The American Association of Individual Investors (AAII) On-Line Discount Broker Survey polls members on their experiences with electronic trades handled by discount brokers. As part of the survey, members were asked to rate their satisfaction with the trade price and the speed of execution, as well as provide an overall satisfaction rating. Possible responses (scores) were no opinion (0), unsatisfied (1), somewhat satisfied (2), satisfied (3), and very satisfied (4). For each broker, summary scores were computed by computing a weighted average of the scores provided by each respondent. A portion the survey results follow (AAII website, February 7, 2012).Brokerage Satisfaction with Satisfaction with Execution Overall Trade Price Satisfaction withSpeed of Electronic TradesScottrade, Inc. 3.5 3.2 3.6Charles Schwab 3.2 3.3 3.4Fidelity Brokerage Services 3.1 3.4 3.9TD Ameritrade 2.8 3.6 3.8E*Trade Financial 2.9 3.2 2.9(Not listed) 2.6 3.2 2.7Vanguard Brokerage Services 2.6 3.8 2.8USAA Brokerage Services 2.4 3.8 3.6Thinkorswim 2.6 2.6 2.6Wells Fargo Investments 2.3 2.7 2.3Interactive Brokers 3.7 4.0 4.0Zecco.com 2.5 2.5 2.5Firstrade Securities 3.0 2.9 4.0Banc of America Investment Services 4.0 1.0 2.0(a) Develop an estimated regression equation using trade price and speed of execution to predict overall satisfaction with the broker.Let x1 represent satisfaction with Trade Price.Let x2 represent satisfaction with speed of execution.If required, round your answers to four decimal places. For subtractive or negative numbers use a minus sign even if there is a + sign before the blank. (Example: -300)= _____+_____ x1 +______ x2What is the coefficient of determination?If required, round your answers to four decimal places.________Interpret the coefficient of determination. If required, round your answer to one decimal places.The regression model explains approximately _______ % of the variation in the values of overall satisfaction in the sample.

Answers

Answer 1

(a) The regression model gives the following values: y = -0.8209 + 0.5743x1 + 0.7391x2

R² = 0.6523

What does the regression model explain?

The regression model explains approximately 65.2% of the variation in the sample's overall satisfaction values.

(b) We can infer that β1 = 0 from this. That is, there is a connection between overall satisfaction with electronic commerce and satisfaction with trade pricing.

Hence, we can say that β2 Equals 0. That is, there is a connection between overall contentment with the electronic made and pleasure with the speed of execution.

(c)

(i) β0 is the estimated overall satisfaction with the electronic trade when satisfaction with trade price and speed of execution are both 0.

β1 is the estimated change in overall satisfaction with the electronic trade if satisfied with the speed of execution is held constant and there is a 1-point increase in satisfaction with trade price.

β2 is the estimated change in overall satisfaction with the electronic trade if satisfaction with trade price is held constant and there is a 1-point increase in satisfaction with the speed of execution.

(d) 3.1

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Related Questions

Question 2 (1 point)
Who benefits from a low interest rate? (Select the best answer.)

The investor
The borrower
The lender
The credit card company

Answers

Answer: The borrower

Explanation:

Answer: The borrower

Explanation:

Which of the following are arguments in favor of active stabilization policy by the government? Check all that apply. The Fed can effectively respond to excessive pessimism by expanding the money supply and lowering interest rates. Businesses make investment plans many months in advance. The current tax system acts as an automatic stabilizer. Changes in government purchases and taxation must be passed by both houses of Congress and signed b

Answers

Answer: Fed can effectively respond to excessive pessimism by expanding the money supply and lowering interest rates.

Explanation:

The Active Stabilization policy calls for the Government to actively try to reduce fluctuations in an economy by using monetary and fiscal policy tools.

Arguments for this policy believe that fluctuations in the economy are caused by excessive optimism and pessimism amongst market participants. In cases therefore where there is excessive pessimism, the Government should expand money supply and lower interest rates to spur investment and remove the pessimistic mood of the market.

There are a number of different ethical issues you could discuss with your employees. What topics would serve as a good basis for the beginning of the course?

Answers

Hi
I think you should claim there to be racism and blame someone for being racist to you and that WILL show them that you are responsible and want best for them .
Hope this helped
Jeff

The price of orange juice falls from $2.49 a jug to $1.99 a jug. (1) Explain whether the demand curve for apple juice will shift left, shift right, or if there is only movement along the demand curve for apple juice.

