To control pollution, industry has been given limits and been threatened with punishment if these limits are violated. This approach is called ________.
A) limit and manage
B) paddle to the bottom
C) command and control
D) end of the alley
E) carrot and stick

Answers

Answer 1

The approach of giving limits to industry and threatening punishment if these limits are violated is called C) "command and control".

What is the "command and control" approach in pollution control, and how does it work?

Under a command and control approach, the government sets specific regulations and standards that industries must meet to control pollution. The industries are required to comply with these regulations, and failure to do so can result in fines, penalties, or other forms of punishment.

The command and control approach is a traditional regulatory approach that has been used to control pollution and other environmental issues for many years. However, it has been criticized for being inflexible and expensive for businesses to comply with. In recent years, other approaches such as market-based mechanisms and voluntary programs have been developed as alternatives to command and control.

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Related Questions

The purpose of developmental feedback is to clarify to employees how their performance compares with the performance of their co-workers.TrueFalse

Answers

The purpose of developmental feedback is to provide employees with constructive and specific feedback on their performance in order to help them improve their skills and abilities, achieve their goals, and reach their full potential. Given statement is  False.

It is not intended to compare an employee's performance with their co-workers, but rather to focus on their individual strengths, weaknesses, and areas for development. Developmental feedback is an important aspect of the performance management process and can help to enhance employee performance and overall organizational effectiveness.

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(short answer)Discuss the advantages of the single-index model over the Markowitz model in terms ofnumbers of variable estimates required and in terms of understanding risk relationships.

Answers

The single-index model is a simpler alternative to the Markowitz model for analyzing and manager portfolio risk. It requires fewer variable estimates than the Markowitz model because it assumes that the variability of each security's returns can be explained by the variability of the returns of the overall market, represented by a single index such as the S&P 500.

In terms of understanding risk relationships, the single-index model provides a clear and intuitive way to measure the risk of individual securities in relation to the market. It allows investors to easily assess the sensitivity of a security's returns to market fluctuations, as measured by its beta coefficient. This information can be useful in constructing portfolios that balance risk and return, and in identifying securities that are undervalued or overvalued relative to the market.Overall, the advantages of the single-index model over the Markowitz model are its simplicity and ease of use, which make it a practical tool for many investors and portfolio managers.

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The bank offers risk-free, annual interest rates of 2%. You come across an alternative investment option costing $1,000 and offering $1,300 after 1 year in case of success (85% probability). This investment has a 15% chance of failure and offering $0. Use this information for the questions below.
1. Calculate the expected future value of this alternative investment.
2. Calculate the expected interest rate of this alternative investment, that is, the interest rate you would expect to receive from this investment.
3. Calculate the expected future value if you instead took the $1,000 and invested in the risk-free option for 1 year.
4. Assume the outcome of each of these alternative investments to be the same. Would you prefer to invest in the alternative option, or the risk-free option? Explain
5. Calculate the risk premium interest rate that will equate the alternative investment with the risk-free option. Why is the risk premium interest rate different from the risk-free rate?

Answers

The expected future value of the alternative investment is:

Expected value = (0.85 x $1,300) + (0.15 x $0) = $1,105

Risk premium interest rate = [tex]($1,105 / $1,000)^(1/1)[/tex] - 1

Risk premium interest rate = 0.105 or 10.5%

The expected interest rate of this alternative investment can be calculated as the percentage increase in value over the initial investment, which is:

Expected interest rate = (Expected future value / Initial investment) - 1

Expected interest rate = ($1,105 / $1,000) - 1

Expected interest rate = 0.105 or 10.5%

The future value of investing $1,000 in the risk-free option for 1 year is:

Future value = Initial investment x (1 + interest rate)^time period

Future value = $1,000 x [tex](1 + 0.02)^1[/tex]

Future value = $1,020

o determine which option to choose, we need to compare the expected future value of the alternative investment ($1,105) to the future value of investing in the risk-free option ($1,020). Since the expected future value of the alternative investment is greater than the future value of the risk-free option, we would prefer to invest in the alternative option.

