Farmers in LDCs choose to grow drug crops for export primarily because of

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Answer 1

Farmers in less developed countries (LDCs) may choose to grow drug crops, such as opium poppies, coca plants, or cannabis, for export primarily because of economic reasons.

Drug crops can often generate higher profits for farmers compared to traditional crops, such as food crops or cash crops like cotton or coffee. The demand for illicit drugs in developed countries like the United States and Europe is often high, and the prices that farmers can fetch for drug crops are often much higher than those for legal crops.

In addition, farmers in LDCs may face limited opportunities to sell their goods on global markets due to competition from cheaper producers in other countries. By growing drug crops, farmers can tap into a lucrative market that is not subject to the same competitive pressures as legal crop markets.

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Related Questions

which of the following best describes enterprise resource planning (erp) systems?answerunselectedapplications that are legacy systems within an organizationunselectedapplications that integrate business activities across functional departmentsunselectedapplications that are used only to maintain the general ledger within an organizationunselectedapplications that are used for retaining standalone systems within an organization

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Enterprise resource planning (ERP) systems are applications that integrate business activities across functional departments.

ERP systems are software applications that allow organizations to manage and integrate their core business processes across multiple departments, including finance, human resources, inventory and supply chain management, and customer relationship management. These systems provide a centralized and unified view of the organization's data, enabling real-time access to information and facilitating collaboration and decision-making across different departments.

ERP systems are designed to streamline and automate business processes, reduce costs, and improve efficiency and productivity. They typically include a range of modules or applications that support different business functions, such as financial management, procurement, inventory control, production planning, and sales and marketing.

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What is the purpose of developmental feedback?to plan for the employee's future opportunities inside the organizationto motivate employees to perform at a higher levelto compare individuals' performance with once another

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The primary purpose of developmental feedback is to provide employees with guidance and support to help them develop their skills, abilities, and knowledge. The answer is A) To plan for the employee's future opportunities inside the organization.

This type of feedback is typically focused on helping employees to improve their performance and reach their full potential within the organization.

Developmental feedback may involve providing specific suggestions for improvement, setting goals and objectives for the employee to work towards, or offering training or development opportunities to help the employee acquire new skills. By providing this type of feedback, managers can help employees to grow and develop within the organization, which can ultimately benefit both the employee and the organization as a whole.

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Complete Question

What is the primary purpose of developmental feedback in performance management?

A) To plan for the employee's future opportunities inside the organization

B) To motivate employees to perform at a higher level

C) To compare individuals' performance with one another

D) To provide guidance and support for the employee's professional development

Question 11 (1 point) A development bank adopts a policy to assist rural borrowers by offering a low- interest source of funds to informal money-lenders. If the informal credit market is characterized by monopolistic competition with relatively low barriers to entry by lenders, the predicted impact on the interest rates faced by borrowers is ambiguous because the lenders' average fixed cost could fall by more than their marginal costs rises. negative because the lenders' marginal cost must fall while their average fixed cost remains unchanged. ambiguous because the lenders' average fixed cost could rise by more than their marginal cost falls. positive because the lenders' marginal costs must rise while their average fixed cost remains unchanged.

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The impact of the policy on the interest rates faced by borrowers is ambiguous and depends on how the money-lenders respond to the development bank's low-interest source of funds.

The adoption of a policy by a development bank to assist rural borrowers by offering a low-interest source of funds to informal money-lenders in a monopolistically competitive market can have an ambiguous impact on the interest rates faced by borrowers.

In a monopolistically competitive market, there are relatively low barriers to entry by lenders, which implies that informal money-lenders can enter and exit the market easily. This also means that the market is characterized by some degree of market power, where lenders can set their own prices.

The policy of the development bank will reduce the cost of funds for the money-lenders, which could lead to a reduction in the interest rates charged to borrowers. However, the impact on the interest rates faced by borrowers depends on how the money-lenders respond to the policy.

One possible response is that the money-lenders could reduce their interest rates to stay competitive with the development bank's low-interest source of funds. This would be beneficial to the borrowers as they would pay lower interest rates.

Another possible response is that the money-lenders could use the low-interest source of funds to expand their lending operations, leading to an increase in the demand for loans. This could lead to an increase in the interest rates charged to borrowers due to the increase in demand.

