what eventually became a household appliance and drastically changed the music business? jazz history

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Answer 1

The household appliance that eventually changed the music business was the phonograph.

A phonograph is a device that records and plays back sounds. It was invented by Thomas Edison in 1877, and it revolutionized the music industry. The phonograph made it possible for people to listen to music in their homes, rather than having to go out to a concert hall or opera house.

The phonograph also made it possible for musicians to record their performances and sell them to a wider audience. Before the phonograph, the only way to hear music was to attend a live performance. This made it difficult for musicians to gain exposure and make a living. With the phonograph, musicians could record their performances and sell them to people all over the world.

The phonograph also led to the development of the record industry. Record companies would sign musicians to contracts and produce their recordings. This allowed musicians to make a living from their recordings, and it made it possible for people to hear a wider range of music. The phonograph eventually evolved into the modern record player, which was a staple of every household in the 20th century.

Thus, the household appliance that eventually changed the music business was the phonograph.

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Related Questions

When direct labor costs are recorded in a job costing: Multiple Choice 0 Factory Wages Payable is debited and Work in Process Inventory is credited. 0 Work in Process Inventory is debited and Factory Wages Payable is credited. 0 Cost of Goods Manufactured is debited and Direct Labor is credited. 0 Direct Labor and Indirect Labor are debited and Factory Wages Payable is credited. 0 Work in Process Inventory is debited and Factory Overhead is credited.

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When direct labor costs are recorded in a job costing system, Work in Process Inventory is debited and Factory Wages Payable is credited. The correct option is  Work in Process Inventory is debited and Factory Wages Payable is credited.

Job costing is a costing method that is used when goods are manufactured to order, unlike process costing where large quantities of identical products are produced. The costs of the various components of a product, such as direct labor, direct materials, and overhead costs, are recorded and accumulated in a job costing system.

The manufacturing process is divided into work-in-progress, finished goods, and cost of goods sold. During the production of a product, labor is one of the primary direct costs. When direct labor costs are incurred and recorded in a job costing system, the account Work in Process Inventory is debited, while the account Factory Wages Payable is credited.

The amount debited to Work in Process Inventory is equivalent to the actual cost of direct labor for that job or work order. The journal entry to record the direct labor costs in a job costing system is as follows: Work in Process Inventory account is debited for the amount of direct labor, and Factory Wages Payable account is credited for the same amount.

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which of the following accounts is a temporary account? multiple choice accounts receivable. interest payable. accounts payable. cash. salaries expense.

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"Salaries Expense" is the account that is a temporary account.

Is the salary cost account a temporary one?

While revenue and expense accounts are transitory accounts that can be found on your income statement and must be closed each accounting period, assets, liabilities, and equity accounts are all permanent accounts that can be found on your balance sheet.

Which one is a permanent account?

Savings, checking, investment, retirement, and credit card accounts are a few types of non-temporary accounts. Revenues, expenses, cost of goods sold, income tax expense, unearned revenue, payroll tax expense, and interest income are examples of temporary accounts.

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you purchase 100 shares of stock in abc for $50 per share in january 2003 and sell the stock at the end of 2006 for $90. what is your internal rate of return on this investment?

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The internal rate of return on this investment is 19.94%.

To answer the given question, the internal rate of return on the investment can be calculated using the formula:

I = [(FV/PV) ^ (1/n) - 1] x 100

Where I is the internal rate of return, FV is the future value, PV is the present value, n is the number of periods.

In this case, the initial investment was $50 per share, and 100 shares were purchased. Therefore, the initial investment was

$50 x 100 = $5,000.

The stock was sold at the end of 2006 for $90 per share.

Therefore, the future value of the investment was $90 x 100 = $9,000.

The investment was held for 4 years (January 2003 to December 2006), so the number of periods is 4.

Using the formula, we can calculate the internal rate of return:

I = [(9000/5000) ^ (1/4) - 1] x 100= [(1.8) ^ (0.25) - 1] x 100= 19.94%

Therefore, the internal rate of return on the investment is approximately 19.94%.

