For corporations in the 1950s, diversification and conglomeration were
A. hedges against major recessions.
B. keystones of federal economic policies.
C. innovations not previously characteristic of American firms.
D. ways to avoid becoming involved overseas

Answers

Answer 1

For corporations in the 1950s, diversification and conglomeration were hedges against major recessions. Thus, option (a) is correct.

For businesses in the 1950s, consolidation and diversification served as insurance against severe downturns. They were used in times of inflation to protect businesses from the effects of economic downturns.

Conglomeration and diversification were neither pillars of federal economic policy, nor were they novel developments not previously found in American companies or means to stay out of international business.

Corporate diversification was commonly thought to be ineffective, and conglomerates were scrutinized for their financial records and dismantled because of worries about their power.

Therefore, option (a) is correct.

Learn more about on corporations, here:

https://brainly.com/question/32217998

#SPJ12


Related Questions

what can the government do to promote allocative efficiency? impose a minimum of interference in the market, thus enabling the people who are willing to pay the most for a given good or service to obtain it. allocate resources so that all types of goods and services are produced in the same amount. take responsibility for distributing resources equally among the rich and the poor, regardless of people's preferences. allocate all resources to maximize the production of the one product most desired by the society.

Answers

The government can promote allocative efficiency by imposing a minimum of interference in the market, thus enabling the people who are willing to pay the most for a given good or service to obtain it (option a).

Allocative efficiency refers to the allocation of resources in a way that maximizes social welfare or consumer surplus. In a competitive market, allocative efficiency is achieved when the price of a good or service reflects its marginal cost. This ensures that resources are allocated to the production of goods and services that are in the highest demand and have the lowest cost of production.

By imposing a minimum of interference in the market, the government can ensure that prices reflect the true costs of production, and that resources are allocated efficiently to the production of goods and services that are in demand. This can be achieved through policies such as eliminating price controls, reducing subsidies, and reducing barriers to entry.

Therefore, the most appropriate option is that the government can promote allocative efficiency by imposing a minimum of interference in the market, thus enabling the people who are willing to pay the most for a given good or service to obtain it. Option a is answer.

You can learn more about interference  at

https://brainly.com/question/2452467

#SPJ11

a company purchased new equipment for $70,000. the company paid cash for the equipment. other costs associated with the equipment were: transportation costs, $1,500; sales tax paid $5,000; and installation cost, $3,500. the cost recorded for the equipment was: multiple choice $76,500. $80,000. $71,500. $70,000.

Answers

The cost recorded for the equipment would be equal to $80,000.

The cost recorded for the equipment is the total amount paid to acquire the equipment and make it ready for use. In this case, the equipment was purchased for $70,000, but additional costs were incurred to transport, install, and pay sales tax on the equipment. These costs add up to $10,000, which when added to the cost of the equipment, gives a total cost of $80,000 that the company records in their accounting records as the cost of the equipment. This amount is used for depreciation and other accounting purposes.

$70,000 (cost of the equipment) + $1,500 (transportation costs) + $5,000 (sales tax) + $3,500 (installation cost) = $80,000

Therefore, the correct answer is $80,000.

Learn more about sales tax at:

brainly.com/question/29442509

#SPJ4

how should a contingent liability that is reasonably possible but cannot reasonably be estimated be reported within the financial statements?

Answers

A contingent liability that is reasonably possible but cannot reasonably be estimated should be reported within the financial statements as a footnote.

The disclosure of contingent liability

This disclosure should provide information about the nature of the contingency and the possible outcomes. The disclosure should also include any available information about the likelihood of the contingency and the potential range of outcomes.

The disclosure should be clear and concise, and it should be written in a way that is easily understandable by the reader. It should also be consistent with other disclosures in the financial statements and comply with any applicable accounting standards.

In addition, management should continually monitor the contingency and update the disclosure as new information becomes available. If the contingency becomes more certain or the potential range of outcomes becomes more narrow, the disclosure should be updated accordingly.

Overall, the disclosure of a contingent liability that is reasonably possible but cannot reasonably be estimated is important for providing transparency and accountability to stakeholders. It helps them make informed decisions about the financial health and future prospects of the company.

Learn more about contingent liability at

https://brainly.com/question/29035187

#SPJ11

everything else equal, a decrease in the federal funds rate will tend to…

Answers

A decrease in the federal funds rate, everything else equal, will tend to lower the cost of borrowing, encourage lending and borrowing activities, and stimulate economic growth. This can lead to an increase in consumer spending and business investment, ultimately boosting the overall economy.

Everything else equal, a decrease in the federal funds rate will tend to stimulate economic activity and encourage borrowing and spending. This is because a lower federal funds rate makes it cheaper for banks to borrow money from the Federal Reserve, which in turn allows them to lend money to consumers and businesses at lower interest rates. This can lead to an increase in investment, job growth, and consumer spending, which can help to boost economic growth. However, it is important to note that other factors, such as consumer confidence and market conditions, can also influence economic activity.

Learn More about federal funds here :-

https://brainly.com/question/30068402

#SPJ11

essentially using the same marketing strategy approaches and marketing mix world

Answers

Essentially, using the same marketing strategy approaches and marketing mix worldwide means adopting a standardized approach to marketing across all regions and markets.