The risk premium interest rate is the extra return that an investor expects to earn for taking on additional risk. To equate the expected future value of the alternative investment to the future value of the risk-free option, we can use the following formula: Initial investment x (1 + risk premium interest [tex]rate)^time[/tex] period = Expected future value of alternative investment Solving for the risk premium interest rate: Risk premium interest rate = (Expected future value of alternative investment / [tex]Initial investment)^(1/time period) - 1[/tex]

Risk premium interest rate = [tex]($1,105 / $1,000)^(1/1)[/tex] - 1

Risk premium interest rate = 0.105 or 10.5%

The risk premium interest rate is different from the risk-free rate because it represents the additional return required to compensate for the additional risk taken on by investing in the alternative option.

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country GDP (in millions of US $) population (in thousands) GDP per capita (in US $) Italy 1,888,709 59,554 Jamaica 13,812 2,961 Kazakhstan 171,082 18,754 Latvia 33,707 1,902 Malaysia 333,006 32,366 New Zealand 210,701 5,084 Oman 73,971 5,106 Peru 202,014 32,972 Qatar 144,411 2,881 Rwanda 10,334 12,952

Answers

To calculate the GDP per capita for each country, we divide the GDP by the population.

Italy: GDP per capita = 1,888,709,000 / 59,554,000 = $31,707.85

Jamaica: GDP per capita = 13,812,000 / 2,961,000 = $4,666.32

Kazakhstan: GDP per capita = 171,082,000 / 18,754,000 = $9,120.72

Latvia: GDP per capita = 33,707,000 / 1,902,000 = $17,732.96

Malaysia: GDP per capita = 333,006,000 / 32,366,000 = $10,294.44

New Zealand: GDP per capita = 210,701,000 / 5,084,000 = $41,424.86

Oman: GDP per capita = 73,971,000 / 5,106,000 = $14,487.57

Peru: GDP per capita = 202,014,000 / 32,972,000 = $6,128.90

Qatar: GDP per capita = 144,411,000 / 2,881,000 = $50,138.15

Rwanda: GDP per capita = 10,334,000 / 12,952,000 = $798.16

Therefore, the GDP per capita (in US $) for each country is:

Italy: $31,707.85

Jamaica: $4,666.32

Kazakhstan: $9,120.72

Latvia: $17,732.96

Malaysia: $10,294.44

New Zealand: $41,424.86

Oman: $14,487.57

Peru: $6,128.90

Qatar: $50,138.15

Rwanda: $798.16.

GDP per capita is a measure of a country's economic output that accounts for its population. It is calculated by dividing the country's GDP by its total population. GDP per capita is used as an indicator of a country's standard of living and economic development.

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If the NAIRU is 7 percent and the actual unemployment rate is 4 percent, A. the AD curve will shift downward.B. there is a recessionary gap. C. it will get stuck there permanently.D. there is no pressure on the AS curve to shift. E. the AS curve will shift upward

Answers

If the NAIRU is 7 percent and the actual unemployment rate is 4 percent, the correct answer is E. the AS curve will shift upward. This is because the lower unemployment rate suggests that the economy is operating above its natural rate, leading to increased inflationary pressure and causing the AS curve to shift upward. correct answer is B. there is a recessionary gap.

The NAIRU (Non-Accelerating Inflation Rate of Unemployment) is the unemployment rate at which inflation is stable, meaning that there is no upward or downward pressure on prices. If the actual unemployment rate is lower than the NAIRU (in this case, 4 percent), then there is a shortage of labor in the economy, which puts upward pressure on wages and prices. This is known as a "recessionary gap" because the economy is operating below its potential output level, which could lead to lower economic growth in the long run. To close the gap and bring the economy back to its potential output level, either the AD (Aggregate Demand) curve needs to shift upward or the AS (Aggregate Supply) curve needs to shift downward. Therefore, answer A, C, D, and E are incorrect.

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If this market is a monopoly and the elasticity of demand is -5, then at the quantity chosen by the monopolist the marginal cost is
Question 2 options:
a. 20% higher than the price charged by the monopolist
b. 20% lower than the price charged by the monopolist
c. 80% higher than the price charged by the monopolist
d. 80% lower than the price charged by the monopolist

Answers

To determine the marginal cost at quantity chosen by monopolist, which is MC = MR, where MC is marginal cost and MR is marginal revenue. The price is 80% higher than the marginal cost. Option C is correct answer

Given that the elasticity of demand is -5, we know that the monopolist's marginal revenue is less than the price charged, and specifically, MR = P(1 - 1/|e|) = P(1 - 1/5) = 4P/5.