Answers

Answer:

there is only movement along the demand curve for apple juice.

Explanation:

The demand curve shows the graphical relationship between the price of a good or service and the quantity demanded at each point in time. It shows the quantity demanded at each price. There is an inverse relationship between price and quantity demanded,  as the price increases the quantity demanded reduces (but demand itself stays the same) while If the price decreases, quantity demanded increases.

The price of orange juice falls from $2.49 a jug to $1.99 a jug, the demand curve remains the same, but there is only movement along the demand curve for apple juice.

The buyer of an industrial complex wants the broker to place the earnest money in an interest bearing account. The broker does this, clearly identifying all parties who are to receive the interest and the date the earned interest is to be disbursed. With only the verbal consent of the buyer, he places the money in an insured account in a depository in Florida. When the time comes to disburse the account, the broker will write a check to the buyer for the interest as the buyer agreed. Which statement describing this situation applies?

Answers

Answer:

Explanation:

In this situation, the statement that would best apply would be that the broker does not have the right to ever use an interest-bearing account under Florida Real Estate laws. Since Florida Real Estate laws specifically prohibit a broker from placing a clients money in an interest account then the broker in this scenario is breaking the law and can have his real estate license taken away as well as being fined.

On January 1, a company issues bonds dated January 1 with a par value of $360,000. The bonds mature in 5 years. The contract rate is 9%, and interest is paid semiannually on June 30 and December 31. The market rate is 10% and the bonds are sold for $346,096. The journal entry to record the first interest payment using the effective interest method of amortization is:

Answers

Answer:

Debit Interest Expense $17,304.80; credit discount on bonds payable $1,104.8; credit cash $16,200

Interest Expense A/c......................Dr $17,304.80

Discount on bonds payable A/c....Cr $1104.8

To Cash A/c............................Cr $16,200

Explanation:

Given the following :

Bond value = $346,096

Market rate = 10% = 0.1

Contract rate = 9% = 0.09

Par value = $360,000

Note : Semiannual payment = rate / 2

Calculating the cash value and interest expense:

Cash value :

Par value × contract rate

$360,000 × (0.09/2)

$360,000 × 0.045

= $16,200

Interest expense :

Bond value × market rate

$346,096 × (0.1/2)

$346,096 × 0.05

= $17,304.8

Why did Hobbes believe people enter into a social contract?

Answers

The sovereign would create and uphold rules to preserve a peaceful community.

What did Hobbes say about social contract?

The "social contract theory," which justifies political ideas or agreements by referencing the agreement that would be reached amongst appropriately placed rational, free, and equal people, was first developed by Hobbes and is renowned for its early and thorough development.

To ensure a society of peace, the sovereign would enact and uphold laws. This would enable the pursuit of life, liberty, and property. The "social contract" is what Hobbes referred to as. According to Hobbes, the best form a sovereign might have was a monarchical government.

Being a liberal and, in particular, adhering to Hobbes' "self-assumption" principle—that there is "no Obligation on any Man which Aristech not from some Act of his Own"—is one of the reasons why one finds the social contract theory appealing.

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commercial banks hold deposits and

Answers

Anddd??? What?? You just typed and stopped midway lol
? Umm I don’t get it

In a barter system which of the following pairs has a double coincidence of wants?
a. Allen and Eric
b. Diedre and Calvin
c. Both A and B are correct.
d. None of the above are correct.

Answers

A double coincidence of wants occurs in a barter system when two individuals each desire what the other has to offer, creating a mutual exchange of goods or services. The correct answer would is d. none of the above are correct.

Since the specific wants and preferences of the individuals mentioned in options a (Allen and Eric) and b (Diedre and Calvin) are not provided, it is not possible to determine if a double coincidence of wants exists between them. Without this mutual desire for each other's goods or services, there would not be a direct barter exchange. Therefore, option d is the correct answer.