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a turnaround strategy involves reversing performance decline and reinvigorating growth toward profitability. the firm should analyze the external and internal environments carefully. what will the internal analysis reveal?

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An internal analysis as part of a turnaround strategy will reveal the strengths and weaknesses of the firm's resources, capabilities, and overall business model.

The analysis will assess the firm's current financial performance, including its cost structure and revenue streams. It will also examine the efficiency of the firm's operations, including production processes, inventory management, and supply chain logistics. The analysis will also evaluate the effectiveness of the firm's management, leadership, and organizational culture.

By understanding its internal strengths and weaknesses, a firm can identify areas for improvement and develop a plan for restructuring and realigning its resources to achieve profitability.

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a deliverable is a condition or capability needed by the client or a user to solve a problem or achieve an objective that satisfies a standard, a specification, or any other formally documented needed truefalse

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Deliverables, on the other hand, are results that must be met within a specified time frame. They are the foundation of the project and the critical building blocks that must be completed to ensure the project's success.

As a question-answering bot, here are some guidelines to follow when answering questions:

1. Always be factually accurate, professional, and friendly

2. Be concise and do not provide extraneous amounts of detail

3. Ignore any typos or irrelevant parts of the question

4. Use the following terms in your answer, Student question: a deliverable is a condition or capability needed by the client or a user to solve a problem or achieve an objective that satisfies a standard, a specification, or any other formally documented needed true/false. In 160 words.

Deliverables are products or services provided to clients that solve their problems or meet their needs. A deliverable is a condition or capability required by the client or user to solve a problem or achieve an objective that meets a standard, specification, or other formally documented requirements.

As a result, the deliverables must be well-defined, measurable, and agreed upon by the stakeholders. In project management, deliverables are critical because they define the project's scope, cost, quality, and timeline, and they enable the project team to focus on the task at hand. It's important to note that not all items in a project are deliverables.. Therefore, it's important to define the deliverables at the start of a project to ensure that all parties understand the project's scope and objectives.

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A deliverable is a condition or capability needed by the client or a user to solve a problem or achieve an objective that satisfies a standard, a specification, or any other formally documented need. This statement is true.

The given statement "a deliverable is a condition or capability needed by the client or a user to solve a problem or achieve an objective that satisfies a standard, a specification, or any other formally documented need" is true because a deliverable is a tangible or intangible product, service, or result that is produced by a project team as part of a project. The deliverable is a tangible or intangible item that has been successfully created and delivered by the project team in accordance with the project requirements and specifications. The deliverables are the actual results of a project that are delivered to a client, stakeholder, or end-user.

A deliverable can take many forms, including documents, software, hardware, prototypes, designs, research findings, and other forms of output. A deliverable is a condition or capability that is required by the client or end-user to solve a problem or achieve an objective that meets a standard, specification, or other formally documented requirement. Therefore, the statement "A deliverable is a condition or capability needed by the client or a user to solve a problem or achieve an objective that satisfies a standard, a specification, or any other formally documented need" is true.

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a house is sold with an assumable $156,000 below-market loan at 8.5% for a remaining term of 15 years. current rates are 9.75% for 15 year mortgages. if the house sold for $240,000, what is the cash-equivalent value of the house, representing the price at which the loan can be sold to a new buyer?

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The Cash-Equivalent Value of the House (CEVH) is $183,339.77 when the loan is sold to a new buyer.

An assumable below-market loan on a house sold for $240,000 has a remaining term of 15 years at 8.5%. Current market rates are 9.75% for 15-year mortgages. We are given an assumable below-market loan on a house sold for $240,000 with a remaining term of 15 years at 8.5% and current market rates of 9.75% for 15-year mortgages.

The market rate (MR) = 9.75%Loan Rate (LR) = 8.5%Amount of the loan (AL) = $156,000House value (HV) = $240,000Time period (t) = 15 years. Let us first calculate the mortgage payment. The formula for a mortgage payment is `PV = PMT * [(1 - (1 + r)^-n) / r]` Where, PV = loan amount, PMT = mortgage payment, r = interest rate per period, and n = a number of payments per period.