Additionally, the policy could lead to a reduction in the average fixed costs of the money-lenders as they can now access low-interest funds, which could lead to a reduction in the interest rates charged to borrowers.

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what is the purpose of a bond discount?it increases the periodic cash interest payments paid to those who purchased the bond.it raises the bond interest rate to the market interest rate at the time the bond was issued.it decreases the bond interest rate to the market interest rate at the time the bond was issued.it decreases the periodic cash interest payments paid to those who purchased the bond.

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Hi! The purpose of a bond discount is to align the bond's interest rate with the prevailing market interest rate at the time the bond is issued. By selling the bond at a discount, it effectively raises the bond's interest rate to match the market interest rate. This makes the bond more attractive to potential investors, as they receive a higher return on their investment compared to purchasing a bond with a lower interest rate. Additionally, the bond discount indirectly increases the periodic cash interest payments paid to those who purchased the bond, as they receive more interest income for the lower initial purchase price. Overall, bond discounts serve to maintain a bond's competitiveness in the market and ensure that it can be successfully sold to investors.

The main purpose of a bond discount is to align the bond's interest rate with the market interest rate at the time of issuance.


A bond discount occurs when a bond is issued at a lower price than its face value, which effectively raises the bond's interest rate to the market interest rate at the time of issuance.

This adjustment ensures that the bond is attractive to investors, as the increased interest rate compensates for the lower initial price.

The bond discount does not directly impact the periodic cash interest payments but rather adjusts the bond's yield to be competitive in the market.

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asey has an amortized loan payment of $400, and the interest they owe for that month is $50. by how much does casey pay down the principal?

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To understand how much Casey pays down the principal on their amortized loan payment of $400, we first need to define what an amortized loan is. An amortized loan is a loan that is repaid in regular payments that include both principal and interest.

These payments are designed to pay off the loan over a set period of time, with each payment reducing the principal balance. In Casey's case, their monthly payment of $400 includes both principal and interest. However, we know that $50 of that payment goes towards interest. Therefore, the remaining $350 must go towards paying down the principal.
To calculate the exact amount that Casey pays down the principal, we would need to know the specific terms of their loan, including the interest rate and the length of the loan. However, we can make some general assumptions based on common loan terms.
For example, let's say that Casey has a 30-year mortgage with a fixed interest rate of 4%. Using an online mortgage calculator, we can estimate that their monthly payment of $400 would pay down the principal by approximately $90.57. This means that Casey's remaining principal balance after their $400 payment would be reduced from $100,000 to $99,909.43.
It's important to note that the exact amount that Casey pays down the principal will depend on the specific terms of their loan. However, we can generally assume that a portion of their monthly payment goes towards paying down the principal, while the rest goes towards paying off the interest.

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describe the criteria for evaluating bad-news messages in terms of controllability, likelihood and severity.

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When evaluating bad-news messages, it is important to consider three key criteria: controllability, likelihood, and severity.

Controllability refers to the level of control that the sender has over the situation that led to the bad news. If the sender has a high degree of control, they may be able to offer solutions or alternatives to mitigate the impact of the bad news. If the sender has little control, they may need to focus on empathy and expressing regret.
Likelihood refers to the probability that the bad news will actually occur. If the likelihood is low, the sender may be able to offer reassurance or alternative options. If the likelihood is high, the sender may need to focus on preparing the recipient for the worst-case scenario.
Severity refers to the impact that the bad news will have on the recipient. If the impact is minimal, the sender may be able to offer apologies and reassurance. If the impact is significant, the sender may need to offer practical solutions or resources to help the recipient deal with the fallout.
When evaluating bad-news messages, it is important to take all three of these criteria into account. By doing so, the sender can craft a message that is sensitive, empathetic, and offers practical solutions or resources where possible.

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Customer service revolves around two methods of customer interaction. What are they?

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The two methods of customer interaction that customer service revolves around are reactive and proactive customer service.

Reactive customer service involves addressing customer concerns and issues that arise, typically after a customer has already made a purchase or experienced a problem. This type of customer service involves listening to customer complaints, answering their questions, and resolving any issues they may have. Reactive customer service is essential to ensure that customers remain satisfied and feel heard.

On the other hand, proactive customer service involves anticipating customer needs and providing solutions before they even ask for them. This type of customer service involves going above and beyond to exceed customer expectations and create a positive customer experience. Proactive customer service can include providing personalized recommendations, anticipating customer problems, and offering solutions before a customer even realizes they need them.

