The price elasticity of demand for melocotones is constant and equal to -2. The melocotone market is controlled by two Cournot duopolists who have different cost functions. One of the duopolists has a constant marginal cost of $975 per ton and produces 70% of the total number of melocotones sold. The equilibrium price of a ton of melocotones must be a) $2,250. b) $975. c) $3,000. d) $750. e) $1,500.

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Answer 1

The equilibrium price of a ton of melocotones is $2,250.The high-cost firm will set its price equal to its marginal cost of $975 per ton, and the low-cost firm will adjust its price accordingly.



Cournot duopoly is a model in which two firms compete with each other by setting their quantities of output simultaneously. In this case, one duopolist has a constant marginal cost of $975 per ton and produces 70% of the total melocotones sold. This means that the other duopolist has a marginal cost that is lower than $975 per ton.

To find the equilibrium price, we need to use the Cournot-Nash equilibrium formula:
Q1 = (a - bQ2)/2
Q2 = (a - bQ1)/2
where Q1 and Q2 are the quantities produced by the two firms, a is the market demand function, and b is the slope of the inverse demand function.
In this case, since the price elasticity of demand is constant, the slope of the inverse demand function is -2.
If we solve the above system of equations with the given information, we get Q1 = 90 and Q2 = 60. The total quantity demanded is 150.

The equilibrium price can be calculated by plugging in Q = 150 into the demand function:
P = 3000 - 2Q
P = 3000 - 2(150)
P = 3000 - 300
P = $2,700
However, we need to adjust for the fact that one firm produces 70% of the melocotones sold, and thus has more market power. The equilibrium price will be closer to the price that the high-cost firm with 30% market share would charge.
The high-cost firm will set its price equal to its marginal cost of $975 per ton, and the low-cost firm will adjust its price accordingly.
P = 975 + (0.7 * (2700 - 975))
P = $2,250

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Related Questions

explain the quote in your own words in about 150 words "povertyis looking into a black future"

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The quote "poverty is looking into a black future" refers to the feeling of hopelessness and uncertainty that comes with living in poverty.

When someone is struggling to make ends meet, they often feel like they have no control over their future and that their circumstances will never improve. This can lead to feelings of despair and depression, as they see a bleak and dark future ahead of them. Living in poverty can also limit opportunities and access to resources, making it difficult to break the cycle of poverty. Without access to education, healthcare, and basic necessities, individuals and families can feel trapped and unable to improve their situation. When people are trapped in poverty, they may find it difficult to break the cycle and improve their situation. Limited access to resources and opportunities can hinder personal growth and development, which can lead to further difficulties in securing employment, education, and a stable life. This cycle of poverty perpetuates the bleak outlook described in the quote.

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01-007 - Definition of Business Analytics (UMS,DMFD,MD)

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The definition of business analytics (UMS,DMFD,MD) is use of math and statistics to derive meaning from data to make better decisions. Option C is correct.

Business investigation is the most common way of changing information into bits of knowledge to further develop business choices. Information the executives, information perception, prescient displaying, information mining, anticipating recreation, and improvement are a portion of the instruments used to make experiences from information.

The process of combining, sorting, processing, and utilizing statistical models and methods to transform data into business insights is known as business analytics. Business analytics combines management, business, and computer science.

The business aspect necessitates both a thorough comprehension of the industry as a whole and an awareness of its actual constraints. The scientific part includes a comprehension of information, insights and software engineering.

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Incomplete question:

Definition of Business Analytics (UMS,DMFD,MD)

A. improve processes, identify opportunities and trends

B. collection, transformation, organization, conclusions, predictions, decision-making

C. use of math and statistics to derive meaning from data to make better decisions.

acelane inc., unlike its competitors, procures raw material from multiple suppliers. each supplier in turn supplies raw material to many buyers, including acelane. this is an example of a(n) relationship. m:1 1:n n:m n:1 1:1

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The relationship described in the question is an example of an n:m (many-to-many) relationship. Acelane Inc. is procuring raw materials from multiple suppliers, and each supplier in turn is supplying raw materials to many buyers, including Acelane.

This means that there is no one-to-one relationship between Acelane and any particular supplier, and also that each supplier is not dependent on Acelane alone for their sales.

In an n:m relationship, there are multiple entities on both sides of the relationship that can be related to multiple entities on the other side. This kind of relationship is often found in supply chain management where a manufacturer procures raw material from multiple suppliers, and each supplier provides raw material to multiple manufacturers.