Since the monopolist chooses the quantity where MR = MC, we can set 4P/5 = MC and solve for MC, which gives us MC = 4P/5. Now, to answer the question, we need to compare the marginal cost to the price charged by the monopolist. Let's assume that the monopolist charges a price of P0. Then, the marginal cost is:

MC = 4P0/5, We can rearrange this equation to solve for P0: P0 = 5MC/4 Therefore, the price charged by the monopolist is 5/4 times the marginal cost.

From this analysis, we can conclude that the correct answer is (c) 80% higher than the price charged by the monopolist. Specifically, the monopolist's marginal cost is 4/5 of the price charged, which means that the price charged is 5/4 times the marginal cost. This implies that the price is 80% higher than the marginal cost.

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a country is said to have an absolute advantage if they can produce the good: multiple choice using the fewest inputs. at the lowest opportunity cost. at the lowest total cost. at the lowest marginal cost.

Answers

A country is said to have an absolute advantage if it can produce a good using the fewest inputs. This means that the country is able to produce the same amount of a good as another country, but with fewer resources.

For example, if Country A can produce 100 units of a product with 10 workers, while Country B needs 15 workers to produce the same amount, Country A has an absolute advantage in production. This allows the country to be more efficient and competitive in the global market.

It is important to note that having an absolute advantage does not necessarily mean that the country will always have a comparative advantage in the production of that good.

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Is the following initiative associated with neoliberal TINA-touts or with alter-globalization activists?
Anti-Unionism

Answers

The initiative of anti-unionism is typically associated with neoliberal TINA-touts, who advocate for minimal government intervention in the economy and support free market policies.

They believe that unions, which represent workers and negotiate for better wages and working conditions, interfere with the efficient functioning of the labor market and lead to higher costs for businesses.

On the other hand, alter-globalization activists are generally supportive of labor rights and social justice, and they view unions as important actors in the struggle for workers' rights and protections.

They may oppose the anti-union stance of neoliberal TINA-touts and advocate for policies that support unionization and collective bargaining.

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true or false, it is more beneficial for an organization to have slower-moving products at a regional distribution center instead of market-facing location

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The statement it is more beneficial for an organization to have slower-moving products at a regional distribution center instead of market-facing location is true because the term "expeditionary marketing" refers to tactics used to introduce well-known brands and their goods into untapped areas and regions.  

Giving current customers brand-new, unrelated goods or services is known as horizontal diversification. An example of a company using a horizontal diversification approach is a notebook manufacturer that enters the pen market. One of the most well-liked and efficient marketing strategies for reaching a target audience directly is direct marketing.

Direct marketing has significant advantages, especially for small businesses with limited resources who cannot afford to invest in television or online advertising efforts.

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fort texas company began operations on january 1, 2017, and has used the average- cost method of inventory valuation since its inception. in 2021, it decides to switch to the fifo method. you are provided with the following information. a) what is the beginning retained earnings balance at january 1, 2018, if fort texas prepares comparative financial statements starting in 2020? b) what is the beginning retained earnings balance at january 1, 2020, if fort texas prepares comparative financial statements starting in 2020? c) what is the beginning retained earnings balance at january 1, 2021, if fort texas prepares comparative financial statements starting in 2021? d) what is the beginning retained earnings balance at january 1, 2020, if fort texas prepares comparative financial statements starting in 2018? average cost ni fifo ni average cost retained earnings 2017 $55,000 $60,000 $55,000 2018 125,000 135,000 180,000 2019 165,000 190,000 345,000 2020 110,000 115,000 455,000

Answers

a) Assuming Fort Texas begins preparing comparative financial statements in 2020, $125,000 is the commencing retained earnings balance at January 1, 2018.

b) $345,000 t is the beginning retained earnings balance at january 1, 2020, if fort texas prepares comparative financial statements starting in 2020.

c)$115,000 is the beginning retained earnings balance at january 1, 2021, if fort texas prepares comparative financial statements starting in 2021.

d)$345,000 is the beginning retained earnings balance at january 1, 2020, if fort texas prepares comparative financial statements starting in 2018.