Both reactive and proactive customer service are essential for creating a positive customer experience and building customer loyalty. While reactive customer service helps to address any issues that may arise, proactive customer service takes things a step further by anticipating customer needs and providing exceptional service. By combining these two methods, companies can ensure that they are providing the best possible customer service to their customers.

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you are comparing the life expectancies of two populations. population a has high income inequality, while population b has low income inequality. what would you expect to find? group of answer choices life expectancy would be greater for population b. life expectancy would be greater for population a. life expectancy would be the same for both population a and population b. there is no relationship between income inequality and life expectancy.

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When comparing the life expectancies of two populations, Population A with high income inequality and Population B with low income inequality, it is expected that life expectancy would be greater for Population B.

This is because low income inequality often results in a more equitable distribution of resources, better access to healthcare, and overall improved living conditions.

In contrast, high income inequality in Population A may lead to disparities in healthcare access, higher levels of stress, and increased prevalence of diseases among the economically disadvantaged.

Therefore, it is likely that life expectancy would be higher in Population B due to the more equal distribution of resources and opportunities, leading to better health outcomes for its members.

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TC = 225 + 32Q + 2Q2 What is the average variable cost when 12units are produced? Enter as a value.

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the average variable cost when 12 units are produced is $55.75.

To find the average variable cost (AVC) when 12 units are produced, we first need to find the total variable cost (TVC) at that level of production.

The TVC is equal to the total cost (TC) minus the total fixed cost (TFC). However, since the fixed cost is not given in the problem, we can't directly calculate the TVC

Instead, we can use the fact that the average fixed cost (AFC) is equal to TFC divided by the quantity produced. Mathematically, we have:

AFC = TFC/Q

Rearranging this equation, we can solve for TFC:

TFC = AFC * Q

Substituting the given information, we have:

TC = 225 + 32Q + 2[tex]Q^2[/tex]

TFC = AFC * Q

We know that the fixed cost is the same regardless of the level of production, so we can use the fact that the average fixed cost is $5 when 10 units are produced to find the value of AFC:

AFC = TFC/Q = $5

Substituting this into the equation for TFC, we get:

TFC = $5 * 12 = $60

Now we can find the TVC at 12 units of production:

TVC = TC - TFC = (225 + 32Q + [tex]2Q^2[/tex]) - $60

At Q = 12, this gives

TVC = (225 + 32(12) + 2([tex]12^2[/tex])) - $60 = $66

Finally, we can find the AVC at 12 units of production by dividing the TVC by the quantity produced:

AVC = TVC/Q = $669/12 = $55.75

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Assume that Q-Tell Incorporated is in the communications industry, which has an average receivables turnover ratio of 16 times. If the Q-Tell'sreceivables turnover is less than that of the industry, Q-Tell'saverage receivables collection period is most likely: A.20 days. B.12 days. C.25 days.

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Since Q-Tell's receivables collection period is longer than the industry average, the closest answer among the given options is: 25 days. The correct option is C

First, let's clarify the terms involved. The receivables turnover ratio is an accounting measure that shows how efficiently a company is collecting its accounts receivable, which are amounts owed by customers for goods or services provided.

The average receivables collection period is the number of days it takes for a company to collect its accounts receivable, and it can be calculated by dividing 365 by the receivables turnover ratio.

In this case, the communications industry has an average receivables turnover ratio of 16 times. Since Q-Tell's receivables turnover is less than the industry average, it means they are less efficient in collecting accounts receivable. Consequently, their average receivables collection period will be longer than the industry average.

To find the industry average receivables collection period, we'll use the formula:

Industry average receivables collection period = 365 / Receivables turnover ratio

= 365 / 16 ≈ 22.81 days

In conclusion, Q-Tell Incorporated's average receivables collection period is most likely 25 days, given its receivables turnover ratio is less than the industry average of 16 times.

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Complete question:

Assume that Q-Tell Incorporated is in the communications industry, which has an average receivables turnover ratio of 16 times. If the Q-Tell's receivables turnover is less than that of the industry, Q-Tell's average receivables collection period is most likely:

A. 20 days.

B. 12 days.

C. 25 days.

________ is the generation of a perceived benefit for an individual or a group, as defined by that individual or group. The CSR advantage The shareholder advantage The stakeholder advantage Value creation

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Competitive advantage is the generation of a perceived benefit for an individual or a group, stakeholders as defined by that individual or group.The CSR advantage the shareholder advantage Value creation.