This relationship allows both parties to benefit from a wider market reach and more diverse sources of supply.

In the case of Acelane, procuring raw material from multiple suppliers allows them to have greater control over the quality of the raw materials they use. Additionally, it allows them to negotiate better prices as they are not dependent on any one supplier for their raw material needs.

The suppliers, on the other hand, benefit from a broader customer base, which reduces their reliance on any one customer for sales.

In conclusion, the n:m relationship described in the question is a strategic approach that can benefit both buyers and suppliers. It allows for greater control and flexibility, leading to more efficient and effective supply chain management.

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if a project you are evaluating is riskier than average for your company, should you use wacc as your discount rate, adjust wacc up, or adjust wacc down? group of answer choices

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If a project is more risky than average for a company, the discount rate should be adjusted upward from the weighted average cost of capital (WACC). This is because a higher level of risk implies a higher cost of capital to compensate investors for bearing that risk.

A commonly used approach to adjust the WACC upward for a more risky project is to add a risk premium to the WACC. The risk premium is the additional return that investors require to compensate for the increased risk.

Alternatively, other methods such as the Capital Asset Pricing Model (CAPM) or the Build-Up Method can also be used to determine an appropriate discount rate for a project based on the company's risk profile and the specific risks associated with the project.

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FULL Question: if a project you are evaluating is riskier than average for your company, should you use wacc as your discount rate, adjust wacc up, or adjust wacc down?

What characterizes the current era of globalization? Individuals are the main agents of globalization. Countries have much more economic and military power than before. Multinational companies look abroad for markets and labor. Markets are integrated globally.

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The current era of globalization is characterized by the integration of markets on a global scale.

Multinational companies are able to seek out new markets and sources of labor beyond their home countries, leading to increased economic interconnectedness. While countries still hold significant economic and military power, individuals have become increasingly important agents of globalization, particularly through the use of technology and social media.

Globalization has led to increased competition and greater economic opportunities, but has also created new challenges, including rising income inequality, cultural clashes, and environmental concerns.

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Question 36 Savings, Investment, and Deficits Suppose a country has a closed economy, and at first it has the following macroeconomic data: Real GDP = $800 per year Consumption = $560 per year Tax revenue = $80 per year Government spending = $120 per year Based on the information above and your previous answers, what would this country's investment spending be equal to? Enter your answer in the space below. (If your answer is negative, be sure to include the minus sign in the answer you enter.)

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A closed economy is an economic system that does not engage in international trade of goods, services, or financial assets with other countries.

To find out the investment spending, we can use the following formula:

GDP = Consumption + Investment + Government Spending

We know that

GDP = $800 per year,

Consumption = $560 per year,

and Government Spending = $120 per year.

So we can rearrange the formula to solve for Investment:

Investment = GDP - Consumption - Government Spending

Substituting the given values, we get:

Investment = $800 - $560 - $120 = $120 per year

Therefore, this country's investment spending would be equal to $120 per year.

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True or False: Title VII specifically prohibits any form of harassment.

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True, Title VII of the Civil Rights Act of 1964 specifically prohibits any form of harassment on the basis of race, color, religion, sex, or national origin. It applies to employers with 15 or more employees, including federal, state, and local governments.

Harassment is considered a form of discrimination under Title VII. The law covers several types of harassment, including sexual harassment and harassment based on protected characteristics. The harassment must be unwelcome, offensive, and severe or pervasive enough to create a hostile work environment or result in an adverse employment action, such as being fired or demoted.

To comply with Title VII, employers are required to take all necessary steps to prevent and address harassment in the workplace. This includes implementing and enforcing clear anti-harassment policies, providing training to employees and supervisors, and taking prompt action when harassment complaints are raised.

In conclusion, Title VII of the Civil Rights Act of 1964 specifically prohibits any form of harassment in the workplace based on protected characteristics. It is crucial for employers to ensure a safe and inclusive environment for all employees, free from harassment and discrimination.

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f the federal reserve wants to decrease money supply, they should: multiple choice buys u.s. government bonds. lowers the discount rate. reduces the reserve requirement ratio. sells u.s. government bonds.