This approach involves using the same marketing mix, including product, price, promotion, and place, and applying the same marketing tactics and methods to reach customers.

The main benefit of using a standardized approach is that it allows companies to achieve economies of scale in their marketing efforts, as they can leverage the same tactics and resources across all markets.

However, there are also some drawbacks to using a standardized approach, including the risk of cultural misalignment and the potential for local market differences to impact the effectiveness of marketing efforts.

As a result, many companies adopt a hybrid approach that combines elements of both standardized and localized marketing strategies, in order to achieve the best of both worlds.

In conclusion, while using the same marketing strategy approaches and marketing mix worldwide can be beneficial in terms of cost savings and consistency, it's important for companies to be aware of the potential drawbacks and to adapt their approach to local market conditions and cultural differences.

To know more about marketing strategy refer here

https://brainly.com/question/29376574#

#SPJ11

Peggy would like to open a dog grooming business in her home. Which of the following, if true, would indicate this is a good idea?
a. More households now own dogs but the owners don't want to give them regular baths.
b. Fewer households now own dogs but the owners don't want to give them regular baths.
c. Fewer households now own dogs but the owners give them regular baths.
d. More households own dogs but the owners give them regular baths.

Answers

The answer that would indicate that opening a dog grooming business in her home is a good idea is:

a. More households now own dogs but the owners don't want to give them regular baths.

This option suggests that there is an increasing demand for dog grooming services due to more households owning dogs.

Furthermore, the fact that the owners don't want to give their dogs regular baths indicates a potential need for professional grooming services, making it a good business opportunity for Peggy.

To know more about grooming business refer here

https://brainly.com/question/730721#

#SPJ11

The jet on a water feature shoots a column of water H = 50 m high. The nozzle is located just above the surface of a reflecting pool and has a diameter of 3 cm. A submersible pump with a 10 cm diameter exit pipe and a 20 cm diameter inlet pipe located D = 50 cm below the surface of the pool operates the jet. For this configuration, find the pressure [kPa] at a point at the pump intake (A). Н. Nozzle Outlet Pipe D A Pump Inlet Pipe

Answers

The pressure at point A is 46.5 kPa.

To find the pressure at point A, we can use Bernoulli's principle, which states that the pressure in a fluid decreases as the fluid's speed increases.

At the nozzle outlet, the velocity of the water is given by the formula:

v = (2gh)^0.5

where v is the velocity, g is the acceleration due to gravity (9.8 m/s^2), and h is the height of the water column (50 m).

Plugging in the values, we get:

v = (2 * 9.8 * 50)^0.5 = 31.3 m/s

Using the formula for the velocity of a fluid flowing through a pipe:

v = Q/A

where Q is the flow rate, A is the cross-sectional area of the pipe, and v is the velocity.

We can rearrange this formula to solve for the flow rate:

Q = Av

At the nozzle outlet, the cross-sectional area of the pipe is:

A = π/4 * (0.03)^2 = 7.07 x 10^-4 m^2

So the flow rate is:

Q = 7.07 x 10^-4 * 31.3 = 2.22 x 10^-2 m^3/s

Now we can use the continuity equation to find the flow rate at the pump inlet:

Q = Av

where A is the cross-sectional area of the inlet pipe.

The diameter of the inlet pipe is 20 cm, so the radius is 10 cm = 0.1 m.

So the cross-sectional area of the inlet pipe is:

A = π/4 * (0.1)^2 = 7.85 x 10^-3 m^2

Therefore, the flow rate at the pump inlet is:

Q = 7.85 x 10^-3 * v

Plugging in the value we found for v earlier, we get:

Q = 7.85 x 10^-3 * 31.3 = 0.246 m^3/s

Now we can use Bernoulli's principle again to find the pressure at point A.

At the nozzle outlet, the pressure is atmospheric pressure, which we can assume is 101.3 kPa.

At the pump inlet, the pressure is given by:

P + 0.5ρv^2 + ρgh = constant

where P is the pressure, ρ is the density of water (1000 kg/m^3), and h is the depth of the pump inlet below the surface of the water (D + 0.5d, where d is the diameter of the exit pipe).

Plugging in the values, we get:

101.3 + 0.5 * 1000 * 31.3^2 + 1000 * 9.8 * (0.5 + 0.1) = P + 0.5 * 1000 * 0^2 + 1000 * 9.8 * (0.5 + 0.2)

Solving for P, we get:

P = 46.5 kPa

Therefore, the pressure at point A is 46.5 kPa.

Learn more about pressure here

https://brainly.com/question/12971272

#SPJ11

Answer questions 22 using the following information: You hold a long position in a June CME Group (CME) $205 Strike Price call option. The put option premium is $9. CME is trading at $200 per share.
22a.) What is the June CME $205 Strike Price put option’s intrinsic value component?
22b.) What is the June CME $205 call option’s time value component?
22c.) Assume you are the buyer of a MSFT $185 Strike Price put option at $9. MSFT closes at $167 on the put option’s expiration day. What is your profit or loss on the options expiration day?
Please leave a detailed explanation.

Answers

The intrinsic value component of the June CME $205 Strike Price put option can be calculated as the difference between the strike price and the current market price of the underlying asset.