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what are three primary reasons for asking others to review and comment on a presentation

Answers

To make sure they are good

Answer: to review content for accuracy, suggest improvements, or document feedback

Explanation:

i just took it

An executive manager went to an important meeting. The secretary in the office receives a call from a person claiming that the executive manager is about to give an important presentation but the presentation files are corrupted. The caller sternly recommends that the secretary email the presentation right away to a personal email address. The caller also states that the executive is holding the secretary responsible for the success of this presentation. Which type of social engineering tactic would describe this scenario

Answers

Answer:

intimidation

Explanation:

Intimidation is intentional behavior in which the person fear to the other person or injury to the other person. Here the victim is to be considered for taking an actions

Since in the given question it is mentioned that the caller tell that the executive would be held responsible for the  success of the presentation

So the given situation represent the intimidation scenario

The same would be relevant

The firm’s target capital structure should do which of the following? Minimize the cost of debt (rd). Obtain the highest possible bond rating. Minimize the cost of equity (rs). Minimize the weighted average cost of capital (WACC).

Answers

It is necessary to optimize the mix of debt and equity to minimize the WACC in order to maximize the value of the firm.

The firm's target capital structure should minimize the weighted average cost of capital (WACC).The weighted average cost of capital (WACC) is the average cost of funds the firm uses to finance its assets. It takes into account the firm's equity and debt capital and the cost of each. WACC is calculated using the following formula:WACC = (E / V * Re) + (D / V * Rd * (1 - Tc))Where,E = market value of the firm's equityD = market value of the firm's debtV = total market value of the firm's equity and debtRe = cost of equity capitalRd = cost of debt capitalTc = corporate tax rateThe firm's target capital structure should minimize the weighted average cost of capital (WACC). It should be achieved by balancing the firm's cost of debt and cost of equity to achieve the minimum WACC, which maximizes the firm's value.A firm's cost of debt and cost of equity have an inverse relationship with its target capital structure. A firm can raise its cost of equity by increasing the percentage of equity in its capital structure while lowering the percentage of debt, and vice versa. Therefore, it is necessary to optimize the mix of debt and equity to minimize the WACC in order to maximize the value of the firm.

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True or false: the operations manager is involved primarily with supply network design.

Answers

The activities director is very familiar with a few sorts of plan: procedure, design, job design, supply network design, and organizational design.

In supply chain management, what role does the operations manager play?

Supply Chain Management The operations manager is in charge of managing the process of the supply chain by controlling inventory management, the production process, sales, distribution, and locating suppliers who can supply the necessary goods at fair prices.

In terms of operations management, what is network design?

The process of building and modeling a supply chain to better understand the costs and time involved in bringing goods to market with the resources and locations available is known as supply chain network design.

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What will be the nature of balance of trade if imports are of manufactured goods?
A)Neutral

b)Positive

c)Negative

Answers

Answer:

b). Positive

Explanation:

The nature of the balance of trade if imports are of manufactured goods is POSITIVE

Considering that Balance of trade is a term that is used to describe the difference between the imports and exports value of a country over a given period.

Hence, when a country manufactured goods instead of importing them, the balance of trade is believed to be Positive.

On the other hand, when a country imports goods instead of manufacturing them, the balance of trade is believed to be negative.

The accounts receivable turnover is computed by dividing a. Total sales by average net accounts receivable. B. Net credit sales by average net accounts receivable. C. Total,sales by ending net accounts receivable. D. Net credit by ending net accounts receivable.

Answers

The accounts receivable turnover is computed by dividing option (B). net credit sales by average net accounts receivable.

The accounts receivable turnover ratio is a financial metric used to assess the efficiency of a company's credit and collection processes. It measures how quickly a company collects payments from its customers. The formula to calculate the accounts receivable turnover is by dividing net credit sales by the average net accounts receivable.

Net credit sales represent the total sales made on credit during a specific period, excluding cash sales. It reflects the amount of credit extended to customers. Average net accounts receivable, on the other hand, is calculated by taking the average of the beginning and ending net accounts receivable balances over a period.

By dividing net credit sales by average net accounts receivable, the accounts receivable turnover ratio indicates the number of times, on average, that a company collects its outstanding receivables within a given period.

A higher turnover ratio generally indicates that a company is efficient in collecting payments from customers, while a lower ratio suggests potential issues with credit and collection management. This ratio is valuable for assessing the effectiveness of a company's credit policies and evaluating the liquidity of its accounts receivable.

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The accounts receivable turnover is computed by dividing the net credit sales by the average net accounts receivable.

To calculate the accounts receivable turnover, you need two pieces of information: net credit sales and average net accounts receivable.