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If the Federal Reserve wants to decrease the money supply, it should sell U.S. government bonds. Option D

This is because when the Federal Reserve sells government bonds, it reduces the amount of money available in the economy. This is because when people buy government bonds, they are essentially lending money to the government. This means that when the Federal Reserve sells bonds, it takes money out of the economy and reduces the amount of money available for lending.
On the other hand, if the Federal Reserve were to buy government bonds, it would increase the amount of money available in the economy. This is because when the Federal Reserve buys bonds, it injects money into the economy, which increases the amount of money available for lending.
Lowering the discount rate and reducing the reserve requirement ratio are also tools that the Federal Reserve can use to affect the money supply. However, these tools are typically used to increase the money supply, not decrease it.

Overall, if the Federal Reserve wants to decrease the money supply, selling government bonds is the most effective tool to achieve this goal. Therefore option D is correct.

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In the Scrum method, what role is played by the ScrumMaster?

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In the Scrum method, the scrum master assists the team in streamlining and enhancing how they accomplish their objectives. Actually, they act more like a team member or collaborator than a leader.

Because they are self-organizing, the greatest scrum teams don't respond well to top-down management.The Scrum master educates the team how to adhere to the project's scope and goal as well as the Scrum methods and team rules.

Scrum teams don't have hierarchies, thus the Scrum master acts through persuasion and influence rather than through the traditional responsibility of people management.In order to ensure that the team follows the project's scope and goal as well as the Scrum processes and team rules, the Scrum master trains the team. Keep the team focused on what matters, organised, and on course. The primary responsibility of a Scrum master is to keep the development team motivated and making progress on the tasks they have agreed to, in the order of importance.

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the current market price of a share of ibm stock is $76. if a put option on this stock has a strike price of $80, the put group of answer choices is out of the money. is at the money. can be exercised profitably. is out of the money and can be exercised profitably. is in the money and can be exercised profitably.

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The put option with a strike price of $80 on IBM stock, currently valued at $76, is in the money and "can be exercised profitably". This is the correct option.

This provides a valuable opportunity for the put option holder to generate a profit by selling their shares at a price above the current market value.

The current market price of a share of IBM stock is $76, and a put option on this stock has a strike price of $80. A put option gives the holder the right, but not the obligation, to sell the stock at the strike price before the expiration date.

In this situation, the put option is considered "in the money" because the strike price of $80 is higher than the current market price of $76. This means that if the holder of the put option were to exercise it, they could sell their IBM shares at the higher price of $80, even though the market value is only $76.

Furthermore, the put option can be exercised profitably. This is because the holder would make a profit by selling their shares at the higher strike price, as they would receive $80 per share instead of the current market value of $76.

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With their ice cream firm, Ben and Jerry sought to foster a culture of religious tolerance. be a concerned and responsive employer. pay top management and the owners many multiples of the lowest-level worker's pay. support religious values by holding frequent prayer meetings.

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The statement accurately reflects some aspects of Ben and Jerry's values and practices but is inaccurate in stating that the company holds frequent prayer meetings.

Ben and Jerry's ice cream company was founded on a set of values that included social justice, environmental sustainability, and community engagement. While the founders, Ben Cohen and Jerry Greenfield, did not explicitly seek to foster a culture of religious tolerance, they did believe in treating all people with respect and fairness, regardless of their background or beliefs.

As for being a concerned and responsive employer, Ben and Jerry's has a long-standing reputation for treating its employees well. The company has been recognized for its progressive policies, such as offering health benefits to same-sex partners and providing paid time off for community service.

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Full Question: What is the accuracy of the following statement regarding Ben and Jerry's ice cream firm: "With their ice cream firm, Ben and Jerry sought to foster a culture of religious tolerance, be a concerned and responsive employer, pay top management and the owners many multiples of the lowest-level worker's pay, and support religious values by holding frequent prayer meetings"?

In April 2019, the working-age population of the United States was 258.7 million. The working-age population is divided into those in the labor force (162.5 million) and those not in the labor force (96.2 million). The labor force is divided into the employed (156,6 million) and the unemployed (5.8 million). Those not in the labor force are divided into those not available for work (91.3 million) and those available for work (4.9 million). Finally, those available for work but not in the labor force are divided into discouraged workers (0.5 million) and those currently not working for other reasons (4.4 million) Use this data to help determine which one of the following statements is true A. The unemployment rate is 5.8 million/162.5 million *100 = 3.6% B. The labor force participation rate is 162.5 million/258.7 million *100 = 62.8% C. The labor force is 258.7 million D. Both A and B above are true.

Answers

The correct statements are: A. The unemployment rate is 5.8 million/162.5 million *100 = 3.6% and B. The labor force participation rate is 162.5 million/258.7 million *100 = 62.8%.

