June 1, 2016, for $4,329,700. Compute the depreciation deduction assuming the building is classified as (a) residential and (b) non residential.Click here to access the depreciation table to use for this problem.If required, round your answers to the nearest dollar.a. Calculate Lopez's cost recovery deduction for 2021 if the building is classified as residential rental real estate.$fill in the blank 1b. Calculate Lopez's cost recovery deduction for 2021 if the building is classified as nonresidential real estate.$fill in the blank 2
Lopez's cost recovery deduction for 2021 depends on the building's classification as residential or nonresidential real estate, with different useful lives and depreciation rates applied accordingly.
Cost recovery deductionTo calculate the depreciation deduction, the useful life for nonresidential real estate is 39 years, and the applicable depreciation method is also straight-line.
Using the table provided, the annual depreciation rate for residential rental real estate is 3.636% (which is 100% divided by 27.5 years) and the annual depreciation rate for nonresidential real estate is 2.564% (which is 100% divided by 39 years).
a. To calculate Lopez's cost recovery deduction for 2021 if the building is classified as residential rental real estate, we need to determine the adjusted basis of the building, which is the original cost minus the accumulated depreciation.
The building has been in service for 5 years, so the accumulated depreciation is 5 x 3.636% x $4,329,700 = $789,965. Therefore, the adjusted basis is $4,329,700 - $789,965 = $3,539,735.
The cost recovery deduction for 2021 is the annual depreciation rate times the adjusted basis, which is 3.636% x $3,539,735 = $128,647.
b. To calculate Lopez's cost recovery deduction for 2021 if the building is classified as nonresidential real estate, we follow the same procedure but use the applicable depreciation rate and useful life.
The accumulated depreciation for 5 years is 5 x 2.564% x $4,329,700 = $557,642, so the adjusted basis is $4,329,700 - $557,642 = $3,772,058.
The cost recovery deduction for 2021 is the annual depreciation rate times the adjusted basis, which is 2.564% x $3,772,058 = $96,841.
Therefore, the answers to the blanks are:
a. $128,647
b. $96,841
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which of the following statements about aging schedules is most correct? question 15 options: a) aging schedules are used to optimize patient flow. b) aging schedules are used to prioritize payments to vendors for supplies purchases. c) aging schedules are used to monitor an organization's receivables. d) statements a., b., and c are all correct.
The most correct statement about aging schedules is that c) aging schedules are used to monitor an organization's receivables.
Aging schedules are financial tools that categorize and track the age of outstanding customer balances or invoices. By grouping receivables based on their age, organizations can assess the effectiveness of their credit and collection policies, identify potential cash flow issues, and prioritize collection efforts. These schedules typically classify receivables into different time periods, such as 0-30 days, 31-60 days, 61-90 days, and so on, to provide a clear picture of overdue payments. Analyzing aging schedules helps organizations identify trends, take necessary actions to collect overdue payments, and manage their cash flow effectively.
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Point Compute steady state capital per worker. Round your answer to at least three decimal places. Q1.2 1 Point Compute steady state output per worker. Round your answer to at least three decimal places. Q1.3 1 Point Compute steady state consumption per worker. Round your answer to at least three decimal places. Q1.4 1 Point Compute steady state investment per worker. Round your answer to at least three decimal places. Q1.5 1 Point Compute steady state capital (aggregate, not per worker). Round your answer to at least three decimal places. Q1.6 1 Point Compute steady state output (aggregate, not per worker). Round your answer to at least three decimal places. Q1.7 1 Point Compute steady state consumption (aggregate, not per worker). Round your answer to at least three decimal places. Q1.8 1 Point Compute steady state investment (aggregate, not per worker). Round your answer to at least three decimal places. Q1 The steady state 8 Points Consider the Basic Solow Model without exogenous growth: Yi=AK?L}-a Ct =(1 - s)Yt Y=Ct+It dt where labor Lt is constant at some quantity I and initial capital is Ko > O. Assume the following values for the rest of this question: A=1000 a=0.33 s=0.12 =0.09 Ko=1000 L=25
The steady-state values are approximately are: Steady-state capital per worker (k*): 0.153, Steady-state output per worker (y*): 13.686, Steady-state consumption per worker (c*): 12.042, Steady-state investment per worker (i*): 1.643, Steady-state aggregate capital (K*): 3.825 ,Steady-state aggregate output (Y*): 342.150, Steady-state aggregate consumption (C*): 301.050, and Steady-state aggregate investment (I*): 41.075.
To compute the steady-state values in the Solow model, we need to find the values of capital per worker (k*), output per worker (y*), consumption per worker (c*), investment per worker (i*), aggregate capital (K*), aggregate output (Y*), aggregate consumption (C*), and aggregate investment (I*). Using the given parameters and equations, we can calculate these values:
Steady-state capital per worker (k*):
k* = (s / (n + δ + g))^(1 / (1 - a))
= (0.12 / (0 + 0.09 + 0))^(1 / (1 - 0.33))
≈ 0.153
Steady-state output per worker (y*):
y* = A * (k*)^a * (L)^(1 - a)
= 1000 * (0.153)^0.33 * 25^0.67
≈ 13.686
Steady-state consumption per worker (c*):
c* = (1 - s) * y*
= (1 - 0.12) * 13.686
≈ 12.042
Steady-state investment per worker (i*):
i* = s * y*
= 0.12 * 13.686
≈ 1.643
Steady-state aggregate capital (K*):
K* = k* * L
= 0.153 * 25
≈ 3.825
Steady-state aggregate output (Y*):
Y* = y* * L
= 13.686 * 25
≈ 342.150
Steady-state aggregate consumption (C*):
C* = c* * L
= 12.042 * 25
≈ 301.050
Steady-state aggregate investment (I*):
I* = i* * L
= 1.643 * 25
≈ 41.075
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in the balance-of-payments account, the outflow of payments to the rest of the world, are entered as _____
In the balance-of-payments account, the outflow of payments to the rest of the world is entered as debit. These outflows can include payments for imports of goods and services, foreign investment, interest payments on foreign debt, and transfers to other countries.