Financial statements are prepared and the inventory valuation method used. If comparative financial statements are prepared starting in 2020 or later, the beginning retained earnings balance is higher under FIFO than average cost.

a) To determine the beginning retained earnings balance at January 1, 2018, assuming comparative financial statements starting in 2020, we need to look at the retained earnings balance for 2018 under the average cost method, which is $125,000.

b) To determine the beginning retained earnings balance at January 1, 2020, assuming comparative financial statements starting in 2020, we need to look at the retained earnings balance for 2019 under the FIFO method, which is $345,000.

c) To determine the beginning retained earnings balance at January 1, 2021, assuming comparative financial statements starting in 2021, we need to look at the retained earnings balance for 2020 under the FIFO method, which is $115,000.

d) To determine the beginning retained earnings balance at January 1, 2020, assuming comparative financial statements starting in 2018, we need to work backwards from the 2019 retained earnings balance under the FIFO method, which is $345,000.

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According to the text, the range of firm behavior that generates value for both internal and external stakeholders in sufficient quantities is termed ________. the strategic CSR window of opportunity the strategic CSR best practices maximizing strategic CSR strategic CSR expansion

Answers

According to the text, the range of firm behavior that generates value for both internal and external stakeholders in sufficient quantities is termed the strategic CSR window of opportunity.

This concept emphasizes the importance of finding a balance in meeting the needs of various stakeholders while maximizing the value for the firm. In a business environment, stakeholders can be classified into two categories, Internal Stakeholders and External Stakeholders. Internal stakeholders refer to the individuals and parties, within the organization. On the other hand, external stakeholders represent outside parties, which affect or get affected by, the activities of business.

Internal stakeholders include employees, owners, managers, and board of directors while external stakeholders include customers, creditors, clients, societies, and governments.

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fill in the blank. "Environmental damage from industry or land development has traditionally been labeled as ________ by economists.
A) external costs
B) ecosystem services
C) free riders
D) greenwashing
E) steady state economics"
A) external costs

Answers

Environmental damage from industry or land development has traditionally been labeled as external costs by economists.  

What  is environmental damage

For environmental damage to occur as a result of an industrial accident, there must be a pathway linking potential releases at the industrial site and sensitive receptors in the environment. The pathway is usually a gravitational liquid flow, the harmful release being in the liquid phase and the receptor being an aquatic ecosystem.

With a very few notable exceptions, such as the eponymous Seveso incident, environmental impact from accidental (as distinct from chronic) airborne releases tends to be minor and transient. Dilution of the pollutant cloud via atmospheric dispersion is rapid and any surface deposition is removed effectively by mechanisms such as rain, adsorption onto soil particles and microbial action in the soil.

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Providing information about the performance and financial position of companies so that users can make economic decisions best describes the role of: A auditing. B financial reporting. C financial statement analysis.

Answers

Providing information about the performance and financial position of companies so that users can make economic decisions best describes the role of: Financial Reporting. The correct option is B.

Financial reporting involves preparing and presenting financial statements and other relevant information to users such as investors, creditors, and regulators.

It serves as a tool for communicating the financial health of a company to external stakeholders. The primary financial statements included in financial reporting are the balance sheet, income statement, statement of cash flows, and statement of changes in equity.

A. Auditing, on the other hand, is the process of examining and verifying the accuracy and reliability of a company's financial statements. It is usually performed by independent external auditors to ensure the credibility of the financial information provided.

C. Financial statement analysis involves the evaluation and interpretation of a company's financial statements to assess its performance, financial position, and value. This analysis helps users make informed decisions about investing, lending, or other economic activities.

In summary, financial reporting is the process of presenting financial information about a company's performance and financial position to enable users to make economic decisions. Auditing ensures the accuracy and reliability of the financial statements, while financial statement analysis helps users interpret and evaluate the information provided

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Complete question:

Providing information about the performance and financial position of companies so that users can make economic decisions best describes the role of:

A. auditing.

B. financial reporting.

C. financial statement analysis.

In 2015, real GDP is $100 billion, while real GDP in 2016 is$110 billion. Nominal GDP grows 3% in 2016, what can be assumedabout the inflation rate?a. Not enough info for anythingb. Inflation is -7%
c. Inflation is constant
d. Inflation is 13%
e. Inflation is 10%

Answers

Based on the information provided, we can calculate the inflation rate by using the formula:

Inflation rate = (Nominal GDP - Real GDP)/Real GDP x 100

In this case, we know that Nominal GDP grew by 3% from 2015 to 2016, which means it increased from $100 billion to $103 billion. We also know that Real GDP increased from $100 billion to $110 billion.