Net credit sales refer to the sales made on credit, excluding any cash sales. It represents the revenue generated from credit transactions.

Average net accounts receivable is the average amount of money owed to a company by its customers over a specific period. It is calculated by adding the beginning and ending balances of accounts receivable and dividing the sum by two.

Dividing the net credit sales by the average net accounts receivable gives you the accounts receivable turnover ratio. This ratio measures how efficiently a company collects its receivables during a given period. A higher ratio indicates better receivables management.

For example, if a company had net credit sales of $100,000 and an average net accounts receivable of $50,000, the accounts receivable turnover would be 2 ($100,000 / $50,000). This means that, on average, the company collects its receivables twice a year.

Therefore, the correct answer is B. Net credit sales by average net accounts receivable.

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5) Si tuvieras que hacer un presupuesto de Ingresos y uno de Gastos ¿Cuál harías primero y que te sirva de base para hacer el otro? Explica tu respuesta

Answers

Answer:

Si tuviese que hacer un presupuesto de ingresos y uno de gastos, primero haría el de ingresos. Así, podría tener en cuenta la cantidad de dinero que mes a mes ingresa en mi patrimonio y de esta manera organizar mis gastos teniendo en cuenta no gastar mas dinero del que gano mensualmente.

Si, en cambio, organizara mis gastos antes que mis ingresos, me vería limitado posteriormente a realizar algunos gastos dado que no habría contemplado mi liquidez financiera mensual.

What is Anderson hoping to do as a next step and why

Answers

Answer:

To make the game into an app

Explanation:

Interestingly, William Anderson was passionate about what he was doing; this passion led Anderson to think about making his Wealth Effect Game an app.

Why? Because he realized that most people lacked basic financial skills and his goal was to to make an app that would allow teachers throughout the country teach their students financial literacy effectively.

On November 1, 2021, Taylor signed a one-year contract to provide handyman services on an as-needed basis to King Associates, with the contract to start immediately. King agreed to pay Taylor $5,880 for the one-year period. Taylor is confident that King will pay that amount, but payment is not scheduled to occur until 2022. Taylor should recognize revenue in 2021 in the amount of:_________


a. $0.

b. $640.

c. $1,920.

d. $3,840

Answers

We need to consider the revenue recognition principle. Taylor should recognize revenue in 2021 in the amount of $0.

To determine the revenue that Taylor should recognize in 2021, we need to consider the revenue recognition principle. According to the revenue recognition principle, revenue should be recognized when it is earned and when there is reasonable certainty of its collection.

In this scenario, Taylor signed a one-year contract with King Associates on November 1, 2021, to provide handyman services on an as-needed basis. The contract is set to start immediately, but payment is scheduled to occur in 2022. The agreed-upon payment for the one-year period is $5,880.

However, revenue should only be recognized when it is earned and there is reasonable certainty of its collection. In this case, although Taylor is confident that King will pay the agreed-upon amount, the payment is not scheduled to occur until 2022. Therefore, there is no reasonable certainty of collection in 2021.

According to the accrual accounting principle, revenue should be recognized when it is earned, which typically occurs when goods or services are delivered. In this scenario, Taylor has not yet provided any handyman services, as the contract is set to start immediately after signing on November 1, 2021.

Based on these considerations, Taylor should not recognize any revenue in 2021. The correct answer is option a. $0.

It's important to note that revenue recognition may vary depending on the specific circumstances and accounting standards applied. However, in this particular scenario, where the services have not been provided and there is no reasonable certainty of collection in 2021, recognizing revenue in that year would not be appropriate.



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which company is best to invest from NIKE and ADIDAS on the
basis of Gross Profit margin ratio and a current ratio and
inventory turnover ratio of 2021 data

Answers

Without specific data on the financial ratios of Nike and Adidas for 2021, it is not possible to determine which company is the better investment option based on the Gross Profit margin ratio.

The Gross Profit margin ratio, current ratio, and inventory turnover ratio are important financial indicators that provide insights into a company's profitability, liquidity, and inventory management efficiency, respectively.

To make an informed investment decision, it is crucial to compare these ratios between Nike and Adidas for 2021. The Gross Profit margin ratio indicates the profitability of each company, with a higher ratio generally being more favorable. The current ratio reflects the ability to meet short-term obligations, and a higher ratio suggests better liquidity. The inventory turnover ratio measures how efficiently a company manages its inventory, with a higher ratio indicating better inventory management.