Stakeholder is the most inclusive term for the people, groups, and organisations who have a stake in an organization's success. Stakeholders are those who have an interest in a business and have the power to affect or be impacted by it. The principal stakeholders in a typical corporation are its investors, employees, clients, and suppliers.

Any people or organisations that are interested in the success of a firm are considered stakeholders. Organisations must establish solid relationships with all stakeholders since doing so will affect how honestly they can meet their demands. That competitive advantage can be measured by accounting profit, shareholder value, or economic value is a true statement about competitive advantage. A company's competitive advantage is a special characteristic or ability that sets it apart from its rivals. The company can succeed better in the market it is in thanks to this competitive edge.

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Early tests of the CAPM involvedA. establishing sample data.B. estimating the security characteristic line.C. estimating the security market line.D. All of the optionsE. None of the options

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The correct answer to your question is option D, which states that early tests of the CAPM involved establishing sample data, estimating the security characteristic line, and estimating the security market line.

Early tests of the Capital Asset Pricing Model (CAPM) involved:

A. Establishing sample data: Researchers needed to collect historical data on stock returns, risk-free rates, and market returns to conduct their tests. This data formed the basis for further analysis.

B. Estimating the Security Characteristic Line (SCL): The SCL is a linear regression that measures the relationship between a security's excess return and the market's excess return. Estimating the SCL allowed researchers to quantify the sensitivity of a security's return to market movements, also known as its beta.

C. Estimating the Security Market Line (SML): The SML is a graphical representation of the CAPM, which illustrates the relationship between a security's expected return and its beta. Researchers estimated the SML using the results obtained from the SCL analysis and the risk-free rate.

D. All of the options: Early tests of the CAPM involved all these steps – establishing sample data, estimating the Security Characteristic Line, and estimating the Security Market Line.

To summarize, the early tests of the CAPM involved establishing sample data, estimating the Security Characteristic Line, and estimating the Security Market Line. All of these options were essential for testing the validity of the CAPM in explaining the relationship between a security risk and its expected return.

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When the Clorox company purchased the right to manufacture and sell products under the Brita name in the United States, Clorox entered into a ________ with Brita GmbH. joint venture wholly owned operation business deal license exporting deal

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Clorox entered into a license agreement type agreement with Brita GmbH when purchasing the right to manufacture and sell products under the Brita name in the United States. Here option D is the correct answer.

Clorox entered into a license agreement with Brita GmbH when purchasing the right to manufacture and sell products under the Brita name in the United States. A license agreement is a legal contract between two parties, where the licensor (Brita GmbH) grants permission to the licensee (Clorox) to use the licensor's intellectual property, such as trademarks, patents, or trade secrets.

In this case, the license agreement allows Clorox to use the Brita trademark to sell water filtration products in the United States. As part of the agreement, Clorox must adhere to certain quality standards and pay a royalty fee to Brita for each product sold.

This type of agreement is common in the consumer goods industry when a company wants to expand its product offerings or enter a new market without investing in the research and development of a new product. It allows the licensee to leverage the reputation and brand recognition of the licensor to sell their products.

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Complete question:

In what type of agreement did Clorox enter with Brita GmbH when purchasing the right to manufacture and sell products under the Brita name in the United States?

a) Joint venture

b) Wholly owned operation

c) Business deal

d) License Agreement

e) Exporting deal

Subjective measures of performance that require judgment on the part of the evaluator are more difficult to determine than are objective measures.TrueFalse

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Subjective measures of performance, such as ratings of interpersonal skills or leadership abilities, are often more difficult to determine than objective measures, such as sales figures or number of units produced. Given statement is True.

This is because subjective measures rely on the evaluator's judgment and interpretation of the employee's behavior, which can be influenced by factors such as personal biases, expectations, and perceptions.

In contrast, objective measures are typically more straightforward and easier to quantify, as they are based on concrete and measurable outcomes. However, it is important to note that objective measures may not always provide a complete or accurate picture of an employee's performance, and it may be necessary to use subjective measures to supplement or complement the information provided by objective measures.

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How could a company have positive EBITDA and still go bankrupt?

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A company could have positive EBITDA and still go bankrupt if it has high levels of debt, interest payments, or other financial obligations that it cannot meet.