Therefore, the inflation rate can be calculated as follows:

Inflation rate = ($103 billion - $110 billion)/$110 billion x 100
Inflation rate = -6.36%

Based on this calculation, we can assume that the inflation rate is -6.36%, which means that prices decreased overall from 2015 to 2016. This is a rare occurrence and could be due to a variety of factors, such as deflationary pressures in the economy, a decrease in demand for goods and services, or a decrease in the cost of production.

In summary, we can conclude that the answer to the question is b. Inflation is -7%, meaning that there was an overall decrease in prices from 2015 to 2016.

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what is internal control and what does it seek to accomplish? give three examples of different controls. if you owned a company (or if you do currently), what controls would you put in place to protect your business against theft (by employees)?

Answers

Internal control is a systematic process implemented by an organization to manage risks, safeguard assets, and ensure the reliability of financial reporting. It seeks to accomplish effective and efficient operations, accurate financial information, and compliance with laws and regulations.

Three examples of different controls are:

1. Segregation of Duties: Assigning different tasks to separate individuals, reducing the risk of errors or fraud.
2. Physical Controls: Limiting access to certain areas or assets (e.g., locked doors or security cameras) to protect valuable resources.
3. Authorization Procedures: Establishing approval processes for financial transactions, ensuring only authorized individuals can make decisions.

If I owned a company, I would implement the following controls to protect against employee theft:

1. Regular Inventory Audits: Periodically reviewing inventory levels and comparing them to records to identify discrepancies.
2. Employee Background Checks: Screening potential hires to reduce the risk of hiring individuals with a history of theft or dishonest behavior.
3. Cash Handling Procedures: Establishing strict protocols for handling cash, such as using cash registers, monitoring transactions, and reconciling daily cash receipts.

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which of the following statements is consistent with what happened during the great recession? choose one: a. aggregate demand and short-run aggregate supply increased, causing potential gdp to decrease. b. housing prices fell during the great recession, causing a decrease in consumer wealth. this decrease in wealth led to a decrease in aggregate supply and a decrease in potential gdp. c. consumer sentiment fell prior to and during the great recession, leading to a decline in expected income that shifted the aggregate supply curve to the left. d. aggregate demand and long-run aggregate supply decreased, causing unemployment to rise to 10%.

Answers

During the Great Recession, housing values declined, which reduced consumer wealth. A fall in aggregate supply and a reduction in potential GDP were the results of this wealth decline.

What is potential ?

Potential is the innate capability for achievement, growth, or development. It is the capacity to do something or arrive at a particular outcome. All facets of existence have potential, including the physical, cerebral, emotional, and spiritual. Potential is sometimes viewed as a type of potential energy, or the ability to perform work.

One's talents, abilities, and potential can be discovered and developed. Goals and desires can also be achieved with its assistance. Potential may be nourished and developed with work and commitment; it is not fixed.

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Research Problem."Economic assessment of the proposed instigation of"Electronic Transaction Levy" (E-LEVY) in Ghana. A case study ofGCTU community (CAMPUS)".1. Base on the research problem above justify your choice of research approach(s).
2. Write out one main objective.
3. Write out 3 specific objectives for your proposed project.
4. What is a literature review? ( look up the project work manual).
NOTE: "I will much appreciate your in depth answers"

Answers

1. Based on the research problem of "Economic assessment of the proposed instigation of Electronic Transaction Levy (E-LEVY) in Ghana. A case study of GCTU community (CAMPUS)", a mixed-methods research approach would be appropriate.