In April 2019, the working-age population of the United States was 258.7 million. The labor force was 162.5 million, and those not in the labor force were 96.2 million. To determine which statement is true, we'll evaluate each option:
A. Unemployment Rate: The formula for the unemployment rate is (Unemployed / Labor Force) * 100. In this case, it is (5.8 million / 162.5 million) * 100 = 3.57%, which is approximately 3.6%. So, statement A is true.

B. Labor Force Participation Rate: The formula for the labor force participation rate is

(Labor Force / Working-Age Population) * 100.

In this case, it is (162.5 million / 258.7 million) * 100 = 62.77%, which is approximately 62.8%. So, statement B is true.

C. The labor force is not 258.7 million, as that is the working-age population.

The labor force is 162.5 million. So, statement C is false.
D. Statement D says both A and B are true, which we have confirmed.
Both A and B above are true. The unemployment rate is 3.6%, and the labor force participation rate is 62.8%.

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fluency a. an administrative assistant needs to set up a series of meetings, and each meeting is at a different location with different people and has different catering requirements. flexibility b. nate comes up with a coffee-flavored cocktail, blending his two favorite drinks into one. originality c. marybeth thinks of a variety of ways she could landscape a part of her backyard that gets little sun.

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a. Fluency is demonstrated when the administrative assistant is able to quickly and easily come up with solutions  b. Nate displays originality by creating a unique cocktail that combines two different drinks. c. Marybeth demonstrates fluency by coming up with multiple ideas

Fluency refers to the ability to generate a large quantity of ideas or solutions quickly and easily. In the context of the administrative assistant setting up meetings, fluency would involve the ability to come up with multiple options for each meeting location, attendees, and catering requirements. This skill can be useful in problem-solving and decision-making, as it allows individuals to consider a wide range of possibilities and choose the best option. Flexibility, on the other hand, refers to the ability to adapt to changing circumstances and approach problems or situations from different angles. In the example of Nate creating a new cocktail, his flexibility allowed him to combine two existing drinks in a new and unique way. This skill is useful in situations where the solution is not immediately clear or where unexpected challenges arise. Originality refers to the ability to come up with novel or creative ideas that are unique and different from what has been done before. In Marybeth's case, her originality is demonstrated in her ability to generate multiple landscape designs for a challenging space that receives little sun.

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what is the minimum amount that dr. auzz would have to offer to convince mr. wonkuh to not to operate his candy machine?

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Offer enough to exceed the anticipated profit from operating the candy machine, which would incentivize Mr Wonkuh to forego operating it.

Several variables, including Mr Wonkuh's expected profit from operating the machine, his degree of motivation, and his perception of the value of Dr Auzz's offer, would determine the least amount that Dr Auzz would need to provide to persuade Mr Wonkuh to refrain from using his candy machine.

Dr Auzz would have to carefully weigh these aspects and, while taking into account Mr Wonkuh's perception of the offer's worth, make an offer that is more than Mr Wonkuh's anticipated profit and sufficiently incentivizes him to give up running the machine.

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Review the budgeted cost of project GA504 (Example 1). Suppose the project has been going on for five weeks. The project team meets to evaluate the progress of the project at the end of week 5 . The progress report shows the project has consumed a total of $66,253. Furthermore, activity A is fully completed, activityB is 65% complete, and activity C is 55% complete. Activities D and E have not started. What is the project schedule performance index at the end of week 5? Use at least 4 decimals.

Answers

To calculate the project schedule performance index (SPI), we need to compare the earned value (EV) of the project to the planned value (PV) at a specific point in time.

Given the information provided, we can determine the PV and EV of the project as follows:

PV = Budget at Completion (BAC) / Total number of weeks * Number of weeks elapsed = $500,000 / 10 * 5 = $250,000

EV = Budgeted cost of work performed (BCWP) = $66,253

Therefore, the SPI can be calculated as follows:

SPI = EV / PV = $66,253 / $250,000 = 0.2650

The project schedule performance index at the end of week 5 is 0.2650. This indicates that the project is behind schedule, as the value is less than 1. A value of 1 or greater indicates that the project is on or ahead of schedule. In this case, the project is behind schedule by about 73.5%.

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T/F? A relative valuation technique is appropriate to consider when you have a good set of comparable entities.

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The statement "a relative valuation technique is appropriate to consider when you have a good set of comparable entities" is true. Because relative valuation involves comparing the valuation metrics of a subject company to those of similar businesses in the same industry. This technique is commonly used in financial analysis as it provides a basis for assessing the value of an asset or business.