EBITDA stands for "Earnings Before Interest, Taxes, Depreciation, and Amortization." It is a measure of a company's financial performance that shows its operating income before subtracting non-operating expenses. Positive EBITDA means that a company's revenue is greater than its operating expenses. However, it does not take into account other financial obligations that a company may have, such as interest payments on loans, taxes, or payments for leases or equipment. If a company has a high level of debt or other financial obligations that it cannot meet, it may still be unable to pay its bills and go bankrupt, despite having positive EBITDA. In other words, EBITDA is an important metric to assess the company's profitability but it doesn't reflect the liquidity position of the company.

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suppose the government of a small nation has provided the following data: adult population 698,000 full-time workers 369,940 part-time workers 21,638 unemployed workers actively looking for work 36,703 unemployed workers who have become discouraged 7,678 part-time workers under 16 4,886 unemployed workers under 16 actively looking for work 2,094 instructions: round your answers 2 decimal places. what is the unemployment rate? percent

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The unemployment rate is 8.57%.  calculate the unemployment rate, we need to determine the number of unemployed workers actively looking for work and the labor force.

The labor force consists of the adult population who are either employed or actively seeking employment. In this case:

Adult population = 698,000
Full-time workers = 369,940
Part-time workers = 21,638
Unemployed workers actively looking for work = 36,703

[tex]Total labor force = Full-time workers + Part-time workers + Unemployed[/tex]workers actively looking for work
Total labor force = 369,940 + 21,638 + 36,703 = 428,281

Now, we can calculate the unemployment rate:

[tex]Unemployment rate = (Unemployed workers actively looking for work / Total labor force) x 100[/tex]
Unemployment rate = (36,703 / 428,281) x 100 = 8.57%

Therefore, the unemployment rate is 8.57%.

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which is best for a pricing strategy for fine chocolate, target-market price sensitivity or company profitability

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When considering a pricing strategy for fine chocolate, it is important to weigh the benefits of targeting the market's price sensitivity versus prioritizing company profitability.

If you opt to target market price sensitivity, you are catering to the demand of your customers by offering a price that is affordable and competitive within the industry. This can lead to higher sales volumes and potentially attract more customers. However, it could also result in lower profit margins as you may need to lower prices to remain competitive.

On the other hand, prioritizing company profitability means setting a higher price point that maximizes profit margins for the business. This may result in lower sales volumes, but each sale would generate a higher profit. This strategy may appeal to businesses who have a unique product or service, or those who have established themselves as a premium brand in the market.

Ultimately, the best pricing strategy for your fine chocolate will depend on your specific business goals and the needs of your target market. It may be beneficial to conduct market research and analyze the competition to determine the most effective pricing strategy for your business.

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In which design phase of the SDLC are logical specifications of the system from logical design transformed into technology-specific details from which all programming and system construction can be accomplished?A) Logical designB) Physical designC) Conceptual designD) High level design

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During the physical design phase of the Systems Development Life Cycle (SDLC), the logical specifications of the system from the logical design phase are transformed into technology-specific details. The correct answer is B.

This phase focuses on the technical aspects of the system and involves making decisions about hardware, software, network infrastructure, database design, and other technology-related considerations.  The goal is to create a blueprint that can be used for programming and system construction, providing the necessary technical specifications and guidelines for implementation.

Thus, the ideal selection is option B.

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Kopper Ltd owns five large poultry farms in Parramatta. The City of Parramatta Council has taken legal action against the pollution in the Parramatta River, especially the pollution from chicken farms. The local council has sued Kopper Ltd for water pollution and is claiming that Kopper will have to pay fines. Kopper's lawyers have advised them that it is very likely that they will lose the case and have to pay damages. However, the lawyers are not able to estimate the amount ordered by the court. Required: Should Kopper Ltd recognize a liability for this event? Justify your answer by reference to the definition and recognition criteria as per the Conceptual Framework.

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Yes, Kopper Ltd should recognize a liability for this event. According to the Conceptual Framework, a liability is a present obligation arising from past events, the settlement of which is expected to result in an outflow of resources.

In this case, Kopper Ltd has a present obligation to pay fines for the water pollution caused by their chicken farms. This obligation has arisen from past events (the pollution in the Parramatta River), and the settlement of this obligation is expected to result in an outflow of resources (payment of fines).