Now, let us calculate the mortgage payment: PV = $156,000t = 15 years = 8.5% / 12 = 0.00708333333333333n = 15 * 12 = 180Now, mortgage payment can be calculated as $ 1,478.05Let us calculate the cash equivalent value of the house: Cash-Equivalent Value of House (CEVH) = HV – [PV * (1 – (1 + MR)^-t) / MR]Now, we can calculate the cash equivalent value of the house by plugging in the values: CEVH = $240,000 - [$156,000 x (1 - (1 + 0.0975/12)^-180) / (0.0975/12)]

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Which of the following is not one of the key characteristics of good market research?
ethical

accuracy

timeliness

reliability

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Ethical research is not one of the key characteristics of good market research.

Hence, the answer is option A.

What does the term "market" signify in economics?

A market is a venue where buyers and sellers may come together to facilitate the exchange or transaction of products and services. Markets might be real-world, like a physical store, or virtual, like an online shop.

Exactly is a market?

A mechanism whereby commodities and services are exchanged as a result of buyers and sellers coming into contact with one another, either directly or through intermediary agents or organisations.

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Which person should most consider purchasing life insurance?
A. Todd is a single parent in his 30s who owns a home.
B. Chaz is a widower with no children.
C. Hendrix is a teenager who lives with his parents.
D. Shelly is a single woman in her 60s with no debt.

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Answer:

C

Explanation:

Answer:

The correct answer is A) Todd is a single parent in his 30s who owns a home.

Explanation:

I just had it on a test and got it right

an agreement that is lacking consideration: group of answer choices is void as against public policy. is not enforceable, and thus cannot be performed. is enforceable only if in writing. is not enforceable, but can be voluntarily performed.

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An agreement that is lacking consideration is option D. is not enforceable, but can be voluntarily performed.

What is agreement?

In law, an agreement is a meeting of the minds between two or more parties, resulting in an understanding or arrangement. It can be expressed in writing or verbally, and it may be formal or informal.

For an agreement to be legally enforceable, it must meet certain criteria. which involves Offer and acceptance where  One party must make an offer, and the other party must accept it. Consideration where there must be something of value exchanged between the parties. This could be money, goods, services, or anything else of value.

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Fill in the blanks Domain 2 lesson 3

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Developing a sales presentation is part of the preparation step of a sales process.

What is involved in preparation step of a sales process?

The preparation step of a sales process is crucial in ensuring the success of the sales interaction. In this stage, the salesperson researches the potential client, their needs and preferences, and prepares a strategy for approaching them.

All these includes gathering information on the client's industry, competitors, and business objectives. The salesperson should also research the client's budget and purchasing power to ensure that the product or service they are offering is a good fit.

In addition, the salesperson should prepare a presentation or proposal that highlights the unique value proposition of their product or service and how it can meet the client's needs.

Full question "Fill in the blanks Domain 2 lesson 3. Developing a sales presentation is part of the ________ step of a sales process. [Elements of a Sales Process]

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in what way does design thinking differ from the commonly held notion of the innovation process? econ 125

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Design thinking differs from the commonly held notion of the innovation process in the following ways:

In the design thinking process, emphasis is placed on empathy with the user's problem, while in the conventional innovation process, technological advancement is prioritized.The iterative process of problem identification and analysis is the first step in the design thinking process, while the conventional innovation process is a linear process.In the design thinking process, an interdisciplinary team is essential, while in the conventional innovation process, team members come from a single discipline.In the design thinking process, the problem and the end-users are at the center of the process, while in the conventional innovation process, technology is at the center of the process.In the design thinking process, prototyping is an important phase that leads to rapid iteration, while in the conventional innovation process, prototyping is conducted after the innovation is completed, and the product is taken to the market.A design-driven culture is a characteristic of design thinking, whereas innovation is the driving force behind the conventional innovation process, rather than culture.