The intrinsic value component of the June CME $205 Strike Price put option can be calculated as the difference between the strike price and the current market price of the underlying asset. Since the market price of CME is currently $200 and the strike price of the put option is $205, the intrinsic value component of the put option is $5 ($205 - $200).

The time value component of an option is the difference between its total premium and its intrinsic value. Since the premium of the June CME $205 Strike Price call option is not provided in the given information, it is not possible to calculate its time value component.

The profit or loss on a put option on its expiration day can be calculated by comparing the strike price of the option with the market price of the underlying asset on that day.

If the market price of the underlying asset is below the strike price of the put option, the option is in-the-money and has intrinsic value. If the market price is above the strike price, the option is out-of-the-money and has no intrinsic value.

In this case, the buyer of the MSFT $185 Strike Price put option has the right to sell MSFT at $185 on or before the option's expiration day. If the market price of MSFT on the expiration day is below the strike price of $185, the put option will have intrinsic value, which is the difference between the strike price and the market price.

Therefore, the put option will be in-the-money.

Given that MSFT closes at $167 on the put option's expiration day, the option is in-the-money and has intrinsic value of $185 - $167 = $18. However, the buyer of the put option paid a premium of $9 to purchase the option, which must be subtracted from the intrinsic value to determine the profit or loss on the option.

Therefore, the profit on the put option would be $18 - $9 = $9.

Learn more about intrinsic value: brainly.com/question/28342542

#SPJ11

an approach typical of traditional mass production in which a company controls all phases of a highly complex production process.

Answers

The approach typical of traditional "mass-production" in which a company controls all phases of a highly complex production process is called "vertical integration."

The "Vertical-Integration" is defined as a strategy in which a company owns and controls multiple stages of its supply chain, from raw materials to the finished product.

This approach allows the company to have more control over production process, reduce transaction costs, and improve efficiency.

For example, "Car-Manufacturer" uses vertical integration, own and operate its own steel mill to produce the steel for the car bodies, its own tire factory to produce the tires, and its own assembly line to put the car together.

So, By controlling all of these stages, the car manufacturer can optimize production and reduce costs, while also ensuring the quality of the final product.

Learn more about Vertical Integration here

https://brainly.com/question/31325331

#SPJ4

The given question is incomplete, the complete question is

An approach typical of traditional mass production in which a company controls all phases of a highly complex production process is called ?

Ashley works for a novelty candy company that specializes in seasonal products. She is part of a unit in which everyone is trained to do every job and empowered to make front-line decisions. As Ashley doesn't enjoy taking part in the required peer reviews, she is glad that management oversees hiring and firing decisions. Ashley and her coworkers comprise a ?a. self-designed team. b management team. c. project team d. self-managed team. e. traditional work group

Answers

A self-designed team is a group of individuals who come together to accomplish a specific task or goal.

Ashley and her coworkers are a self-designed team because they have been trained to do every job and have the authority to make decisions without needing approval from management. This type of team allows members to take ownership of their roles, use their individual strengths, and make decisions quickly and effectively.

However, Ashley is also glad that management oversees hiring and firing decisions as this ensures accountability and fairness within the team. Self-designed teams can be effective if the members have a clear goal and the necessary resources to accomplish it.

Know more about management here

https://brainly.com/question/14523862#

#SPJ11

The symptoms of employee disengagement described in this video will likely lead to ______ if the manager does not step in to solve these problems.High turnoverequity theoryproductive behvaiors

Answers

Employee disengagement can lead to a variety of negative outcomes, such as high turnover, decreased productivity, and a lack of motivation among employees.

If the manager does not step in to solve these problems, the disengagement will likely continue and worsen. The Equity Theory states that employees are motivated when they perceive that they are being treated fairly in comparison to others. If employees feel that they are being treated unfairly in comparison to their colleagues, they will become disengaged and unmotivated.

Additionally, employees may develop negative behaviors, such as apathy or hostility, if their disengagement is left unchecked. Therefore, it is important for managers to identify the symptoms of employee disengagement and take steps to address them in order to foster a productive and motivated work environment.

Know more about Equity Theory states here

https://brainly.com/question/31255413#

#SPJ11

> What is the value of a 30-year, 8% annual coupon bond, if YTM = 6%? = (If the answer is $1,234.56, then enter 1,234.56 (dollars and cents) without dollar sign.)

Answers

The bond is therefore worth $1,200.76.

What is the value of a 30-year, 8% annual coupon bond, if YTM = 6%?

A bond is a sort of financial product in which the issuer, typically a business or government, borrows money with the intent of repaying the bondholder with the principal amount borrowed plus interest at a predetermined later period.

Applying the formula for bond pricing:

Bond price is determined by (C / Y) x [1 - 1 / (1 + Y)n] + FV / (1 + Y)^n

Where: Y = yield to maturity = 6% or 0.06 n = number of years to maturity = 30 FV = face value = $1,000 C = yearly coupon payout = 8% x face value = 0.08 x $1,000 = $80

Inserting the values: Bond price is equal to ($80/0.06) x [1-1/ (1+0.06)30] + $1,000 / (1 + 0.06)^30

Bond cost: $1,206.76

The bond is therefore worth $1,200.76.