This is because both quantitative and qualitative data would be needed to evaluate the economic impact of the proposed E-LEVY on the GCTU community. A survey could be conducted to collect quantitative data on the current state of electronic transactions in the community, while focus groups or interviews could be used to gather qualitative data on the potential effects of the E-LEVY.
2. The main objective of this project is to assess the economic impact of the proposed E-LEVY on the GCTU community in Ghana.
3. The specific objectives for this project are:
- To determine the current level of electronic transactions in the GCTU community
- To assess the potential effects of the E-LEVY on electronic transactions in the GCTU community
- To evaluate the potential economic benefits and drawbacks of the E-LEVY for the GCTU community
4. A literature review is a critical evaluation of existing literature on a particular research topic. It involves identifying and reviewing relevant studies, articles, books, and other sources of information to gain an understanding of the current state of knowledge on the topic. The literature review helps to identify gaps in existing knowledge and informs the development of research questions and hypotheses for the proposed project.

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he ceo decides on option 1 to develop a new product. in this scenario, the engineering department would be understaffed. which action should the hr manager recommend as a first step to assist the engineering manager?

Answers

As an HR manager, the first step I would recommend to assist the engineering manager in this scenario is to conduct a staffing analysis.

This would involve assessing the current workload of the engineering department and identifying the number of additional staff members required to meet the demands of the new product development.

Once this information has been gathered, I would work with the CEO and the engineering manager to develop a staffing plan that prioritizes hiring and/or reassigning personnel to the engineering department. This plan would take into account the availability of internal resources and the need to attract external talent if necessary.

In addition to staffing, I would also recommend exploring options for training and development to ensure that the engineering team is equipped with the necessary skills and knowledge to support the new product development. This could involve providing access to relevant training courses or partnering with external providers to deliver customized training programs.

Overall, the key to successfully supporting the engineering manager in this scenario is to have a strategic approach that prioritizes the needs of the department while also aligning with the broader goals and objectives of the organization.

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1. Recently, Nigerian cow breeders switched to corn (maize) asthe main source of feed for theircows. As a consequence, that has significantly impacted the priceof corn. Before the switch, the price of corn was ₦4,000 per bushel and the quantity demanded was 10,500,000 bushels per day.
After the switch, the price per bushel of corn increased to ₦16,000 per bushel, and the quantity
demanded decreased to 4,850,000 bushels per day.
(i) Using the mid-point formula, determine the price elasticity of demand. Show your work.
(ii) Determine if the demand for corn in Nigeria is price elastic or price inelastic.
Note that ₦ is the sign for Nigeria’s currency, the naira.

Answers

The Price elasticity demand is 0.74 and the demand for corn in Nigeria is price inelastic

(i) Using the midpoint formula, the price elasticity of demand for corn in Nigeria is:
Price elasticity of demand = (ΔQ/Q) / (ΔP/P) * (Pavg/Qavg)
where ΔQ is the change in quantity demanded, Q is the original quantity demanded, ΔP is the change in price, P is the original price, and Pavg and Qavg are the average of the original and new prices and quantities.

ΔQ = 10,500,000 - 4,850,000 = 5,650,000
Qavg = (10,500,000 + 4,850,000) / 2 = 7,675,000
ΔP = 16,000 - 4,000 = 12,000
Pavg = (16,000 + 4,000) / 2 = 10,000
Price elasticity of demand = ((5,650,000/7,675,000) / (12,000/10,000)) * (10,000/7,675,000) = 0.74
(ii) Since the price elasticity of demand is less than 1, the demand for corn in Nigeria is price inelastic. This means that the percentage change in quantity demanded is less than the percentage change in price. In other words, the increase in price did not significantly reduce the quantity demanded

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Savings and loan institutions:
a. are owned by the depositors.
b. originally were formed primarily to make home mortgages.
c. today offer a much smaller array of services than when originally formed.
d. are owned by depositors who also have a common bond.

Answers

Savings and loan institutions: originally were formed primarily to make home mortgages. Thus, option B is the correct option.

S&Ls were first developed to increase the number of Americans who could access economic possibilities like house loans.  Savings and loan institutions (S&Ls), sometimes known as thrift banks, savings banks, or savings institutions, provide their clients with many of the same services as commercial banks, such as deposits, loans, mortgages, checks, and debit cards.

S&Ls focus more on residential mortgages than commercial banks do, who often prioritize working with big corporations and unsecured credit services (like credit cards).

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withdrawing components from stock to make assemblies or finished goods, or to ship to a customer, is known as?

Answers

Withdrawing components from stock to make assemblies or finished goods, or to ship to a customer, is known as "picking" or "order picking" in the context of inventory management and supply chain operations. This process is a crucial step in fulfilling customer orders and maintaining efficient production.