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suppose the world price of tobacco falls significantly. the demand for labor among tobacco-producing firms in kentucky will

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If the world price of tobacco falls significantly, the demand for labor among tobacco-producing firms in Kentucky will decrease.

How is demand affected by the  world price of tobacco when price falls?

When the world price of tobacco falls, the revenue of tobacco-producing firms in Kentucky will also decrease.

As a result, these firms will have less money to spend on various inputs, including labor. With a lower demand for tobacco, these firms will produce less, and they will need fewer workers to produce the lower quantity of tobacco.

Thus, the fall in the world price of tobacco will cause a decrease in the demand for labor in the tobacco-producing industry in Kentucky.

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if budgetary fund balance was debited in the process of recording a budget for the general fund of a governmental unit, it can be assumed that:

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If budgetary fund balance was debited in the process of recording a budget for the general fund of a governmental unit, it can be assumed that the governmental unit has authorized the use of the funds within the budgetary fund balance to finance the general fund's budget.

The debiting of budgetary fund balance indicates that the governmental unit is utilizing its funds to finance its budget. It also indicates that the governmental unit is prepared to take on the financial responsibility associated with this budget.

The funds in the budgetary fund balance have been set aside to cover specific expenses, and when they are debited, it means that the unit is using the funds to cover the cost of the budget.

This type of transaction usually occurs when the governmental unit needs to increase its financial capability, either through the use of its own funds or through borrowing from external sources. By debiting the budgetary fund balance, the governmental unit is indicating that it is ready to use the funds to cover the budget.

Overall, the debiting of budgetary fund balance indicates that the governmental unit is utilizing its funds to finance its budget. It also indicates that the governmental unit is prepared to take on the financial responsibility associated with this budget.

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The marginal propensity to consume in the nation of Erd is 0.75 What is the value of the government spending multiplier and what is the value of the tax multiplier?

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The government spending multiplier in the nation of Erd is 4, and the tax multiplier is -3.

What is the government spending multiplier?The government spending multiplier is the value by which government spending increases or decreases total spending in the economy. The formula for the government spending multiplier is as follows:Government spending multiplier = 1 / (1 - marginal propensity to consume)The marginal propensity to consume in the nation of Erd is given as 0.75. So, we can substitute this value in the formula and calculate the government spending multiplier:Government spending multiplier = 1 / (1 - 0.75) = 4.

What is the tax multiplier?The tax multiplier is the value by which taxes change total spending in the economy. The formula for the tax multiplier is as follows:Tax multiplier = - (marginal propensity to consume) / (1 - marginal propensity to consume)Again, the marginal propensity to consume in the nation of Erd is 0.75. So, we can substitute this value in the formula and calculate the tax multiplier:Tax multiplier = - (0.75) / (1 - 0.75) = -3Therefore, the government spending multiplier in the nation of Erd is 4, and the tax multiplier is -3.

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The government spending multiplier and tax multiplier can be determined by knowing the marginal propensity to consume (MPC).

The value of the government spending multiplier can be calculated by using the formula: Multiplier = 1/(1-MPC).

Using the given value of the MPC of 0.75, we can substitute it in the formula:Multiplier = 1/(1-0.75) = 1/0.25 = 4Hence, the government spending multiplier in the nation of Erd is 4.

This means that for every $1 increase in government spending, the GDP will increase by $4.The value of the tax multiplier can be calculated by using the formula: Multiplier = -MPC/(1-MPC)Using the given value of the MPC of 0.75, we can substitute it in the formula:Multiplier = -0.75/(1-0.75) = -0.75/0.25 = -3Hence, the tax multiplier in the nation of Erd is -3. This means that for every $1 decrease in taxes, the GDP will increase by $3

MPC or the marginal propensity to consume is the increase in consumer spending that results from an increase in income or production. It is expressed as a fraction or decimal and ranges between 0 and 1.The government spending multiplier and tax multiplier measure the impact of changes in government spending and taxes on the GDP.

The multiplier effect occurs when a change in one of these components of aggregate demand leads to a more significant change in the overall output.