Furthermore, the recognition criteria for a liability state that it should be probable that an outflow of resources will be required to settle the obligation, and the amount of the obligation can be reliably estimated. In this case, Kopper Ltd's lawyers have advised them that it is very likely that they will lose the case and have to pay damages. This satisfies the probability criterion. Additionally, although the lawyers are not able to estimate the amount ordered by the court, Kopper Ltd should still recognize the liability as the amount can be reliably estimated within a reasonable range. Therefore, Kopper Ltd should recognize a liability for this event in their financial statements.

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In business writing, neglecting to quote and document material written by people outside the organization is

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It is true that in professional writing it is and should always be a best practice to avoid quoting and documenting material written by people outside the organization. Here option B is the correct answer.

Neglecting to quote and document material written by people outside the organization in business writing is considered unethical and can lead to plagiarism. Plagiarism is the act of using someone else's work or ideas without giving proper credit or citation, and it can result in serious consequences for individuals and organizations.

In business writing, it is essential to give proper attribution to the sources of information and ideas used in the text. Failure to do so can lead to legal and ethical issues, such as copyright infringement and academic misconduct. Additionally, properly citing sources adds credibility to the work and demonstrates the author's knowledge and expertise in the field.

Therefore, it is essential for businesses and individuals to understand the importance of quoting and documenting material written by people outside the organization in business writing. Doing so ensures that the work is ethical, credible, and free from plagiarism.

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Complete question:

Which of the following is true about neglecting to quote and document material written by people outside the organization in business writing?

A) It is acceptable and common practice

B) It is a best practice and should always be done

C) It is not necessary for business writing

D) It is unethical and can lead to plagiarism

If you strongly believed that the Federal Reserve was going to surprise the markets and increase interest​ rates, you would want to _______ bonds.

Answers

If you strongly believed that the Federal Reserve was going to surprise the markets and increase interest rates, you would want to sell bonds.

In general, bond prices and interest rates have an inverse relationship. When interest rates rise, the prices of existing bonds fall, and when interest rates fall, the prices of existing bonds rise. This is because when interest rates rise, new bonds will be issued with higher coupon rates, making the older bonds with lower coupon rates less attractive to investors.

If an investor believes that the Federal Reserve is going to increase interest rates, they may expect the prices of existing bonds to fall. To avoid losses, they may decide to sell their bonds before the interest rate hike takes effect. This would involve selling the bonds on the secondary market, where the price of the bond will reflect the current interest rate environment.

Selling bonds before an interest rate hike can be a risky strategy, as it relies on accurately predicting the actions of the Federal Reserve and the reaction of the markets. If the interest rate hike does not materialize or is less severe than expected, the investor may miss out on potential gains if they have sold their bonds prematurely.

Investors who are concerned about interest rate risk may also consider investing in bonds with shorter maturities or in bond funds that employ strategies to mitigate the impact of rising interest rates, such as investing in floating-rate bonds or using interest rate hedging techniques.

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Name the the three forces UNCTAD identified as driving transnational market growth in the 1990s?

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UNCTAD, the United Nations Conference on Trade and Development, identified three forces that were driving transnational market growth in the 1990s. These three forces were globalization, liberalization, and technological innovation.



Globalization refers to the interconnectedness and interdependence of economies around the world. It allows companies to expand their reach beyond their domestic market and tap into new markets around the world. Liberalization refers to the removal of barriers to trade and investment, such as tariffs and regulations. This allows companies to enter new markets more easily and compete with domestic firms.


Technological innovation refers to the advances in communication and transportation technologies that have made it easier and cheaper for companies to do business globally. This includes the rise of the internet, which has made it possible for companies to reach customers in new markets without the need for physical infrastructure.

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a furniture manufacturer specializes in wood tables. the tables sell for per unit and incur per unit in variable costs. the company has in fixed costs per month. expected sales are tables per month. 17. calculate the margin of safety in units. 18. determine the degree of operating leverage. use expected sales. 19. the company begins manufacturing wood chairs to match the tables. chairs sell for each and have variable costs of . the new production process increases fixed costs to per month. the expected sales mix is one table for every chairs. calculate the breakeven point in units for each product.

Answers

A 1% increase in sales will result in a 0.133% increase in operating income. The company needs to sell 375 tables and 1,500 chairs to breakeven.

