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Nadya [2.5K]
2 years ago
5

_____________________ identifies the area where a producer’s absolute advantage is relatively greatest, or where the producer’s

absolute disadvantage in productivity is relatively least. Group of answer choices relative advantage opportunity cost productivity advantage comparative advantage
Business
1 answer:
marin [14]2 years ago
8 0

comparative study identifies the area where a producer’s absolute advantage is relatively greatest, or where the producer’s absolute disadvantage in productivity is relatively least. Group of answer choices relative advantage opportunity cost productivity advantage comparative advantage

<h3>What is comparative study ?</h3>

Comparative research is a social science research methodology that aims to make comparisons across different countries or cultures. A significant issue in comparative research is that data sets from different countries may define or use different categories.

Comparative research seeks to identify similarities and differences among social entities. Comparative research attempts to contrast and compare nations, cultures, societies, and institutions.

Comparative research can help inform projects early on by providing fodder and direction for initial design concepts, as well as during design iterations when refining content, interaction, and overall architectural patterns.

To know more about comparative study  follow the link:

brainly.com/question/15847343

#SPJ4

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Which key is used to indent the first line of a paragraph to the right? A. Ctrl B. Shift C. Tab D. Enter E. Alt
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Answer:

C. Tab

Explanation:

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3 years ago
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Windsor Inc. sells prepaid telephone cards to customers. Windsor then pays the telecommunications company, TeleExpress, for the
Genrish500 [490]

Answer:

<u>Revenues</u>

January = $0

February $4,100 * 50% = $2,050

March $4,100 * 30% = $1,230

April $4,100 * 20% = $820

<u>Expenses</u>

January = $0

February $2,000 * 50% = $1,000

March $2,000 * 30% = $600

April $2,000 * 20% = $400

<u>Operating Income </u>

January = $0

February $2,050 - 1,000 = $1,050

March $1,230 - $600 = $630

April $820 - $400 = $420

3 0
3 years ago
Imagine that you are holding 7,000 shares of stock, currently selling at $70 per share. You are ready to sell the shares but wou
Readme [11.4K]

Answer:

Consider the following calculations

Explanation:

Number of Shares held = 7000

Current Price = $ 70

Portfolio Value = 7000 * 70 = 490,000

If continued to hold the shares

Portfolio value at $ 57 = 7000 * 57 = 399,000

Portfolio Value at $ 77 = 7000 * 77 = 539,000

If implemented collar strategy - Selling a call option and buying a put option

Call option

Strike Price = 75

Price of the option = $ 2

Put Option

Strike Price = 65

Price of the option = $ 4

Amount received on sale of Call option = 7000 * 2 = 14,000

Amount paid on buying a put option = 7000 * 4 = 28,000

Value of the Portfolio = 7000 * 70 + 14000 – 28000 = 490,000 +14000 – 28000 = 476,000

If the stock price in January is 57

As the strike price 75 is higher than the current market price of 57, the call option buyer will allow the option to expire

As the strike price of 65 is higher than the current price of 57, the investor will utilise the put option

Profit from Put option can be obtained by buying shares from market and selling the same under the put option

Profit from put option =7000 * (65-57) = 7000 * 8 = 56000

Value of the portfolio   = Holding Value at current price + premium received – premium paid+ profit from put option

                                        = 7000 * 57 + 14000 – 28000 + 56000

                                       = 399000 + 14000 – 28000 + 56000

                                       = 441,000

If the stock price in January is 70

As the strike price 75 is higher than the market price of 70, the call option buyer will allow the option to expire

As the strike price of 65 is lower than market price of 70, the invest will allow the put option to expire

Portfolio Value = Holding value at current market price + premium received – premium paid

                            = 7000 * 70 + 14000 – 28000

                           = 490000 + 14000 – 28000 = 476,000

If the market price in January is 77

As the strike price of 75 is lower than market price of 77, the buyer of call option will enforce the call option

Loss from call option = 7000 * (77-75) = 7000 * 2 = 14000

As the strike price of 65 is lower than market price of 77, the investor will allow the put option to expire

Portfolio Value = Holding value at current market price + premium received – premium paid – loss on call option

Portfolio value = 7000 * 77 + 14000 – 28000 – 14000

                           = 539000 + 14000 – 28000 – 14000

                           = 511,000

Download xlsx
4 0
4 years ago
Using the midpoint method, calculate the price elasticity of demand for Good Z using the following information:
bagirrra123 [75]

Answer:elasticity using mid point formular : Q2 - Q1/(Q2+Q1) /2 X 100

P2-P1/ (P2+P1) /2 x100

60- 85 ÷(60+85) ÷ 2 x100 = -20.69

15-10 ÷ (15+10)÷ 2 x 100 = 40

Elasticity = -20.69/ 40

= -0.52

Explanation:

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3 years ago
Which is an example of E-commerce?
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Answer:

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