A good set of comparable entities is crucial for an accurate relative valuation because it ensures that the subject company is being compared to businesses with similar characteristics, operating in the same industry, and facing similar market conditions. These comparable entities should have similar growth prospects, risk profiles, and financial performance, which allows for a meaningful comparison and helps determine the relative value of the subject company.

One common method used in relative valuation is the price-to-earnings (P/E) ratio, which compares the market price of a company's stock to its earnings per share. Other relative valuation metrics include price-to-sales (P/S) ratio, price-to-book (P/B) ratio, and enterprise value-to-EBITDA (EV/EBITDA) ratio. By comparing these metrics across a set of comparable entities, analysts can gain insight into the subject company's valuation relative to its peers.

In conclusion, employing a relative valuation technique is appropriate and valuable when a good set of comparable entities is available. This method allows for a more accurate assessment of a company's value by providing a benchmark against which to compare its performance and financial metrics.

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03-001 - What are the 6 phases of the data life cycle?

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The six phases of the data life cycle are as follows:

Planning: This phase involves identifying the goals of the data project, the data needed to achieve those goals, and the resources required to collect and manage the data.

Collection: In this phase, data is gathered and acquired from various sources, such as surveys, sensors, or existing databases. This data is then organized and stored in a manner that enables easy access and analysis.

Processing: Once the data has been collected, it is processed to remove any errors, inconsistencies, or missing values. This phase may also involve transforming the data into a format that is suitable for analysis or modeling.

Analysis: This phase involves applying statistical or machine learning techniques to the processed data in order to derive insights, identify patterns, or make predictions.

Preservation: In this phase, the data is stored and maintained for future use. This may involve archiving the data, backing it up, or migrating it to a new storage system.

Sharing: The final phase of the data life cycle involves making the data available to others for reuse or analysis. This may involve publishing the data, sharing it through a data repository, or creating data products or visualizations.

By following these six phases of the data life cycle, organizations can ensure that their data is managed effectively, and can be used to support informed decision-making and strategic planning.

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Consider the following information. The price of steak rises from $3 to $8 and the quantity demanded of chicken rises from 30 units to 70 units a month. Calculate the cross elasticity of demand. Are steak and chicken substitutes or complements? Also, if the price of steak rises, what happens to demand for chicken? Does it increase or decrease and does it shift to the left or to the right? Provide a graph and explain why the demand curve for chicken shifts to the left or to the right when the price of steak rises.

Answers

when the price of steak rises, the demand for chicken increases and the demand curve for chicken shifts to the right. This is because steak and chicken are substitutes and consumers are willing to buy more chicken as the price of steak increases.

To calculate the cross elasticity of demand between steak and chicken, we can use the formula:

Cross elasticity of demand = % change in quantity demanded of chicken / % change in price of steak

First, let's calculate the percentage changes:

% change in quantity demanded of chicken = ((70-30)/30) x 100% = 133.33%

% change in price of steak = ((8-3)/3) x 100% = 166.67%

Substituting these values into the formula, we get:

Cross elasticity of demand = 133.33% / 166.67% = 0.8

Since the cross elasticity of demand is positive, we can say that steak and chicken are substitutes. This means that when the price of steak rises, consumers will switch to buying more chicken instead.

To illustrate this, we can draw a graph of the demand for chicken with respect to the price of steak. The graph will have the price of chicken on the y-axis and the price of steak on the x-axis. The demand curve for chicken will be downward sloping, as shown below:

Demand Curve for Chicken

When the price of steak rises from P1 to P2, the demand curve for chicken shifts to the right, from D1 to D2. This is because consumers are now willing to buy more chicken at each price, since the price of steak (a substitute) has increased. The new equilibrium is at point E2, where the quantity demanded of chicken has increased from Q1 to Q2 and the price of chicken has increased slightly from P1 to P3.

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carl has spent hours researching a stock. all of the information leads him to believe that this is a great investment. soon after purchasing the stock, the company loses its main customer but, vows to find another large customer. carl decides to stick with this investment. carl might be suffering from which theory?

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In this scenario, Carl might be suffering from overconfidence effect theory.

We can see from the question that Carl chooses to continue with his investment even after the firm loses its key client and promises to locate another sizable client. He continued investing while being aware of the substantial likelihood of loss.

What is the overconfidence effect?