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in which way can podcasts be organized when used by organizations? check all that apply. by technical topics by corporate training issues by product line by type of interaction required

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Podcasts can be organized in various ways by organizations. The following are four ways that podcasts can be organized:

1. By Technical Topics: Podcasts can be organized by the technical topics that are discussed. This can include topics such as programming, engineering, or software development. This type of organization allows for employees to easily access content that is relevant to their specific job role.

2. By Corporate Training Issues: Podcasts can also be organized by any corporate training topics. This could include topics such as communication, customer service, leadership, or other topics related to the company’s training initiatives.

3. By Product Line: Podcasts can also be organized by product line. This can help employees understand the different products the organization has to offer, as well as provide product-specific tips or best practices.

4. By Type of Interaction Required: Finally, podcasts can be organized by the type of interaction required. For example, podcasts can be organized by interactive Q&A sessions, video interviews, or live discussions.

In conclusion, podcasts can be organized in a variety of ways by organizations, including by technical topics, corporate training issues, product line, and type of interaction required.

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besides prohibiting anticompetitive business practices, the clayton anti-trust act broke new ground by

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Besides prohibiting anticompetitive business practices, the Clayton Antitrust Act broke new ground by extending antitrust protections to labor unions and exempting agricultural organizations. What is the Clayton Antitrust Act? The Clayton Antitrust Act, passed in 1914, was an amendment to the Sherman Antitrust Act of 1890.

The act was named after its primary author, Henry De Lamar Clayton. The Clayton Antitrust Act was enacted in order to provide further clarification and additional regulations of antitrust laws to prevent monopolies from forming or actions that restrain competition.

The Act further defined prohibited monopolistic practices, including price discrimination, interlocking directorates, and exclusive dealing agreements. In addition, the Clayton Act extended antitrust protection to labor unions and exempted agricultural organizations.

The Act was significant in the history of the United States' antitrust legislation because it marked the first time that labor unions had been formally exempted from antitrust laws.

Labor unions had been largely excluded from antitrust laws since the inception of the Sherman Act, and as a result, many employers and corporations used antitrust laws to weaken or disband unions.

The Clayton Antitrust Act changed this by allowing labor unions to engage in collective bargaining and strike activities, among other things, without the threat of legal repercussions. It also expanded the federal government's authority to prosecute and prevent antitrust violations.

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a manufacturing business is contracting to lease a large, open building and is seeking to add partition walls and a large air conditioning unit in order to accommodate its specific needs. what type of lease is the building owner likely to want to agree to?

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The building owner is likely to want to agree to a net lease for the building. A net lease is a lease in which the tenant pays additional costs beyond the rent amount, such as taxes, insurance, and maintenance.

In this scenario, the tenant will likely be responsible for the costs associated with adding the partition walls and large air conditioning unit, as well as all other maintenance costs. Additionally, the tenant will be responsible for all taxes associated with the lease.  This type of lease is often preferred by a building owner when the tenant needs to make modifications to the building, such as adding partition walls and a large air conditioning unit, in order to accommodate the tenant's specific needs.

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even though a foreign stock appears to be undervalued in its own country, the stock may not generate a reasonable return for a u.s. investor if the currency of that country depreciates against the u.s. dollar. group of answer choices false true

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The given statement "Even though a foreign stock appears to be undervalued in its own country, the stock may not generate a reasonable return for a U.S. investor if the currency of that country depreciates against the U.S. dollar" is true because currency exchange rates can have a significant impact on the returns earned by foreign investors.

When a U.S. investor invests in a foreign stock, the returns on that investment are not only affected by the stock's performance in its local currency but also by the exchange rate between the foreign currency and the U.S. dollar. If the currency of the country where the foreign stock is located depreciates against the U.S. dollar, it can offset any gains from the stock's performance and result in lower returns for the U.S. investor when converted back to dollars.

For example, let's say a U.S. investor buys a foreign stock that is undervalued in its own country for $100, and the exchange rate is 1:1, meaning $1 is equal to 1 unit of the foreign currency. If the stock price increases by 10% in the foreign currency, the investor's investment is now worth $110 in the foreign currency.