To Know more about Bond Visit:

brainly.com/question/30774968

#SPJ1

If the exchange rate between the dollar and the pound (the pound price of the dollar) is currently 1.4 (1£=$1.4), and is expected to be 1.5 in one year, what is the rate of change in the dollar ? Please answer in the xx.xx format with 2 decimal places (e.g. 12.34 to represent 12.34%) and preceed your answer with a "+" or "-" to represent an appreciation and depretiation of the dollar, respectively)

Answers

The rate of change in the dollar is +7.14%.

The rate of change is calculated as the difference between the future exchange rate and the current exchange rate divided by the current exchange rate, multiplied by 100 to express it as a percentage.

In this case, the future exchange rate is 1.5 and the current exchange rate is 1.4.

(1.5 - 1.4) / 1.4 * 100 = 0.1 / 1.4 * 100 = 7.14%

Therefore, the rate of change in the dollar is +7.14%, indicating an appreciation of the dollar against the pound. This means that in one year, the dollar will be able to buy more pounds than it can currently.

For more questions like Rate click the link below:

https://brainly.com/question/23715190

#SPJ11

by going public, netflix encountered competition from the large, established firms wal-mart and blockbuster. what aspect of netflix going public lured these firms into the market?group of answer choicesnetflix's plan to enter the online movie streaming market alerted rivals to the possibility of losing their market share.by going public, netflix was required to disclose its financial position.by going public, netflix was forced to reveal the cinematch algorithm used to classify user ratings.the migration of netflix services to cover the blu-ray disc market opened up opportunities for rivals.netflix's model of flat-rate monthly subscriptions was found to be more profitable than a per-disc rental fee model.

Answers

When Netflix went public, it likely revealed its plans to enter the online movie streaming market, which could have alerted rivals such as Wal-Mart and Blockbuster to the potential threat to their existing market share. Option A is correct.

Online movie streaming was a disruptive technology that posed a challenge to traditional brick-and-mortar movie rental stores like Wal-Mart and Blockbuster, as it offered a more convenient and affordable way for consumers to access movies.

By disclosing its plan to enter the online movie streaming market, Netflix may have prompted Wal-Mart and Blockbuster to take notice and respond by either entering the market themselves or adjusting their strategies to compete with Netflix. Therefore, Netflix's plan to enter the online movie streaming market could have lured these large, established firms into the market, as they sought to protect their market share from the potential threat posed by Netflix's disruptive business model.

Learn more about “  disruptive business model “ visit here;

https://brainly.com/question/5537831

#SPJ4

The migration of Netflix services to cover the Blu-ray disc market opened up opportunities for rivals due to the potential profitability of Netflix's model of flat-rate monthly subscriptions compared to per-disc rental fee models.

The part of Netflix's first public offering that attracted big, established companies like Wal-Mart and Blockbuster into the market was Netflix's ambition to enter the online movie streaming business, which warned competitors about the prospect of losing market share. Additionally, Netflix had to reveal its financial situation after going public, which may have given rivals useful information.

Rival companies may have entered the market as a result of Netflix's expansion of its services to the Blu-ray disc market as well as its more lucrative subscription model, which charges a fixed monthly price rather than a fee for each disc rented.

Learn more about Netflix:

https://brainly.com/question/30481681

#SPJ4

Generally, investors view the announcement of an open-market repurchase program as:
A. bad news, and the stock price drops.
B. good news, and the stock price increases.
C. a nonevent that does not affect the stock price.
D. very bad news, and the stock price plunges.

Answers

Generally, investors view the announcement of an open-market repurchase program as good news, and the stock price increases (option B).

When a company announces an open-market repurchase program, it means they plan to buy back their own shares from the market. This is typically viewed positively by investors for several reasons:

1. Sign of confidence: The management's decision to repurchase shares indicates they believe the stock is undervalued and expect its value to increase in the future.

2. Improved financial ratios: Share buybacks reduce the number of outstanding shares, leading to an increase in earnings per share (EPS) and other financial ratios. This can make the stock more attractive to investors.

3. Return of capital to shareholders: Companies often repurchase shares when they have excess cash and no better investment opportunities. This allows them to return capital to shareholders, which is usually welcomed by the market.

4. Support for the stock price: By purchasing their own shares, companies create demand for the stock, which can help stabilize or increase the stock price.

Overall, the announcement of an open-market repurchase program is considered good news by investors, as it signals the company's confidence in its future prospects and can lead to an increase in the stock price.

To know more about open-market refer here

https://brainly.com/question/28290429#

#SPJ11

Other things being constant, if the marginal propensity to save (MPS) is 0.1, and private investment spending falls by $100 million, then real Gross Domestic Product (GDP) A) decreases by $10 million. B) increases by $90 million. C) decreases by $1 billion. D) increases by $1 billion

Answers

Other things being constant, if the marginal propensity to save (MPS) is 0.1, and private investment spending hypothetical economy falls by $100 million, then real Gross Domestic Product. The correct answer is A) decreases by $10 million.

Reduction of more than $10 billion. If investment spending dropped by $5 to $10 billion and the marginal propensity to save was 0.25, real GDP in the Hypothetica economy would fall by more than $10 billion.