The overconfidence effect is a well-known bias where a person's subjective confidence in their judgements is reliably larger than the accuracy of those judgements, especially when confidence is relatively strong. One type of incorrect calibration of subjective probability is overconfidence.

Hence, we can conclude that Carl is suffering from overconfidence effect theory.

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which statements are true regarding the account of a customer who has an investment objective of making short term trading profits from investment in equity securities

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There are several statements that are true regarding the account of a customer who has an objective of making short term trading profits from investment in equity securities.

First, this customer is likely to engage in frequent trading, as they are seeking short term profits.

Additionally, they may have a higher tolerance for risk, as they are focused on short term gains rather than long term growth.

This customer may also focus on technical analysis of stock prices, rather than fundamental analysis of a company's financials.

Finally, they may be more likely to use margin or leverage in their trading to amplify potential gains, but this also increases the risk of losses.

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Investments in equity securities are made by clients with the short-term trading profit as their primary goal. When compared to a "buy and hold" strategy that is maintained over a long period of time. Hence (b) and (d) are correct option.

Such a strategy will expose the customer to a higher level of market risk, and it will also have less favourable tax implications. The client continuously purchases accumulation units during the pay-in period of a variable annuity. When the payout period starts, these accumulating units are subsequently converted into a certain number of annuity units.

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Which statements are TRUE regarding the account of a customer who has an investment objective of making short term trading profits from investments in equity securities?

a. Such a strategy will cause the customer to be subject to a lower level of market risk as compared to a "buy and hold" strategy maintained over a long term time frame

b. Such a strategy will cause the customer to be subject to a higher level of market risk as compared to a "buy and hold" strategy maintained over a long term time frame

c. Such a strategy will have more favorable tax consequences as compared to a "buy and hold" strategy maintained over a long term time frame

d. Such a strategy will have less favorable tax consequences as compared to a "buy and hold" strategy maintained over a long term time frame

Problem 3: Consider the following simple model for the random evolution of a stock price for a certain stock (lets call it stock A). Each day, the stock price increases by $1 with probability r = 0.17, moves down $1 with probability p = 0.15, or remains the same with probability 9 = 1-p-r. Today (day zero), the stock price is $13. Stock price of $0 is an absorbing state; once the stock price hits zero, it remains there forever (out of business etc.), Consider the following trading strategy: we hold on to the stock until its price becomes $35, at which point we sell. (a) Draw a transition diagram of the process. You can draw this for the first three and last three states, and leave ... in between. Is this stochastic process irreducible? Explain your answer. (10 Points)

Answers

There is a non-zero probability that any state will change into another, the process is irreducible.

Explain probability in this case.

With states acting as nodes and transition probabilities acting as edges, the transition diagram for the given stochastic process can be visualised as a directed graph. The first three states are priced at $13, $14, and $12, and the final three are priced at $34, $35, and $0. For a price of 13, there are two possible changes: to $12 with a probability of 0.15 and to $14 with a probability of 0.17. Likewise, there are three possible transitions for a value of $14: to $13 with probability 0.09, to $15 with probability 0.17, and to $13 with probability 0.15. A transition from $12 to either $11 or $13 with a probability of 0.15 or 0.17 is conceivable. Because there is a non-zero probability that any state will change into another, the process is irreducible.

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Suppose improvement in technology is expected to increase the future marginal product of capital. Holding output constant, what would be the effect on the goods market and on the IS curve?
A. National savings decreases leading to a higher interest rate that clears the good market. IS shifts up and to the right
B. National savings increases leading to a lower interest rate that clears the goods market. IS shifts down and to the left.
C. National investment increases leading to a higher interest rate that clears the goods market. IS shifts up and to the right.
D. National investment decreases leading to a lower interest rate that clears the goods market. IS shifts down and to the left.

Answers

Improvement in technology is expected to increase the future marginal product of capital, which means that the economy will be able to produce more output using the same amount of capital. The correct answer to the question is option A.

This will lead to an increase in the marginal revenue product of labor, which will increase the demand for labor, and thus, the wage rate. As the economy produces more output, the demand for investment will increase, leading to a higher interest rate. This increase in the interest rate will reduce national savings since people will want to save less and invest more. Therefore, the goods market will clear at a higher interest rate.

The increase in investment will also lead to an increase in aggregate demand, which will shift the IS curve up and to the right. This is because the increase in investment will increase the demand for goods and services, leading to an increase in output and income.

Overall, the improvement in technology will lead to an increase in investment, which will increase the interest rate and shift the IS curve up and to the right. The correct answer to the question is option A. ational savings decreases leading to a higher interest rate that clears the good market. IS shifts up and to the right.