Picking involves locating and retrieving items from storage locations in a warehouse or distribution center to meet specific order requirements. This task is typically performed by warehouse personnel, who use pick lists or handheld devices with barcodes to ensure accuracy and efficiency.

Order picking can be carried out using various methods, such as batch picking, zone picking, or wave picking, depending on the organization's needs and the complexity of the orders. Implementing an effective picking strategy helps reduce errors, optimize labor resources, and increase customer satisfaction by ensuring that the right products are delivered on time.

In summary, the process of withdrawing components from stock for assembly, finished goods production, or customer shipment is known as picking or order picking, which plays a vital role in inventory management and overall supply chain performance.

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What are some of the benefits of having interest groups provide information to the public, government officials, the media, and members? On the other hand, what are some of the downsides of having interest groups inform?

Answers

Interest groups, also known as advocacy groups, play a vital role in providing information to the public, government officials, the media, and members.

Some of the benefits of having interest groups provide information include:

1. Raising Awareness: Interest groups raise awareness on important issues that may otherwise go unnoticed. They highlight problems and suggest solutions that can lead to positive change.

2. Representation: Interest groups represent the interests of a particular group of people, giving them a voice in policy-making and decision-making.

3. Accountability: Interest groups hold government officials accountable by monitoring their actions and highlighting any discrepancies or unethical behavior.

However, there are also some downsides to having interest groups inform. These include:

1. Bias: Interest groups may have their own agenda and biases, which can result in a one-sided presentation of information.

2. Misinformation: Interest groups may intentionally or unintentionally provide misinformation, leading to confusion and misunderstanding.

3. Influence: Interest groups can have a significant influence on policy-making, potentially leading to policies that benefit their members but not necessarily the wider public.

In conclusion, while interest groups can provide valuable information and representation, it is important to be aware of their biases and potential for misinformation or undue influence.

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A force that binds an individual to a course of action of relevance to one or more targets is:

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The force that binds an individual to a course of action of relevance to one or more targets is motivation.

Motivation can be defined as an internal or external drive that compels an individual to take action towards achieving a specific goal or outcome. It is the force that encourages people to work towards fulfilling their needs, desires, or aspirations.

Motivation can come from various sources such as rewards, recognition, personal satisfaction, and even fear. It is an essential aspect of human behavior and plays a crucial role in determining the level of effort and persistence individuals put into achieving their goals.

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T/F: As concluded in "A Bigger World," the growing role of the state in the global economy is a legitimate concern for those who are worried about bad capitalism overtaking good capitalism.

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The given statement "A Bigger World," the growing role of the state in the global economy is a legitimate concern for those who are worried about bad capitalism overtaking good capitalism.” is True.

The statement itself is subjective and presents an opinion that the growing role of the state in the global economy is a legitimate concern for those who are worried about "bad capitalism" overtaking "good capitalisms, whether or not this statement is true or false depends on one's perspective and beliefs about the role of the state in the economy, as well as their views on capitalism.

On the other hand, those who prioritize government intervention and regulations to address social and economic issues, promote fairness, and protect vulnerable populations may view the growing role of the state in the global economy as necessary and beneficial. They may see this as "good capitalism" where government plays a role in correcting market failures and promoting social welfare.

Thus, the accuracy of the statement depends on individual viewpoints and beliefs about the role of the state in the global economy and capitalism.

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as a plant employee, what is your responsibility to report your findings to superiors? should you attempt to determine if the redundancy is justified? explain. what is your responsibility to the employees whose jobs will likely be lost because of your report? what facts should you consider before making your decision to report or not?

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As a plant employee, it is your responsibility to report any findings or issues to your superiors. This includes any concerns regarding potential redundancies within the plant. However, it is not your responsibility to determine if the redundancy is justified. This decision is typically made by higher-level management, and it is not your place to make this determination.

When reporting your findings, you should be sensitive to the fact that some employees may lose their jobs as a result. Your responsibility to these employees is to be honest and transparent in your reporting, and to ensure that the proper channels are followed to provide them with support and guidance during this difficult time.

Before making the decision to report your findings, there are several factors to consider. Firstly, you should evaluate the severity of the situation and determine if it poses a significant risk to the company's operations or financial stability. Additionally, you should consider the potential impact on employees and the community, as well as any legal or ethical considerations that may apply.