The margin of safety is the amount of sales above the breakeven point. It indicates the cushion that a company has to absorb unexpected drops in sales. To calculate the margin of safety in units, we first need to determine the breakeven point.

The breakeven point is where the company's total revenue equals its total costs.

Total revenue = Price x Quantity = $500 x 1,000 = $500,000

Total variable cost = Variable cost per unit x Quantity = $300 x 1,000 = $300,000

Total fixed cost = $50,000

Breakeven point = (Total fixed cost) / (Price - Variable cost per unit) = $50,000 / ($500 - $300) = 250 units

Expected sales are 1,000 units, so the margin of safety in units is:

Margin of safety = Expected sales - Breakeven point = 1,000 - 250 = 750 units

The company has a cushion of 750 units above the breakeven point to absorb any unexpected drop in sales.

The degree of operating leverage (DOL) measures the change in operating income for a change in sales. It helps to assess the company's cost structure and the impact of fixed costs on profitability.

DOL = Contribution Margin / Operating Income

Contribution margin = Price - Variable cost per unit = $500 - $300 = $200

Operating income = Total revenue - Total variable cost - Total fixed cost = $500,000 - $300,000 - $50,000 = $150,000

DOL = $200 / $150,000 = 0.00133

To calculate the breakeven point in units for each product, we first need to calculate the weighted average contribution margin per unit for the product mix.

Weighted average contribution margin = (Contribution margin per unit of Table x Proportion of Tables) + (Contribution margin per unit of Chair x Proportion of Chairs)

Proportion of Tables = 1 / (1 + Chairs per Table) = 1 / (1 + 1) = 0.5

Proportion of Chairs = 1 - Proportion of Tables = 1 - 0.5 = 0.5

Contribution margin per unit of Table = Price of Table - Variable cost per unit of Table = $500 - $300 = $200

Contribution margin per unit of Chair = Price of Chair - Variable cost per unit of Chair = $100 - $50 = $50

Weighted average contribution margin = ($200 x 0.5) + ($50 x 0.5) = $125

Breakeven point for Tables = (Total fixed cost) / (Contribution margin per unit of Table) = $75,000 / $200 = 375 units

Breakeven point for Chairs = (Total fixed cost) / (Contribution margin per unit of Chair) = $75,000 / $50 = 1,500 units

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uppose that you are investigating the tire market. Goodrich Tire Company announces that it is leaving the market. You expect the equilibrium price of tires to _______ while the equilibrium quantity ______a. decrease: decreases b. increase; decreases c. increase; increases. d. decrease; increases

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uppose that you are investigating the tire market. Goodrich Tire Company announces that it is leaving the market. a. decrease: decreases

When a company leaves the market, the supply of tires decreases, which leads to an increase in the equilibrium price of tires and a decrease in the equilibrium quantity of tires. This is because the demand for tires remains the same, but there are fewer suppliers to meet that demand, resulting in a higher price for tires. Therefore, the correct answer is (a) decrease: decreases.

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Is the following an example of a Temporary or Permanent Account?Company has cash of $35,000 on December 31, 2016; beginning cash balance on January 1, 2017 is also $35,000.

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Company has cash of $35,000 on December 31, 2016; beginning cash balance on January 1, 2017 is also $35,000. This is an example of permanent account.

The balances that accumulate over time are recorded in permanent accounts. Records of sales is an illustration of super durable records. Assets, liabilities, equity, accounts payable, inventory, and investments are additional examples of permanent accounts.

An account whose balance does not reset to zero at the end of the accounting period is called a permanent account, also known as a real account. Instead, the balance stays the same throughout each accounting period. Asset, equity, and liability accounts are the most common types of permanent accounts.

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A sole proprietor sells business equipment and replaces it with new equipment. The gain recognized on the sale is ______.
A) not reported on the sole proprietor's personal income tax return
B) reported on Schedule C
C) reported on Form 4797

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The gain recognized on the sale of business equipment by a sole proprietor is reported on Schedule C (Form 1040), which is the form used to report profits or losses from a business.

This is because the equipment is considered a capital asset used in the course of the business, and any gains or losses from its sale are considered part of the business income or loss. Form 4797 is used to report gains or losses from the sale of business property that is not held for sale to customers in the ordinary course of the business, so it would not be applicable in this situation.Schedule C, on the other hand, is a form used to report the income or loss of a sole proprietorship, including income from sales, services, or other activities. While the sale of business equipment may impact the net income reported on Schedule C, the gain from the sale is not specifically reported on this form.