The investment multiplier is equivalent to one divided by one divided by (one divided by MPC) or one divided by MPS equals one divided by zero. When MPC + MPS = 1 or MPS = 1- MPC, 25 equals 4. Hence, a change in real GDP comes after a change in investment and a change in investment before a change in real GDP.Multiplier for investments: $10 billion divided by four is $40 billion.

To know more about hypothetical economy visit:

https://brainly.com/question/30321415

#SPJ4

carrying charge is
15%
. The EOQ is? (round up to the nearest whole number) 1. 164 pounds 2. 566 pounds 3. 163 pounds 4. 26667 pounds

Answers

The information given in the question is insufficient to calculate the EOQ. EOQ stands for Economic Order Quantity, and it is a mathematical formula that calculates the optimal quantity of inventory to order based on certain assumptions and variables, such as demand, ordering costs, holding costs, and lead time. The formula for EOQ is:

EOQ = sqrt((2DS)/(H))

Where D is annual demand, S is ordering cost, and H is holding cost. Without knowing these variables, we cannot calculate the EOQ.

For more questions like Cost click the link below:

https://brainly.com/question/30045916

#SPJ11

company a sells item x. item x had a book value of $43,000. the replacement cost was $39,000. item x has a selling price of $44,500. additional shipping costs were $330. the normal profit margin was $4,250. assuming the company uses the lower-of-cost-or-market to value its inventory, what should the amount of write-down be?

Answers

The amount of write-down for item x should be $3,000.Therefore, the amount of write-down for item X using the lower-of-cost-or-market method should be $4,000.

The lower-of-cost-or-market method requires that the inventory be valued at the lower of its cost or market value, which in this case is $39,000.

Subtracting the selling price of $44,500, additional shipping costs of $330, and normal profit margin of $4,250 from the market value of $39,000 results in a write-down of $3,000.
Let's use the given information to find the write-down amount for item X using the lower-of-cost-or-market method.

Step 1: Determine the market value of item X.
The market value is the replacement cost of the item, which is given as $39,000.
Step 2: Compare the market value with the book value and the selling price.
The book value of item X is $43,000, and the selling price is $44,500. The lower-of-cost-or-market method requires us to compare the market value ($39,000) with the book value ($43,000) to determine the value of the inventory.
Step 3: Calculate the write-down amount.
Since the market value ($39,000) is lower than the book value ($43,000), the company will need to write down its inventory by the difference between these two values:
Write-down amount = Book value - Market value
Write-down amount = $43,000 - $39,000
Write-down amount = $4,000
For more such questions on market

https://brainly.com/question/30665904

#SPJ11

the belief that investors require a higher return to entice them into holding long-term securities is the viewpoint of themultiple choiceexpectations hypothesis.market segmentation theory.liquidity premium theory.market credit crunch theory.

Answers

The belief that investors require a higher return to entice them into holding long-term securities is the viewpoint of the C. Liquidity Premium Theory.

Investors generally prefer liquid assets because they can be easily converted into cash without significant loss of value. Long-term securities, on the other hand, require investors to commit their funds for a longer period, which may expose them to greater interest rate risk, credit risk, and other market uncertainties. As a result, investors demand a premium, or additional return, to compensate for the risks and lower liquidity associated with long-term securities.

The Liquidity Premium Theory is one of several theories that attempt to explain the shape of the yield curve, which is a graphical representation of interest rates on different maturities of debt securities. The Expectations Hypothesis (A) and Market Segmentation Theory (B) are alternative theories that offer different perspectives on the yield curve.

The Expectations Hypothesis posits that long-term interest rates are primarily determined by market expectations of future short-term rates, while Market Segmentation Theory suggests that separate demand and supply factors drive the pricing of short-term and long-term securities. The Market Credit Crunch Theory (D) is not a relevant choice for explaining the preference for higher returns on long-term securities. Therefore, the correct option is C.

The question was incomplete, Find the full content below:

the belief that investors require a higher return to entice them into holding long-term securities is the viewpoint of the multiple choice

A. expectations hypothesis.

B. market segmentation theory.

C. liquidity premium theory.

D. market credit crunch theory.

Know more about Liquidity Premium Theory here:

https://brainly.com/question/30045033

#SPJ11

in a ________, automation of a production line is achieved by controlling and guiding all machinery with computers.

Answers

In a flexible manufacturing system, automation of a production line is achieved by controlling and guiding all machinery with computers.

A production technique called a flexible manufacturing system (FMS) is made to quickly adjust to changes in the kind and volume of the product being manufactured. A variety of parts can be manufactured by machines and automated systems, which can also adapt to changing production levels.

Efficiency and production costs, which are major factors in the process of business development, can both be improved by a flexible manufacturing system (FMS). Another important element of a make-to-order strategy that allows for personalized items and maintains minimal inventories is flexible manufacturing.

Learn more about flexible manufacturing systems:

brainly.com/question/30565007

#SPJ4

1. What are the technical and economic objectives of Mineral
Processing?
2. As a future Mining Engineer, what is the relevance of Mineral
Processing to your profession?

Answers

Mineral processing is a vital aspect of a Mining Engineer's profession, as it helps achieve technical and economic objectives in mining projects, ultimately leading to a more sustainable and profitable mining industry.

Understanding mineral processing

As a future Mining Engineer, mineral processing is highly relevant to your profession as it plays a crucial role in achieving technical and economic objectives.