The balance-of-payments account is a record of all economic transactions between a country and the rest of the world over a specific period. It is divided into two main components: the current account and the capital and financial account.
The current account includes transactions related to trade in goods and services, income from investments, and unilateral transfers. When a country makes payments to foreign entities, such as for imports or interest payments, these payments are considered debits and are entered as negative values in the current account.
The capital and financial account, on the other hand, records transactions related to capital flows, such as foreign direct investment, portfolio investment, and changes in reserve assets. These transactions can also result in outflows of payments, such as when a country invests abroad or repatriates capital. These outflows are also recorded as debits in the capital and financial account.
By recording the outflow of payments as debits in the balance-of-payments account, economists and policymakers can analyze a country's international financial transactions and assess its overall economic position in relation to the rest of the world.
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The Acmeville Metropolitan Bus Service currently charges $0. 99 for an all-day ticket, and has an average of 623 riders a day. The bus company is not earning a profit, but according to their contract with the city, they cannot cut the number of buses on the road. They must therefore find a way to increase revenues. The bus company is considering increasing the ticket price to $ 1. 1. The marketing department's studies indicate this price increase would reduce usage to 359 riders per day. Calculate the absolute value of the price elasticity of demand for bus tickets using the simple percentage change method. Round your answer to one decimal place
To calculate the absolute value of the price elasticity of demand using the simple percentage change method, we need to use the following formula:
Price elasticity of demand = (Percentage change in quantity demanded) / (Percentage change in price)
First, let's calculate the percentage change in quantity demanded:
Percentage change in quantity demanded = [(New quantity demanded - Old quantity demanded) / Old quantity demanded] * 100
New quantity demanded = 359
Old quantity demanded = 623
Percentage change in quantity demanded = [(359 - 623) / 623] * 100
Percentage change in quantity demanded = (-264 / 623) * 100
Percentage change in quantity demanded ≈ -42.36%
Next, let's calculate the percentage change in price:
Percentage change in price = [(New price - Old price) / Old price] * 100
New price = $1.10
Old price = $0.99
Percentage change in price = [(1.10 - 0.99) / 0.99] * 100
Percentage change in price ≈ 11.11%
Now we can calculate the price elasticity of demand:
Price elasticity of demand = (|-42.36%|) / 11.11%
Price elasticity of demand ≈ 3.81
Therefore, the absolute value of the price elasticity of demand for bus tickets is approximately 3.81 (rounded to one decimal place).
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Packer corp. , an accrual-basis, calendar-year s corporation, has been an s corporation since its inception. Starr was a 50% shareholder in packer throughout the current year and had a $10,000 tax basis in packer stock on january 1. During the current year, packer had a $1,000 net business loss and made an $8,000 cash distribution to each shareholder. What amount of the distribution was includible in starr's gross income?
The amount of the distribution was includible in Starr's gross income of $9,500.
Packer Corp., an accrual-basis, calendar-year S corporation, has Starr as a 50% shareholder throughout the current year. Starr began the year with a $10,000 tax basis in Packer stock. During the current year, Packer incurred a $1,000 net business loss and made an $8,000 cash distribution to each shareholder, including Starr.
As an S corporation, Packer's net business loss is passed through to the shareholders and allocated based on their ownership percentages. In this case, Starr would be allocated 50% of the $1,000 net business loss, which is $500.
This loss will reduce Starr's tax basis in Packer stock from $10,000 to $9,500 ($10,000 - $500).
Now, let's analyze the $8,000 cash distribution to Starr. In general, S corporation distributions are not included in a shareholder's gross income as long as they do not exceed the shareholder's tax basis in the corporation's stock. Since Starr's tax basis in Packer stock is now $9,500, the $8,000 cash distribution does not exceed this amount. Therefore, the entire $8,000 distribution is not includible in Starr's gross income.
In summary, Packer Corp.'s $1,000 net business loss reduced Starr's tax basis in the S corporation stock to $9,500, and the $8,000 cash distribution did not exceed this basis. As a result, none of the distribution is includible in Starr's gross income for the current year.
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Visit to a Fast Food Place...
• Average Daily Spend - $5.00
• Per Week (5 days) –
• Per Month (4 weeks) -
• Per School Year (10 months) -
Submit number value
Per week: 5 × 5 = 25
Per month: (4 × 5) × 5 = 100
Per school year: (43.4524 × 5) × 5 = 1086.31
in the long run, a company must set its selling price to generate a profit and cover
In the long run, a company must set its selling price to generate a profit and cover its expenses.
A company's ultimate goal is to generate profit and sustain its operations in the long run. To do so, it must set its selling price at a level that will not only cover its expenses, but also generate a profit margin. Setting the right price is crucial to the success of a business, as a price that is too low may result in a loss, while a price that is too high may drive away potential customers.
A company needs to cover various costs to continue its operations. These costs can be classified into two categories: fixed costs and variable costs. Fixed costs are expenses that do not change with the level of production, such as rent or salaries. Variable costs, on the other hand, change with the level of production, such as raw materials or utilities. To generate a profit and cover these costs, a company must set its selling price higher than the total cost per unit of production.
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