By comparing these ratios for Nike and Adidas, investors can assess which company demonstrates stronger financial performance. However, without the specific data for these ratios in 2021, it is not possible to determine which company is the better investment option. Investors should conduct a detailed analysis of the companies' financial statements and consider other relevant factors before making an investment decision.

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This is for my NJROTC class! Pls help!

This is for my NJROTC class! Pls help!

Answers

Answer: Option 1

Explanation:

Answer:

option1

Explanation:

The traditional view of fixed rate systems was that Group of answer choices they improved inflation but were worse for growth. they improved stability but were worse for inflation. they improved growth but worsened inflation. they improved inflation but worsened stability.

Answers

The traditional view of fixed rate systems was that they improved stability but were worse for inflation. This view stems from the belief that fixed exchange rates help to anchor expectations and reduce uncertainty in the economy, leading to greater stability in the exchange rate and in the broader economy.

However, fixed exchange rates can also limit a country's ability to respond to changes in economic conditions, potentially exacerbating inflationary pressures.

The belief that fixed exchange rates are worse for inflation is based on the idea that by tying the value of a currency to another currency or commodity, a country may be unable to adjust its exchange rate to reflect changes in inflation. This can lead to higher inflation, as the country is unable to devalue its currency in response to inflationary pressures.

On the other hand, fixed exchange rates can have a positive impact on growth. By reducing uncertainty and improving stability, fixed exchange rates can create a more favorable environment for investment and economic activity. This, in turn, can lead to higher growth.

Overall, the traditional view of fixed exchange rates suggests that they are a mixed blessing, improving stability and growth but potentially worsening inflation. As with any economic policy, the benefits and drawbacks of fixed exchange rates will depend on a range of factors, including a country's specific economic circumstances and policy goals.

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A+company+has+$100,000+in+assets,+1000+shares+outstanding+and+no+debt.+if+ebit+is+$20,000,+the+interest+rate+on+debt+is+10%+and+its+tax+rate+is+40%,+what+is+its+eps?

Answers

The EPS (Earnings per Share) of the A+ company is $16.

How can we calculate the EPS of a company?

To calculate the EPS, we need to use the formula:

EPS = (EBIT - Interest Expense) x (1 - Tax Rate) / Number of Shares Outstanding

Given information:

- Assets = $100,000

- Shares Outstanding = 1000

- Debt = $0

- EBIT = $20,000

- Interest Rate on Debt = 10%

- Tax Rate = 40%

Since the A+ company has no debt, the interest expense is $0. Therefore, the formula simplifies to:

EPS = EBIT x (1 - Tax Rate) / Number of Shares Outstanding

Substituting the given values into the formula:

EPS = $20,000 x (1 - 0.40) / 1000

   = $20,000 x 0.60 / 1000

   = $12 / 1000

   = $0.012

To convert EPS to dollars, we multiply it by the nominal value of each share, which is $100. Therefore:

EPS = $0.012 x $100

   = $1.20

Therefore, the EPS of the A+ company is $1.20 per share.

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A bank has stock shares of $100,000, property assets of $90,000, and cash of $10,000. If households and businesses decide to deposit $50,000 in the bank as checkable deposits, the balance sheet will be ______.

Answers

The answer is stock shares = $100,000, property assets = $90,000,       cash = $60,000, and loans & advences = $50,000

Given,

stock shares = $100,000,

property assets = $90,000,

and cash = $10,000.

households and businesses decide to deposit $50,000 in the bank as checkable deposits.

The balance sheet is a statement of the assets, liabilities, and capital of a business or other organization at a particular point in time.

It also details the balance of income and expenditure over the preceding period.

Therefore when households and businesses decide to deposit $50,000 in the bank as checkable deposits, it will be shown in balance sheet as:

Cash = Previous balance + checkable deposits

         = 10,000 + 50,000

         = $60,000

Loans & advances : checkable deposits = $50,000

Hence, the balance sheet will be stock shares = $100,000, property assets = $90,000, cash = $60,000, and loans & advences = $50,000.

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Select all that apply.

______ are examples of personal values.
A. Recognition
B. Relationships
C. Enthusiasm
D. Courage

Answers

The answer is :
B,c&d

Answer:

Relationships

Enthusiasm

Courage


Pls help will mark brainleist

Pls help will mark brainleist

Answers

Answer:

D Values

Explanation:

It’s The last one “Values”

The ____ phase in the business cycle is a period when the level of business activity declines and gdp falls.