The technical objectives of mineral processing involve extracting valuable minerals from ores, concentrating them, and refining the extracted minerals to achieve a marketable product.

Economically, the goal is to optimize production costs and increase the overall profitability of mining operations. Understanding and applying mineral processing techniques allow you to efficiently separate valuable minerals from waste materials, improving the overall recovery rate.

This knowledge helps you to design more effective mining processes, which contribute to reduced energy consumption, waste generation, and environmental impact.

Learn more about mineral processing at

https://brainly.com/question/23453353

#SPJ11

which company is considered the gold standard as an erp vendor? group of answer choices microsoft epicor oracle sap infor erp

Answers

SAP (Systems, Applications, and Products) is widely regarded as the gold standard among ERP (Enterprise Resource Planning) vendors.

SAP is a German multinational software company that offers a wide range of enterprise software solutions, including ERP, CRM (Customer Relationship Management), and SCM (Supply Chain Management) systems. SAP's ERP software is known for its robust functionality, scalability, and flexibility, making it a popular choice for large organizations with complex business processes. SAP's ERP software is also highly customizable, allowing organizations to tailor the software to their specific business needs. Additionally, SAP's extensive ecosystem of partners and consultants provides organizations with a wide range of implementation and support options. Overall, SAP's ERP software is considered the industry standard for large organizations seeking a comprehensive, scalable, and flexible solution.

Learn more about (Systems, Applications, and Products)

https://brainly.com/question/31450390

#SPJ4

if the sales cost is $8000 per salesperson, how many salespersons should the company employ to maximize the expected profit

Answers

To determine the number of salespersons the company should employ to maximize expected profit, we need more information about the company's revenue, expenses, and profit margins. Without this information, it is not possible to provide a definitive answer.

However, in general, a company would employ as many salespersons as necessary to generate enough revenue to cover their salaries and expenses while still earning a profit. The number of salespersons needed would depend on factors such as the company's product or service, its target market, its sales strategy, and the competition in its industry.

Therefore, the answer to this question would require more information about the company's specific situation and cannot be determined based solely on the given sales cost per salesperson.

Learn more about salespersons ,

https://brainly.com/question/30297250

#SPJ4

choose the word normally pronounced with aspiration of [p].

Answers

The word that is normally pronounced with aspiration of [p] is "pat". This aspiration is caused by the release of pressure from the lungs as the consonant is produced.

Aspiration is the puff of air that accompanies the release of some consonants in English, including /p/, /t/, and /k/. When a word begins with an aspirated consonant, such as "pat", a small puff of air is released when the sound is pronounced.

Aspiration is an important feature of English pronunciation and can affect the meaning of words. For example, the words "pat" and "bat" are distinguished by the presence or absence of aspiration.

When the [p] in "pat" is aspirated, it is pronounced with a puff of air, while the [b] in "bat" is not aspirated, meaning that there is no puff of air accompanying the sound. As a result, the pronunciation of the word "pat" is normally accompanied by the aspiration of [p].

To learn more about aspiration click on,

https://brainly.com/question/30252115

#SPJ4

how does earned value give a clearer picture of project schedule and cost status than a simple plan versus actual system?

Answers

earned value  (EV) provides a clearer picture of project schedule and cost status compared to a simple plan versus an actual system because it integrates both schedule and cost performance into a single metric.

While a plan versus actual system compares planned costs and schedules to actual costs and progress, it doesn't account for the interrelationship between the two. By using Earned Value Management (EVM), you can track both the project schedule and cost status simultaneously. It compares the actual work completed (Earned Value) against the planned work (Planned Value) and actual costs (Actual Cost). This allows you to identify schedule variances (Schedule Variance = EV - PV) and cost variances (Cost Variance = EV - AC) to better understand project performance and make informed decisions. In summary, Earned Value offers a more comprehensive view of project schedule and cost status by considering both aspects and their relationship, whereas a simple plan versus an actual system only looks at them independently.

Learn more about earned value here:

https://brainly.com/question/28091675

#SPJ11

akshay's opportunity cost of creating slides is 20% lower than stella's. however, as the senior partner, his billing rate is 15% higher. based on all of these facts, has a comparative advantage in creating slides.

Answers

Akshay has a comparative advantage in creating slides. This is because his opportunity cost of creating slides is 20% lower than Stella's. This means that Akshay has to give up fewer resources to create the same number of slides as Stella.


Moreover, even though Akshay's billing rate as the senior partner is 15% higher, this does not affect his comparative advantage in creating slides. Comparative advantage is based on opportunity cost, which is the value of the next best alternative forgone. Therefore, Akshay's ability to create slides at a lower opportunity cost than Stella gives him the advantage in this area.

Overall, Akshay has a comparative advantage in creating slides because he can produce them at a lower opportunity cost than Stella. This means that Akshay should focus on creating slides while Stella should focus on other tasks where she has a comparative advantage.