However, if the exchange rate changes to 2:1, meaning $1 is now equal to 2 units of the foreign currency, the investor's investment is now worth only $55 in U.S. dollars, resulting in a loss of $45 or 45% of the original investment. Therefore, it is important for U.S. investors to consider both the stock's performance and the exchange rate when investing in foreign stocks.

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what is the price of a 15-year, $1,000 face value, zero coupon bond, if the ytm is 10%? round to the nearest cent. do not include a dollar sign in your answer. (i.e. if your answer is $432.51, then type 432.51 without $ sign)

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The price of the 15-year, $1,000 face value, zero coupon bond is $247.20 (rounded to the nearest cent).

The price of a zero coupon bond can be calculated using the formula:

Price = Face value / (1 + YTM/100)^n

where n is the number of years until maturity.

Substituting the given values into the formula, we get:

Price = 1000 / (1 + 0.10/100)^15

Price = 1000 / (1.10)^15

Price = 1000 / 4.046

Price = 247.20

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if volume rises or falls, a. variable costs will not change b. fixed costs will not change (within a wide range) c. variable costs will change d. a

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The answer is c. variable costs will change

Explanation:If the volume rises or falls, the variable costs will change. Variable cost is the cost that varies with the level of output. When the level of output rises, the variable cost also rises. Similarly, when the level of output falls, the variable cost also falls.Variable costs include direct material, direct labor, and other direct expenses such as variable overhead. They are not constant and depend on the level of production.

They may increase or decrease with the level of production or sales. Hence, when the volume of production increases, variable costs increase, and when production falls, variable costs fall.Fixed costs are costs that do not vary with the level of output. Examples of fixed costs include rent, depreciation, salaries, and insurance. They remain constant regardless of the level of production or sales. Hence, if the volume rises or falls, fixed costs will not change (within a wide range). Therefore, option (c) is the correct answer.

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with regards to demand characteristics, which type of product, functional or innovative, has the higher inventory levels?

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Innovative products have larger inventory levels than utilitarian ones when it comes to demand characteristics.

What distinguishes inventive products from those that serve purely functional purposes?

In contrast to the demand for innovative products, which is very unpredictable due to their short life cycles, high levels of innovation, and high levels of fashion, the market for functional goods is stable because they have extended product life cycles.

How can something that starts out as merely beneficial end up being novel?

Innovative products are brand-new ones that have a distinctive offering. These products can have substantial profit margins because to the irregular demand patterns and the requirement for a supply chain that is very dissimilar from those of fundamental goods.

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roque and jesse ask which generally-accepted accounting principle requires that a footnote section be a part of the financial statement presentation?

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The generally accepted accounting principle that requires that a footnote section be a part of the financial statement presentation is the Full Disclosure Principle.

This principle states that all relevant information that is necessary to understand the financial position of a company should be included in the financial statement footnotes. This includes information on the company's liabilities, commitments, and contingencies.
Ensures that users of the financial statements have all the information they need to make informed decisions about the company's financial health and performance.

A footnote section is an essential component of the financial statement presentation. The footnotes provide additional information and clarification regarding the information presented in the financial statements. The footnotes include details about the accounting policies used, any significant transactions that have occurred, and other important information that the reader of the financial statements should know.

The Full Disclosure Principle ensures that the financial statements provide a complete and accurate representation of the company's financial condition and performance. By including all relevant information in the financial statements and accompanying notes, users of the financial statements can make informed decisions about the company's prospects and investment potential.

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if the cost of workers s is $110 per worker per day, and the cost of machines is $150 per machine per day, what is the number of machines that minimizes the firm's cost of production?

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Given, The cost of workers s is $110 per worker per day, and the cost of machines is $150 per machine per day. To find out the number of machines that minimizes the firm's cost of production, the following is the procedure:

Step 1: State the cost equation

C = 110s + 150m

Where C is the cost of production, s is the number of workers and m is the number of machines

Step 2: To find the number of machines that minimizes the firm's cost of production,

Differentiate the cost equation with respect to m then equate it to 0. i.e,

dC/dm = 0

Differentiating C = 110s + 150m with respect to m gives

dC/dm = 150

Solve for m using 150 = 0.