Answers

The trough phase in the business cycle is a period when the level of business activity declines and gdp falls.

Trough

The trough is the fourth phase of the business cycle. The declining GDP begins to decrease its rate of negative change, eventually turning positive again. The economy begins a transition from the contraction phase to the expansion phase.

Therefore, the phase in the business cycle wherein the level of business activity declines and GDP falls is trough.

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Should the company purchase a forward or future to expand to Malaysia or Germany? Which one is more beneficial for the home country (U.S.) of the company?

Answers

A future contract is more beneficial for the home country (U.S.) of the company as compared to a forward contract because a future contract is traded on an exchange and is standardized. This means that the company can easily buy and sell the contract on the exchange.

The decision to purchase a forward or future contract to expand to Malaysia or Germany depends on various factors, including the company's specific circumstances, objectives, and the nature of the expansion. Let's consider the potential benefits and implications for the home country (U.S.) in each case:

Forward Contract for Expansion to Malaysia:

If the company chooses to purchase a forward contract to expand to Malaysia, it means they would be locking in a future exchange rate between the U.S. dollar (USD) and the Malaysian Ringgit (MYR). This would protect the company from potential currency fluctuations during the expansion phase.

Benefits for the U.S.:

Stability: By hedging against currency risk, the company can ensure more stable financial planning and budgeting for the expansion project.

Reduced Exposure: The company's exposure to fluctuations in the MYR's value would be minimized, reducing potential financial risks.

Favorable Impact: If the MYR depreciates against the USD, the company could potentially benefit from a more favorable exchange rate, enhancing profitability.

Future Contract for Expansion to Germany:

If the company chooses to purchase a future contract to expand to Germany, they would be entering into an agreement to buy or sell a specified amount of a currency (e.g., EUR) at a predetermined price and future date.

Benefits for the U.S.:

Exchange Rate Certainty: By using a future contract, the company can lock in the exchange rate between the USD and the Euro (EUR), providing certainty in the currency exchange for the expansion project.

Risk Mitigation: The company can hedge against potential currency fluctuations, reducing the risk of adverse exchange rate movements affecting project costs or revenues.

Financial Planning: With a known exchange rate, the company can better plan and budget for the expansion, ensuring smoother operations and financial management.

Determining which option (Malaysia or Germany) is more beneficial for the U.S. would require considering additional factors such as market potential, regulatory environment, economic stability, competition, and strategic alignment with the company's goals.

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One to two sentences, explain what happens to a production possibilities curve if a natural disaster creates a scarcity of a key resource needed to make a product. Explain why this happens.

Answers

A natural disaster causing a scarcity of a key resource necessary for production will result in a shift inward or to the left of the production possibilities curve.

This occurs because the reduced availability of the key resource limits the economy's ability to produce the affected product, leading to a decrease in overall production capacity.

As a result, the economy's production possibilities are constrained, and it is forced to operate at a suboptimal level.

The scarcity of the key resource disrupts the balance between the production of different goods, leading to a decrease in potential output.

The economy will need to allocate its limited resources and adjust its production mix accordingly, potentially focusing on alternative products or finding substitutes for the scarce resource in order to maximize production under the new constraints imposed by natural disaster-induced scarcity.

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Lower price for substitute products/services will
A. Increase Demand
B. Supply/Demand Equilibrium
C. Decrease Demand

Answers

I’m pretty sure the answer is A

The foundation of a marketing plan.

Answers

Answer:

Every marketing plan should include a clear explanation of the market segmentation, target market focus, and a market forecast. To develop an effective plan based on your customers' needs and nature.