To know more about Comparative advantage visit:

https://brainly.com/question/28296322

#SPJ11

a. What is the expected return of each asset? b. What is the variance of each asset? c. What is the standard deviation of each asset? Expected retur and standard What i the expected return Whal is the vanance each asse What is the standard deviation of Data table Hint: Make suro round all intermed (Click on the following icon Di order copy its contents into = spreadsheet ) ansyCrc you will type_ Return on Asset A in Stabe Return on Asset B in State Return on Asset € in Stale 0.28 State of Economy Boom Norma Recession Frobabilicy of State What is the expected return of as: (Round four decimal places 0.0J 0.29 What i Ihe expected relur asset (Round four decimal places )

Answers

The expected return of Asset A is 0.29, the expected return of Asset B is 0.24, and the expected return of Asset C is 0.17


To answer your questions regarding expected return, variance, and standard deviation of each asset, we need to follow these steps:

Step 1: Identify the given data
We need the probability of each state of the economy, and the return on Asset A, B, and C for each state. Unfortunately, the data table is not provided in your question, so I will use generic terms for explanation.

Step 2: Calculate the expected return of each asset
Expected Return = (Return in Boom * Probability of Boom) + (Return in Normal * Probability of Normal) + (Return in Recession * Probability of Recession)

For each asset, substitute the given values and calculate the expected return.

Step 3: Calculate the variance of each asset
Variance = ((Return in Boom - Expected Return)^2 * Probability of Boom) + ((Return in Normal - Expected Return)^2 * Probability of Normal) + ((Return in Recession - Expected Return)^2 * Probability of Recession)

For each asset, substitute the calculated expected return and given values to calculate the variance.

Step 4: Calculate the standard deviation of each asset
Standard Deviation = √Variance

For each asset, find the square root of the calculated variance.

Once you have the data table, follow these steps to calculate the expected return, variance, and standard deviation for each asset. Remember to round the intermediate and final answers to four decimal places as instructed.

a. The expected return of Asset A is 0.29, the expected return of Asset B is 0.24, and the expected return of Asset C is 0.17.

b. The variance of Asset A is 0.0019, the variance of Asset B is 0.0027, and the variance of Asset C is 0.0009.

c. The standard deviation of Asset A is 0.044, the standard deviation of Asset B is 0.052, and the standard deviation of Asset C is 0.03.

Learn more about Asset : brainly.com/question/25746199

#SPJ11

suppose the government doesn't want to discourage employers from hiring laboratory aides and, therefore, wants to minimize the share of the tax paid by the employers. of the three tax proposals, which is best for accomplishing this goal? the proposal in which the entire tax is collected from workers the proposal in which the tax is collected from each side evenly the proposal in which the tax is collected from employers none of the proposals is better than the others

Answers

The proposal in which the tax is collected from workers would not be best for accomplishing the goal of minimizing the share of tax paid by employers. The proposal in which the tax is collected from each side evenly would also not be the best option, as it still places a significant burden on employers.

The best proposal for minimizing the share of tax paid by employers would be the one in which the tax is collected from employers. This would ensure that the cost of hiring laboratory aides is not too high for employers, thus encouraging them to continue hiring. Based on your question and the provided terms, the best tax proposal for the government to minimize the share of the tax paid by employers would be the one in which the entire tax is collected from workers. This proposal ensures that employers do not bear any financial burden from the tax, thus not discouraging them from hiring laboratory aides.

Learn more about tax here: brainly.com/question/12611692

#SPJ11

Before a dimension of quality can be made operationally useful, it must be restated in some form. Multiple ChoiceO qualitative O marketable O manipulative O certifiable O measurable

Answers

Before a quality dimension can be made operationally useful, it must be restated in a measurable form. Here option E is the correct answer.

Measurable dimensions of quality can be defined and quantified using specific metrics, such as time, cost, or customer satisfaction ratings. Measurable dimensions of quality are essential for determining whether quality objectives are being met and for identifying areas for improvement.

Before a dimension of quality can be made operationally useful, it must be restated in a measurable form. For example, a dimension of quality such as "customer satisfaction" could be restated as a "percentage of customers who rate their experience as satisfactory on a 5-point scale." By restating the dimension of quality in a measurable form, it becomes possible to track progress over time, set goals, and make data-driven decisions.

In addition to being measurable, dimensions of quality must also be relevant and actionable. This means that they should be aligned with the needs and expectations of customers and that the organization should have the ability to influence and improve the dimension of quality.

To learn more about the quality dimension

https://brainly.com/question/28256528

#SPJ4

Complete question:

Before a dimension of quality can be made operationally useful, it must be restated in some form. Multiple Choice

A - qualitative

B - marketable

C - manipulative

D - certifiable

E - measurable

A Starbucks Grande Latte costs $3.75 in the U.S. and 28 yuan in China. The nominal exchange rate is 6.75 yuan per dollar. The real exchange rate is a. 1.106. If purchasing-power parity held the nominal exchange rate would be higher b. 1.106. If purchasing-power parity held the nominal exchange rate would be lower c. 904. If purchasing power parity held the nominal exchange rate would be higher. d. 904. If purchasing power parity held the nominal exchange rate would be lower.

Answers

A Starbucks Grande Latte costs $3.75 in the U.S. and 28 yuan in China. The nominal exchange rate is 6.75 yuan per dollar. The real exchange rate is (d) 904. If purchasing power parity held the nominal exchange rate would be lower is correct option.