Ultimately, your decision to report or not should be based on your best judgment and your commitment to acting in the best interests of the company and its stakeholders. However, it is important to remember that reporting potential redundancies is not an easy decision and should be handled with sensitivity and professionalism.

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Considering the balance sheet for all commercial banks in the U.S., the largest category of assets is:
a. cash items.
b. U.S. Government Securities.
c. required reserves.
d. loans.

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The largest category of assets on the balance sheet of all commercial banks in the U.S. is loans. Option D.

Loans refer to the money that is borrowed by individuals, businesses, and other entities from commercial banks for various purposes such as buying a house, starting a business, or expanding operations. Loans are considered an asset because they generate income for the bank through the interest charged on them.
The amount of loans that a bank can make is limited by the amount of deposits it has, and the reserves it is required to hold by law. Required reserves refer to the minimum amount of money that banks must keep on hand to meet customer withdrawals and other obligations. These reserves are held with the Federal Reserve, and banks are required to keep a certain percentage of their deposits as reserves.
In conclusion, loans are the largest category of assets on the balance sheet of all commercial banks in the U.S. This is because loans generate income for the bank, and are a key part of the banking business model. While cash items and U.S. Government Securities are also important asset categories for banks, loans are the primary source of income for most banks. Option D is correct.

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Switching costs are typically used to influence the threat of substitute products or services. a. True b. False.

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The statement "Switching costs are typically used to influence the threat of substitute products or services" is a. True.

Switching costs refer to the expenses or difficulties that a consumer faces when they change from one product or service to another. These costs can be financial, emotional, or time-related.

Switching costs are often used as a strategy to make it more difficult for customers to switch to substitute products or services, thereby reducing the threat of substitutes in a particular market. By increasing switching costs, a company can discourage customers from switching to a substitute product or service, thus reducing the threat of substitutes in the market.

Therefore, switching costs are commonly used to influence the threat of substitute products or services.

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26) What is the first phase in the Systems Development Life Cycle?A) AnalysisB) DesignC) PlanningD) Procedure

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The first phase in the Systems Development Life Cycle is C) Planning. This phase involves identifying the project scope, objectives, and required resources to ensure a successful development process.

This phase involves identifying and defining the problem or opportunity that the system is meant to address, and determining the goals and objectives of the system. During the Planning phase, project stakeholders are identified, and their requirements and expectations are documented. This includes identifying the scope of the project, assessing the feasibility of the project, and determining the budget and timeline for the project. The Planning phase is critical because it sets the foundation for the entire SDLC. Without a clear understanding of the project goals and requirements, it's impossible to develop an effective system. Once the Planning phase is complete, the project can move on to the Analysis and Design phases, where specific requirements are identified and the system is designed.

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Sam is completing his college program in 3 years and receives
his degree. This program is usually done in 4 years. Under what circum
stances would receiving his college degree in two years have a negative
effect on his employability and/or salary?

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Completing a college program in a shorter time can potentially impact employability and salary due to factors such as insufficient practical experience, limited networking opportunities, overlooked essential.

Sam's decision to complete his college program in 3 years instead of the usual 4 years might have a negative effect on his employability and/or salary under the following circumstances:
1. Insufficient practical experience: Completing the program faster could mean less time for internships or part-time jobs, leading to a lack of real-world experience, which employers value.
2. Limited networking opportunities: Shorter time in college might mean fewer chances to network with professors, classmates, and professionals in his field, potentially limiting job prospects and career advancement.
3. Overlooked essential coursework: Accelerating his program might force Sam to skip elective courses that could have provided additional skills or knowledge relevant to his chosen field, possibly affecting his overall qualifications.
4. Perceived lack of commitment: Employers might question Sam's dedication to his education if they see that he completed his degree in a shorter time, raising concerns about his long-term commitment to his profession.
5. Potential burnout: Completing the program in less time might lead to a high workload and stress, which could negatively impact Sam's mental and physical health, ultimately affecting his job performance.

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In linear​ programming, choices available to a decision maker are called

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In linear programming, the choices available to a decision maker are called decision variables. These variables represent the possible values that can be chosen to optimize the objective function subject to the constraints of the problem.

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