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Find the first five terms of the sequence a(n)=3n-1 T/F. To construct a confidence interval for sigma (or sigma squared), the population from which the sample was drawn must be normally distributed. The volume of a sphere is increasing at the rate of 8cm3/s. Find the rate at which its surface area is increasing when the radius of the sphere is 12cm. in pea plants, the allele for purple flowers, p, is dominant over the allele for white flowers, p. which conclusion about phenotype and genotype is possible?(1 point) responses A. if a plant has white flowers, then its genotype must be pp. B. if a plant has white flowers, then its genotype must be , pp, . C. if a plant has white flowers, then its genotype must be pp. D. if a plant has white flowers, then its genotype must be , pp, . E. if a plant has purple flowers, then its genotype must be pp. F. if a plant has purple flowers, then its genotype must be , pp, . G. if a plant has purple flowers, then its genotype must be pp. Nichols Enterprises has an investment in 34,500 bonds of Elliott Electronics that Nichols accounts for as a security available for sale. Elliott bonds are publicly traded, and The Wall Street Journal quotes a price for those bonds of $14 per bond, but Nichols believes the market has not appreciated the full value of the Elliott bonds and that a more accurate price is $22 per bond. Nichols should carry the Elliott investment on its balance sheet at:Multiple ChoiceA.$759,000.B.Either $483,000 or $759,000, as either are defensible valuations. C.$483,000. D.$621,000, the midpoint of Nichols' range of reasonably likely valuations of Elliott. Temperature is a measure of how hot or cold something is. Agree because temperature is the measure of hotness or coldness expressed in terms of any of several skills, including Fahrenheit and Celsius. How could you revise statement to be more complete or correct? List all the disadvantages of fort watchtower (4) Practice: Using Visual Cues use the atomic spectroscopy interactive to answer the question. identify the wavelengths (in nanometers) of the absorption features in the sun's spectrum. list them from shortest to longest.Wavelength 1 : ____Wavelength 2 : ____Wavelength 3 : ____Wavelength 4 : ____Wavelength 5 : ____Wavelength 6 : ____ Which of the following metamorphic rocks could have a parent rock (protolith) of shale? Slate, Phyllite, Gneiss, Schist In Freuds theory which of the following is the center of conscious awareness in the personality that gives the individual the cognitive powers of judgment, memory, perception, and decision making?a. Idb. Superegoc. Libidod. Ego The field of _____ involves the reconstruction and study of evolutionary relationships among organisms, whereas _____ uses that information to place organisms into taxonomic When sulfur dioxide is emitted into the air it is transported over long distances and is converted to sulfuric acid. This gradually falls to the ground, either as ratio or snow simply by settling out of the air. This is called acid deposition. In what way can acid deposition be consider a rival bad? The Nut House sells pecans worth $4 per pound and cashews worth $8 per pound. How many pounds of pecans and how many pounds of cashews must bemixed to form 16 lb of a nut mixture worth $6.50 per pound? Assuming that the company has retained earnings of $88500, all of which is to be paid out in dividends, and that preferred dividends were not paid during the 2 years preceding the current year, state how much each class of stock should receive under each of the following conditions.(a) The preferred stock is noncumulative and nonparticipating. (Round answers to 0 decimal places, e.g. $38,487.)I already have the answer for this Preferred : 13596 Common : 86404(b) The preferred stock is cumulative and nonparticipating. (Round answers to 0 decimal places, e.g. $38,487.)(c) The preferred stock is cumulative and participating. (Round the rate of participation to 4 decimal places, e.g.1.4278%. Round answers to 0 decimal places, e.g. $38,487.) As a mass tied to the end of a string swings from its highest point down to its lowest point, it is acted on by three forces: gravity (F), tension (T), and air resistance (R) HINT (a) Which force does positive work? O Fg O T O R (b) Which force does negative work? O Fg O T O R (c) Which force does zero work? O Fg O T O R you need 4 tb of fast storage for a server but your budget is limited. the storage will be accessed continually 365 days/year. which of the following options should you select that is not the least expensive nor the most expensive option but still provides good performance? group of answer choices a. 4 tb sas ssd b. 2 tb sata hdds c. 4 tb hybrid drive d. 4 tb sata hdd The Kingston County Basketball Conference (KCBC) is an amateur basketball association. Each city in the county has one team that represents it. Each team has a maximum of twelve players and a minimum of nine players. Each team also has up to three coaches (offensive, defensive, and PT coaches.) Each team plays two games (home and visitor) against each of the other teams during the season.a. Draw the ER diagram.b. Create a relational model based on the ER diagram. the consumer price index for any period is a measure of the cost in that period of a standard basket of goods and services relative to the cost of The geologist who suggested that natural processes are slow and steady and that the Earth is much older than 6,000 years wasCharles Darwin.Charles Lyell.Alfred Russel Wallace.Jean Lamarck.Georges Buffon.