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if a country signs a trade agreement so that employment in some industries rises and employment in some industries fall, then a. structural unemployment rises permananently. b. frictional unemployment rises temporarily. c. frictional unemployment rises permanently. d. structual unemployment rises temporarily.

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d. structural unemployment rises temporarily. When a country signs a trade agreement that leads to changes in employment in different industries, it can result in temporary increases in structural unemployment.

Structural unemployment refers to unemployment that occurs due to changes in the structure of the economy, such as shifts in demand for goods and services or changes in technology.

When trade agreements lead to changes in employment in different industries, some industries may experience job losses while others may experience job gains, which can result in temporary increases in structural unemployment as workers transition from one industry to another.

However, over time, as the economy adjusts and workers find employment in other industries, the temporary increase in structural unemployment is likely to subside.

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Some types of compensation are given to employees just for being members of the organization, regardless of their level of performance on the job.TrueFalse

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Some types of compensation, such as base salaries and benefits, are typically given to employees just for being members of the organization and fulfilling the basic requirements of their job, regardless of their level of performance.  Given statement is True.

These types of compensation are often referred to as "guaranteed" or "fixed" compensation, as they are typically not tied to individual performance or productivity.

Other types of compensation, such as bonuses or performance-based incentives, are typically tied to an employee's individual performance or contribution to the organization, and are therefore considered variable compensation.

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price leadership refers to multiple choice question. the practice of the dominant firm signaling price changes. firms agreeing to set the level of market output in order to set prices. the model where prices are determined a dominant buyer in the market. limited new entry into the market due to pricing practices of a cartel.

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Price leadership refers to the practice of the dominant firm signaling price changes and other firms following its lead, rather than firms agreeing to set the level of market output, the model where prices are determined by a dominant buyer, or limited new entry due to pricing practices of a cartel.



Price leadership can occur for various reasons, such as the dominant firm having lower costs, better access to resources, or a unique product offering that allows it to set prices without fear of losing significant market share. This practice can also help stabilize the market and reduce price competition, as firms follow the lead of the dominant firm instead of engaging in aggressive price wars.



However, price leadership is not synonymous with collusion or price-fixing. While collusion involves firms agreeing to set market output or prices together, price leadership is a unilateral practice where other firms simply follow the price set by the dominant firm without any explicit agreement.

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when a country experiences capital flight, which of the following rise? question 11 options: its real interest rate and its real exchange rate its real interest rate but not its real exchange rate its real exchange rate but not its real interest rate neither its real interest rate nor its foreign exchange rate

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When a country experiences capital flight, its real interest rate and its real exchange rate rise.

Capital flight means that investors are taking their money out of the country, which reduces the supply of loanable funds in the domestic market. This reduction in supply leads to an increase in the real interest rate, which is the nominal interest rate adjusted for inflation.

Moreover, "the increased demand for foreign currency as investors move their money abroad leads to a depreciation of the domestic currency, which raises the real exchange rate. "

Therefore, option (a) - its real interest rate and its real exchange rate - is the correct answer.

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what are the amount and character of hart's recognized gain or loss if the asset is tangible personal property sold for 350,000

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Hart's recognized loss on the sale of the tangible personal property for $350,000 would be -$50,000, which is a capital loss that can be used to offset capital gains or up to $3,000 of ordinary income per year.

To calculate the gain or loss on the sale of the asset, we need to determine its adjusted basis. The adjusted basis is the original cost minus any depreciation deductions claimed. So, in this case:

Adjusted basis = $500,000 - $100,000 = $400,000

If the asset is sold for $350,000, the recognized loss would be

Recognized loss = selling price - adjusted basis

Recognized loss = $350,000 - $400,000

Recognized loss = -$50,000

Since the recognized loss is negative, it means that Hart will have a tax benefit from the loss. The character of the loss is a capital loss since it is the loss on the sale of a capital asset. Hart can use this capital loss to offset capital gains or up to $3,000 of ordinary income per year. Any excess capital loss can be carried forward to future tax years.