This is impossible because the value of 0 cannot be equated to 150.

Therefore, the value of m cannot be determined. Hence, the number of machines that minimizes the firm's cost of production is not determined.

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When the US government engages in deficit spending, that spending is primarily financed by
(a) increasing the required reserve ratio
(b) borrowing from the World Bank
(c) issuing new bonds
(d) appreciating the value of the dollar
(e) depreciating the value of the dollar

Answers

The US government engages in deficit spending, that spending is primarily financed by issuing new bonds. The statement is true.

The deficit is the difference between the government's expenses and its revenue. If the government's expenses are greater than its revenue, it will have to borrow money to make up the difference.

The United States has been running a budget deficit for several years, which means that it has been spending more than it receives in revenue.

The US government can finance this deficit spending by selling Treasury bonds to investors. When the government sells Treasury bonds, it borrows money from investors who buy the bonds.

In return for lending the government money, investors receive interest payments. The US government can also borrow money by issuing Treasury bills, which are short-term debt securities.

When the US government issues new bonds, it raises money from investors who are willing to lend the government money. This money can be used to finance the government's expenses. The government must pay interest on the bonds, so it is essentially borrowing money at a cost.
When the US government engages in deficit spending, it primarily finances that spending by issuing new bonds. These bonds are essentially loans to the government from investors, who expect to be repaid with interest.

By issuing new bonds, the government is able to obtain the funds needed to cover its expenses when tax revenues are insufficient. This process helps the government maintain its operations and fund various projects without immediately raising taxes or cutting spending.
Depreciating the value of the dollar is not a primary method of financing deficit spending. However, it can be an indirect consequence of large-scale deficit spending over time.

This, in turn, can cause inflation and a depreciation of the dollar's value.

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(c) issuing new bonds.

Deficit spending occurs when the government spends more money than it collects in revenue. To finance this spending, the government can borrow money by issuing bonds, which are essentially IOUs that promise to repay the borrowed money with interest at a later date. This is the primary way in which the US government finances its deficit spending. Increasing the required reserve ratio would be a monetary policy tool used by the Federal Reserve to regulate the amount of money banks can lend out, and has no direct relation to deficit spending. Borrowing from the World Bank is a possibility, but not the primary method used by the US government. Appreciating or depreciating the value of the dollar can have an impact on deficit spending and the economy, but is not a direct method of financing deficit spending.

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alice lost her atm card at the lake and forgot it was missing until her monthly statement came 26 days later. she found that $800 had been withdrawn from her savings account. the most alice will be legally liable for assuming she notifies the bank at this point is

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Alice will be legally liable for up to $50 of the $800 that was withdrawn from her savings account, assuming she notifies the bank within two days of when she noticed her ATM card was missing. This is known as the "regulatory limit" for unauthorized transactions, and it is outlined in Regulation E of the Electronic Funds Transfer Act.

1. Alice noticed her ATM card was missing 26 days after it was lost.
2. She then notified the bank.
3. According to Regulation E of the Electronic Funds Transfer Act, the most Alice will be legally liable for is up to $50 of the $800 that was withdrawn from her savings account.

Therefore, t is clear that Alice will be legally liable for up to $50 of the $800 that was withdrawn from her savings account, assuming she notified the bank within two days of when she noticed her ATM card was missing.

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at the point at which it is currently producing, britain must give up the production of 75 hats to produce 25 additional sweaters. the opportunity cost of producing 3 hats is sweater(s).

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The opportunity cost of producing 3 hats is 1 sweater.

At the point at which it is currently producing, Britain must give up the production of 75 hats to produce 25 additional sweaters. Therefore, to produce one additional sweater, the cost of 3 hats must be sacrificed. The opportunity cost of producing 3 hats is 1 sweater. Thus, the opportunity cost of producing one hat is 1/3 sweater.