To compare the prices of Starbucks Grande Latte in the U.S. and China, need to convert the prices to a common currency. Using the nominal exchange rate of 6.75 yuan per dollar:

The price of a Grande Latte in the U.S. is $3.75.

The price of a Grande Latte in China is 28 yuan / 6.75 yuan per dollar = $4.15.

Therefore, the price of a Grande Latte is higher in China than in the U.S. based on the nominal exchange rate.

To calculate the real exchange rate, we need to use the formula:

Real exchange rate = (Nominal exchange rate x Domestic price) / Foreign price

Using the U.S. price as the domestic price and the Chinese price as the foreign price, we get:

Real exchange rate = (6.75 yuan per dollar x $3.75) / 28 yuan = 0.899

Therefore, the real exchange rate is 0.899, which means that the Chinese currency is undervalued compared to the U.S. currency based on the relative prices of Starbucks Grande Latte.

If purchasing-power parity (PPP) held, the nominal exchange rate would adjust to equalize the prices of goods and services between the two countries. Since the price of a Grande Latte is higher in China than in the U.S., the nominal exchange rate would need to be lower than 6.75 yuan per dollar to achieve PPP.

Therefore, the correct answer is (d). 904. If purchasing power parity held the nominal exchange rate would be lower.

To know more about exchange rate

https://brainly.com/question/14420739

#SPJ4

Other Questions
An electron is in a one-dimensional box. When the electron is in its ground state, the longest wavelength photon it can absorb is 540 nm Part A What is the next longest-wavelength photon it can absorb, again starting in the ground state? Express your answer with the appropriate units UA ? X = 135 um Submit Previous Answers Request Answer X Incorrect; Try Again: 4 attempts remaining If you could only take two pieces of equipment with you to a patient's side, in addition to the jump kit, you should choose the:a. AED and portable suction unit.b. BVM and portable oxygen. c. cervical collar and long backboard.d. oral airways and sterile dressings. I am lost..please help don't know where I need to find first! How did the Turkish conquest of the Byzantine Empire cause Greek/Roman writings to arrive in Italy Question from Romeo and Juliet photo attached answer in short paragraph Chiz enterprise reports its gross sales/receipts during the quarter as follows: 200,000 100,000 Sale of computers Gross receipts - computer repairs Sales returns and allowances 20,000 10.000 Sales discounts for early payments Input VAT on purchases 13,600 Please select the word from the list that best fits the definition Family that consists of two or more generations. Using the phase diagram for CO2, what phase is carbon dioxide in at -60C and 15 atm pressure Aerobic respiration produces a net of ___ ATP, with ___ required to move ___ into the mitochondrion HUMANITIESBoth men and women were actors in Greek tragedies and comedies.True False andAsingle ruler of a city is called a what?A.tyrantB.GodC.KingD.Mayor What can directly access and change the value of the variable roomNr? package com.mycompany; public class Hotel { protected int roomNr = 100; } a) only the Hotel class b) any class c) any class in com.mycompany package d) any class that extends Hotel Answer: Seen a great film or band recently? Read a brilliant book? Listened to some awesome music? Played a fantastic computer game? Discovered a new app? Then myreviews.web wants to hear from you. We will publish your review on our website and the best five reviews every week will win 100 of shopping vouchers. Writing Task Write a review for the website. In your review, you should include: a detailed description of what you are reviewing what you liked and disliked about it who you would recommend it to and why details of costs or any other useful information. Use sentences and write in Standard English. Begin your review on the next page. (15) Your company purchases Joe's High-Octane Java for resale in 250 milliliter bottles. The bottling process is known to have a standard deviation of 4.7 milliliters. Recently, you have noticed a significant number of bottles are overfilled and leaking. You hope to work with Joe to reduce the frequency of this occurrence. What must the target mean for the filling process be to ensure that bottles are overfilled less than 3 percent of the time? Present/round your answer to two (2) decimal places. If a Z-value can be directly interpolated (e.g., 1.645), please do so. Otherwise, use the closest value of Z. Z- value Target Value Which of the following is an incorrect statement? A. a corporation may file suit in its own name without the principals filing suitB. a corporation may form a contract in its own name without the principals guaranteeing the contractC. a corporation can be sued without the principals being suedD. a corporation may incur obligations separate from those of its principals Historically, JT Enterprises has a P/E ratio of 18.4. The firm has current net income of $83,500 with 150,000 shares of stock outstanding. The EPS growth rate is 12.6 percent What is the expected price of this stock one year from now? O $15.62 O $1153 O $13.14 O $13.82 O $15.38 Question 7 Deficiencies of can lead to symptoms of depression, confusion, and lack of coordination because of their roles in neurotransmitter synthesis. sodium and potassium B vitamins calcium and vitamin D vitamin A and beta carotene A bag of M&Ms is dumped on the table and you count 97 blue pieces. Estimate how many total M&Ms were in the bag. 4) According to Mars, the makers of M&Ms, their factory produces 25% blue M&Ms, 25% orange, and 12.5% for each of the remaining colors. How do the tables numbers compare to these? Calculate the difference between these values and our class averages for each color. 5) What are some reasons why the M&M bags would differ from the expected distribution? whats the difference from berate or battle if the initial sample is 6.00 g, what mass of the original iridium192 remains after 35 days? 90% of what number is 135?