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Vesnalui [34]
2 years ago
3

in the figures below, the first graph represents individual firms and the second the market as a whole. if there are 100 competi

tive firms of the size represented by ac1, how much does an individual competitive firm produce?
Business
1 answer:
Helen [10]2 years ago
7 0

'in the figures below, the first graph represents individual firms and the second the market as a whole. if there are 100 competitive firms of the size represented by ac1, 1.1m an individual competitive firm produces.

It makes similar products at all sellers. There are many buyers and sellers, each small compared to the market as a whole, or many potential sellers.

A perfect competitor is a price taker. That is, you must accept the equilibrium price at which you sell your goods. A perfectly competitive company will not sell if it tries to exceed the market price even a little.

A competitive firm is one that (1) has many buyers and sellers in the market. (2) Products offered by different sellers are almost identical. (3) Firms are generally free to enter and exit the market. 2. Figure 2 shows the cost curve for a typical company.

Learn more about competitive firms brainly.com/question/25327136

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Which of the following theorems explains the relationship between interest rates and bond prices? For a given change in interest
Eddi Din [679]

Answer:

For a given change in interest rates, the prices of long-term bonds will change more drastically than the prices of short-term bonds.

Explanation:

A bond can be defined as a fixed income instrument that firms use as a source of longer-term funding or loans.

The par value of a bond is its face value and it comprises of its total dollar amount as well as its maturity value. Also, the par value of a bond gives the basis on which periodic interest is paid. Thus, a bond is issued at par value when the market rate of interest is the same as the contract rate of interest. This simply means that, a bond would be issued at par (face) value when the bond's stated rated is significantly equal to the effective or market interest rate on the specific date it was issued.

In Economics, bonds could either be issued at discount or premium.

Hence, a bond that is being issued at a discount has its stated rate lower than the market interest rate, on the specific date of issuance. Also, a bond that is being issued at a premium, has its stated rate higher than the market interest rate on the specific date of issuance.

Generally, bond price is inversely proportional to its interest rate, thus, when interest rates are high, bond prices would be low and when interest rates are low, bond prices are high.

The theorem that best explains the relationship between interest rates and bond prices is that for a given change in interest rates, the prices of long-term bonds will change more drastically than the prices of short-term bonds because long-term bondholders are liable to higher rate of interest rate risks than the short-term bondholders.

3 0
4 years ago
Under nasaa rules, each registered investment adviser must establish, implement and maintain a business continuity and successio
vazorg [7]

Under NASAA rules, each registered investment adviser must establish, implement and maintain a business continuity and succession plan that is based on the is based on the <u><em>investment adviser's business model including the size of the firm, types of services provided, and number of business locations.</em></u>

<u><em /></u>

The North American Securities Administrators Association's Business Continuity and Succession Planning Model Rule is available to members. It mandates that every RIA (registered investment adviser) create, test, and keep updated a Business Continuity Plan tailored to the specifics of the registered investment adviser's operations, including the size of the firm, the services offered, and the number of locations. Protection, backup, and recovery of books and records; Alternative means of communicating with customers, key personnel, employees, vendors, service providers, and regulators, including notice to these persons of significant business interruption, cessation of business activities, or death or unavailability of key personnel; Relocation of office in the event of temporary or permanent loss of a principal place of business;

<u><em /></u>

To know more about Registered Investment Adviser refer here: brainly.com/question/17198538

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5 0
2 years ago
You are considering opening a donut restaurant aimed primarily at the breakfast market. You plan to sell donuts, coffee, and oth
stich3 [128]

Answer:

Donuts= 28,571

Explanation:

<u>First, we need to determine the sale proportion of each product:</u>

Other items= 2/5= 0.4

Coffe= 2/5= 0.4

Donut= 1/5= 0.2

<u>Now, we can calculate the break-even point in units for the company as a whole:</u>

Break-even point (units)= Total fixed costs / Weighted average contribution margin

Break-even point (units)= 100,000 / (0.5*0.2 + 0.5*0.4 + 1*0.4)

Break-even point (units)= 100,000 / 0.7

Break-even point (units)= 142,857 units

<u>Now, the number of donuts:</u>

<u />

Donuts= 0.2*142,857

Donuts= 28,571

3 0
3 years ago
Your Uncle Mike is approaching retirement and he asks for your advice for a safe place to invest several thousand dollars. He wa
zmey [24]

Answer:

d. treasury and top-grade corporate bonds pay interest two times each year

Explanation:

Treasury bonds represent the best solution for investing, having in mind the <u>low-risk aspect</u> and the fact that they are <u>issued by the government</u>. Treasury and top-grade corporate bonds always pay <u>semiannual interests</u>.

<em>Junk bonds</em> should not be even considered in risk-free options, as a junk bond is a bond issued by a struggling company, which may happen not to pay any interest sometimes.

<em>Common stock</em> does not necessarily have to pay quarterly dividends, as some companies pay dividends monthly, or even annually. Also, the risk is still lower in treasury bonds, as common stock becomes questionable in the case of company liquidation. If and when that happens, common stockholders gain rights to company assets only after bondholders and preferred shareholders become paid.

The default risk is present in all bonds, including <em>Yankee bonds</em>, which are issued by foreign companies in the USA.

6 0
4 years ago
You are analyzing cost data for your boss related to a special order your company is considering from a large customer in Singap
valkas [14]

Answer:

In surrounding the appropriate response, it is accepted that units are 1000 of the request.  

In this manner complete commitment would be:  

Sales = 49950  

Variable Costs = 10500  

Variable Selling Exp = 18250  

Contribution = 21200  

Since client is demanding to keep commitment at certain level, it wont be advantageous for the organization since organization wont gain same measure of $ 21200 as commitment in such circumstance when it needs to pay $ 5000 extra for the custom discharge despite the fact that selling costs would be eliminated and figures would be this way:  

Sales = 23320  

Variable Costs = 10500  

Variable Selling Exp = 0  

Contribution = 12820  

Part 1: Accounting issues:  

  • This would present bookkeeping dilemma to report deals at not exactly the value charges to different clients  
  • There would be accounted for misfortune if request acknowledged  

Moral issues:  

  • Different clients would feel off-base as we would be caring a lot more significant expense to them  
  • Representatives may likewise be snorted in light of the fact that additional time charges may not make up for the time went through with the family
3 0
3 years ago
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