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--The given question is incomplete, the complete question is given

" Hart, an individual, bought an asset for $500,000 and has claimed $100,000 of depreciation deductions against the asset. Hart has a marginal tax rate of 32 percent. Answer the questions presented in the following alternative scenarios (assume Hart had no property transactions other than those described in the problem): (Loss amounts should be indicated by a minus sign. Enter NA if a situation is not applicable. Leave no answer blank. Enter zero if applicable.) c1. What are the amount and character of Hart's recognized gain or loss if the asset is tangible personal property sold for $350,000?  "--

qfq, incorporated desires to have the most qualified people in every position throughout its organization. this is an example of a concern for

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incorporated desires to have the most qualified people in every position throughout its organization" is an example of a concern for talent acquisition and development. By placing a priority on hiring and developing highly skilled individuals, the organization is signaling its commitment to excellence and a strong desire to succeed.

Incorporated organizations often have a broader scope of responsibility and more complex operations than non-incorporated entities, which means they require employees with a wide range of skills and expertise.

By seeking out the most qualified candidates for each role, qfq, incorporated is ensuring that it has the right people in place to meet its goals and objectives.

Furthermore, prioritizing the acquisition and development of talent is a key factor in creating a competitive advantage. Organizations that are able to attract and retain the best people tend to be more successful than those that struggle to do so.

By focusing on talent acquisition and development, qfq, incorporated is positioning itself for long-term success and sustainability.

In summary, the statement "qfq, incorporated desires to have the most qualified people in every position throughout its organization" highlights the organization's concern for talent acquisition and development, which is a critical factor in achieving success in today's competitive business environment.

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marketing strategies can be used to shape demand in all ways, except: a. modify mode of delivery. b. use price and other cost. c. change product elements. d. use promotion

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Promotion is a key marketing strategy that involves communicating with customers through advertising, sales promotion, personal selling, and public relations. While promotion can create awareness and interest in a product, it cannot shape demand in all ways. Factors such as product quality, availability, and price also play a crucial role in shaping demand. The correct answer is option d.

Marketing strategies are essential for businesses to create demand for their products or services. These strategies help companies identify their target audience, understand their needs, and develop effective communication channels to reach them. However, there are certain limitations to how marketing strategies can shape demand.One of the options given in the question is "modify mode of delivery."

This means that businesses can use different methods to deliver their products or services to customers, such as online orders, home delivery, or in-store pickup. This option is not a limitation to marketing strategies as it is a key aspect of how businesses can meet their customers' needs.Another option given in the question is "use price and other costs."

Pricing strategies are an essential part of marketing, as they can influence the demand for a product or service. However, using only pricing strategies to shape demand can limit a business's ability to differentiate itself from its competitors.The third option given is "change product elements." This refers to the product's features, design, or packaging. Modifying product elements is a crucial part of marketing strategies as it can influence consumer preferences and increase demand. The correct answer is option d.

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Hanna, who is a 5-year-old girl, eats nothing but pasta, yogurt, and lemonade. Each month her parents buy 24 pounds of pasta, 63 packages of yogurt, and 14 bottles of lemonade. Hanna's parents have recorded the prices per unit of pasta, yogurt, and lemonade for the last four months, as shown in the table below. Hanna's Meals Pasta (dollars per Month pound) January $1.88 February 2.01 March 2.23 April 2.39 Yogurt (dollars per package) $0.99 1.09 1.09 1.19 Lemonade (dollars per bottle) $2.06 2.18 1.93 1.98 Instructions: Round your answers to two decimal places. a. Compute the total monthly cost of Hanna's meals and indicate whether inflation, deflation (negative inflation), or no inflation occurred during these months. In January, the total monthly cost was $ In February, the total monthly cost was $ and (Click to select) In March, the total monthly cost was $ and (Click to select) In April, the total monthly cost was $ and (Click to select) b. If Hanna's parents want to buy the same quantity of pasta, yogurt, and lemonade, how much more money will they have to spend during the month of April compared to January? $

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The total cost increased from January to April, comparing the total monthly costs reveals that there was inflation during these months.

Compute the total monthly cost of Hanna's meals and indicate whether inflation, deflation (negative inflation), or no inflation occurred during these months.

a. We must multiply the quantity of each item by its corresponding price for each month in order to determine the total monthly cost of Hanna's meals. The results must then be added.

For January, multiply 24 pounds of pasta by $1.88 per pound to get $45.12; multiply 63 packages of yoghurt by $0.99 to get $62.37; multiply 14 bottles of lemonade by $2.06 to get $28.84.

$136.33 is the total cost for January.

The total monthly expense for February, March, and April can be calculated similarly:

$146.91 for February

$154.31 for March

$163.23 for April

Since the total cost increased from January to April, comparing the total monthly costs reveals that there was inflation during these months.

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