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the risk-free rate is 5% and the market risk premium is 8%. a stock has a beta of 2, what is its required return?

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The risk-free rate is 5% and the market risk premium is 8%. a stock has a beta of 2, required return is 21%. Option B is correct.

The necessary pace of return is the base measure of benefit (return) a financial backer will look for or get for expecting the gamble of putting resources into a stock or one more kind of safety.

    Required rate  = risk free rate+Beta × market risk premium

                             =5+(8 × 2)

                                  =21%

The theoretical rate of return for an investment with no risk is known as the risk-free rate of return. The gamble free rate addresses the premium a financial backer would anticipate from a totally sans risk venture over a predetermined time frame.

The gamble free rate is the pace of return presented by a venture that conveys zero gamble. Each venture resource conveys some degree of chance, but little, so the gamble free rate is something of a hypothetical idea. In practice, it is thought to be the rate at which short-term government debt is charged interest.

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Incomplete question:

The risk-free rate is 5% and the market risk premium is 8%. A stock has a beta of 2, what is its required return?

A.  24.5%

B.  21%

C.  12%

D.  17%

a structured, written outline that guides communication among meeting participants is called (a) group of answer choices meeting agenda. meeting minutes. meeting plan. meeting outline.

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A structured, written outline that guides communication among meeting participants is called a meeting agenda.

A meeting agenda is a structured, written outline that is used to guide communication among meeting participants.

The agenda is typically created before the meeting and is circulated to all participants to ensure that everyone is aware of the topics to be discussed, the order in which they will be addressed, and the time allocated for each item.

The purpose of a meeting agenda is to ensure that the meeting is productive and efficient. By outlining the topics to be discussed, the agenda helps to keep the meeting focused and on track. It also provides a clear framework for discussion, allowing participants to prepare their thoughts and contributions in advance.

A typical meeting agenda includes several key elements, including the meeting's purpose or objective, a list of topics to be discussed, the time allocated for each item, and the name of the person responsible for leading each discussion. The agenda may also include any necessary background information or documents that participants will need to review in advance.

During the meeting, the agenda serves as a guide for the facilitator, who is responsible for ensuring that the discussion stays on track and that all relevant topics are covered within the allocated time.

Participants can refer to the agenda to stay focused on the topic at hand and to ensure that the meeting is moving forward according to plan.

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the form of warehousing that combines classic warehouse operations with light manufacturing and packaging duties to allow firms to put off final assembly or packaging of goods is called: a. cross-docking b. postponement warehousing c. hub-and-spoke system d. reverse logistics system e. consolidation warehousing

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The form of warehousing that combines classic warehouse operations with light manufacturing and packaging duties to allow firms to put off final assembly or packaging of goods is called "postpone warehousing."

Postpone warehousing is a form of warehousing that combines classic warehouse operations with light manufacturing and packaging duties to allow firms to put off final assembly or packaging of goods until they receive a customer order. This allows for customization and a reduction in inventory costs, as firms only produce the final product when there is demand for it. It is also known as delayed differentiation or build-to-order warehousing.

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the quadrant of the bcg market share/market growth matrix that represents both a high market share and a high rate of market growth represents the: group of answer choices stars. innovators. cash cows. strivers.

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The BCG (Boston Consulting Group) market share/market growth matrix is a tool used to analyze a company's product portfolio. The matrix has four quadrants: stars, cash cows, question marks, and dogs. The quadrant that represents both a high market share and a high rate of market growth represents stars. Option A) is the correct answer.



Stars are products that have a high market share in a growing market. They generate a significant amount of revenue and profit for the company. However, they also require a large amount of investment to maintain their position in the market. Companies should focus on investing in these products to ensure they continue to grow and maintain their high market share.

In contrast, cash cows have a high market share but a low rate of market growth. These products generate a significant amount of revenue but require less investment to maintain their position in the market. Companies should focus on maximizing the profits from these products.

Strivers, on the other hand, have a low market share in a growing market. These products require a significant amount of investment to grow their market share. Option A) is the correct answer.

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Note the full questions is :

The quadrant of the bcg market share/market growth matrix that represents both a high market share and a high rate of market growth represents the: group of answer choices

A) stars

B) innovators

C) cash cows

D) strivers

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