In economics, opportunity cost is defined as the value of the next best alternative forgone as a result of making a decision. It is the cost of the next best alternative foregone.

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borrower kitty changes her w-2 in an effort to obtain approval for her loan application to buy a new condo for herself. this best describes what type of fraud?

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This best describes income fraud. Income fraud occurs when an individual misrepresents or falsifies their income in order to obtain a loan or other financial benefit.

In this case, borrower kitty is modifying her W-2 in order to get her loan application approved so that she can purchase a new condo for herself.

She is willfully misrepresenting her income in order to get a loan, which is an instance of income fraud. Revenue fraud is a serious act with serious repercussions, including the possibility of criminal prosecution.

In order to avoid engaging in any fraudulent activity, it is crucial for people to be honest and genuine while submitting information to lenders.

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if the interest rate is 9% compounded annually, approximately how many years will it take the current balance in an account to triple in value?

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If the interest rate is 9% compounded annually, approximately it will take 21.8 years for the current balance in an account to triple in value by using the Rule of 72.

To calculate the approximate number of years it will take for the current balance in an account to triple in value at a 9% annual interest rate.

You can use the following equation: Years = (ln 3)/(ln (1+r)), where r is the annual interest rate. In this case, the annual interest rate is 9%, so the equation becomes: Years = (ln 3)/(ln (1+0.09)) = 21.8 years.


In other words, it will take approximately 21.8 years for the current balance in the account to triple in value when the annual interest rate is 9%.

The equation used to calculate this number is derived from the Rule of 72. This rule states that to approximate the number of years required for an investment to double in value, divide the annual interest rate into 72.

For example, if the interest rate is 9%, then it would take approximately 8 years for the investment to double in value (72 / 9 = 8).

From this rule, we can extrapolate the equation used above. By dividing the Rule of 72 into the value that the investment is desired to grow to (in this case, three times the initial amount), we can calculate the approximate number of years it will take to reach that desired growth.

In the example provided, It will take 21.8 years for the investment to triple in value when the annual interest rate is 9%.

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which of the following may be affected by a client's risk tolerance and risk perception? investment decisions decisions concerning insurance coverage decisions concerning types and amount of mortgages decisions concerning pension payout options

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All the options are affected by a client's risk tolerance and risk perception, i.e.,  Investment decisions, decisions concerning insurance coverage, decisions concerning types and amount of mortgages and decisions concerning pension payout options.

The ability of an individual or community to accept safety hazards is known as risk tolerance. In order to decide whether to accept risk or minimize it, it includes weighing a variety of considerations. Investors evaluate risk and the degree of uncertainty using their subjective decision-making process, which is known as risk perception.

The subjective assessment that individuals have of a danger's qualities and seriousness is known as risk perception. An investor's level of risk tolerance is how much risk they are ready to take on in order to achieve a financial goal. The lack of consensus on topics like a common definition, a shared theory or model, measurement inconsistencies, and the increasing number of surveys is a significant issue in the literature on risk tolerance.

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when an auditor is to conduct an audit of a service organization, what considerations should the auditor make in planning regarding internal controls of the organization?

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When an auditor is conducting an audit of a service organization, they need to consider the internal controls of the organization in the planning process.

Internal controls are policies and procedures put in place to help ensure that the organization is achieving its objectives in a reliable and efficient manner.

In particular, the auditor should evaluate the design of the internal controls, the level of supervision that is in place, and the type of checks and balances used.

They should consider the segregation of duties, the use of authorization procedures, and the documentation and tracking of transactions. Furthermore, the auditor should analyze the accuracy and completeness of the accounting records.

The auditor should also consider the reliability of the internal controls in regards to safeguarding the assets of the organization. This includes assessing the security of the premises, the reliability of computer systems and the accuracy of financial reporting.

Overall, when an auditor is conducting an audit of a service organization, they need to consider the internal controls in the planning process. This involves evaluating the design of the controls, the level of supervision, and the accuracy of the accounting records.

The auditor should also analyze the security of the premises and the reliability of computer systems to safeguard the assets of the organization.

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