Camille Wright Miller,an experienced consultant,says effective leaders often​
A) do not communicate with emotion.​
B) ​mirror the style of other people.
C) ​overcome communication bias with the people they meet.
D) ​are naturally persuasive.

Answers

Answer 1

According to Camille Wright Miller, an experienced consultant, effective leaders often- C. overcome communication bias with the people they meet.

What this mean?

This means that they are aware of their own biases and take steps to ensure that they are not negatively impacting their communication with others.

They are able to approach people with an open mind and listen actively to their perspectives, which helps them to build trust and rapport with their teams. While it is not necessary for leaders to completely suppress their emotions, they should be mindful of how their emotions may be perceived by others and adjust their communication style accordingly.

Ultimately, effective leaders are able to communicate clearly and persuasively, which allows them to inspire and motivate their teams towards shared goals.

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Related Questions

Money management
activities necessary to manage current ___?____
economic resources while working toward long-term
financial security.
refers to the daily financial

Money managementactivities necessary to manage current ___?____economic resources while working toward

Answers

Money management activities necessary to manage current personal economic resources while working toward long-term financial security.

option c is the correct answer

What is money management?

The term Money management refers to the methods of saving, planning spending, investing, and all other activities that deals with the use of money for personal use or organizational use.

Money management helps in growing wealth and regulating the use of money. This is an important scheme in business and should be done with care. Money management helps to make a clear goal of the intended use of money and clears certain areas that is not worth spending on.

The information gathered so far has helped us see that money management is necessary to manage current personal economic resources while working toward long-term financial security. Hence the other options which are required and inflated are not relevant to the topic being discussed.

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Define direct advertising​

Answers

Answer:

Explanation:

Direct marketing is a form of communicating an offer, where organizations communicate directly to a pre-selected customer and supply a method for a direct response. Among practitioners, it is also known as direct response marketing. By contrast, advertising is of a mass-message nature.

Which of the following is an appropriate front and point size selection for a business letter

Answers

Answer:

Times New Roman also remains the default font for many word processing programs. When using Times New Roman in a business letter, set the size as 12-point in order for the document to be read most easily.

Also

If you can't decide between sizes, a 12-point font is usually the reliable choice because it's incredibly common in the business world.

Explanation:

Which document describes a worker's employment experience, strengths, skills, education, and other qualifications?
A.

Resume
B.

Cover letter
C.

Referral
D.

Reference

Answers

Answer:

A. Resume

Explanation:

A resume is a document prepared by a job seeker to itemize their education qualification and work experiences. It is a formal document sent to a potential employer by a job applicant. The resume shows an applicant's qualifications for the position advertised.

A resume is usually sent together with a cover letter.

Answer:

It's A

Explanation: hope it helps ^w^

if expected inflation is 3%, then the real interest rate is a. 3% b. 0% c. 1% d. there is not enough information to answer this question

Answers

The real interest rate can be calculated by subtracting the expected inflation rate from the nominal interest rate. Since we do not have information about the nominal interest rate, we cannot determine the real interest rate. Therefore, the correct answer is d. there is not enough information to answer this question.

we need to consider the Fisher equation, which relates nominal interest rates, real interest rates, and inflation. The Fisher equation is given by:

Nominal interest rate = Real interest rate + Expected inflation

We are given the expected inflation as 3%, but we do not have the nominal interest rate. Therefore, we cannot determine the real interest rate with the information provided. So, the correct answer is:

d. There is not enough information to answer this question.

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Management by exception means that managers focus on the most significant differences between actual costs and standard costs.
a. True
b. False

Answers

True.  Management by exception is a management style where managers focus their attention on the most significant differences between actual performance and expected or desired performance.

This includes monitoring deviations from standards and intervening only when necessary to correct these significant deviations. In the case of cost management, this means that managers will focus on the most significant differences between actual costs and standard costs in order to identify areas where corrective action may be necessary.
Management by exception means that managers focus on the most significant differences between actual costs and standard costs.
This concept suggests that managers should concentrate on areas where there is a substantial deviation from the planned or standard costs, allowing them to address issues more efficiently and effectively.

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a firm is in an industry where ppi 5 years ago was 158. today, ppi is 197. what is the average inflation per year?

Answers

The average inflation per year for this industry is 4.4% if a firm is in an industry where PPI 5 years ago was 158. today, PPI is 197.

Current PPI = 197

5 years ago PPI = 158

The average inflation per year can be calculated by using the formula:

Average inflation / year = ((Current PPI / Base PPI)^(1/number of years)) - 1

Average inflation per year = \(\frac{197}{158}^{(\frac{1}{5} )} -1\)

Average inflation per year  =\(1.245^{0.2} -1\)

Average inflation per year  = 1.044 - (1 x100)

Average inflation per year  = 4.4%

Therefore,  we can conclude that the average inflation per year for this industry is 4.4%.

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Why does Publix expect you to bag with two hands

Answers

The main reason why the company, Publix Checkout expects its employees to bag with two hands is so that they can offer carryout assistance to customers.

What is a Company Policy?

This refers to the formal guidelines that a company has and expects its employees to follow to establish a certain standard.

Hence, we can see that the company Publix Checkout has several company policies, and among these, is the 2 x 2 rule which involves bagging with two hands so they can offer carryout assistance to customers.

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Legal authorization by a brand owner to allow another company to "rent" its brand name for a fee is called

Answers

Answer:

The appropriate answer is "License agreement".

Explanation:

A written agreement only between various firms where a property owner allows perhaps another entity throughout accordance with a certain set of requirements called a license agreement.In so far as it has jurisdiction, the consequence including its license is to terminate or ease the ruling of conflict. It should be the presumption that perhaps the license should be a province of security.

Assume Ella Inc. sells two types of shoes. Shoe type A has a cost of $30 and a net realizable value of $25. Shoe type B has a cost of $20 and a net realizable value of $25. Using the individual basis, the lower of cost and net realizable value would equal a. $55 b. $40 c. $50 d. $45 CLEAR MY CHOICE

Answers

The correct answer is d. $45.

The lower of cost and net realizable value is a method used to determine the value of inventory. In this case, we have two types of shoes: type A and type B.

For shoe type A, the cost is $30 and the net realizable value is $25.

For shoe type B, the cost is $20 and the net realizable value is $25.

To find the lower of cost and net realizable value for each shoe type, we compare the cost and net realizable value and choose the lower value.

For shoe type A, the lower value is $25 (net realizable value).

For shoe type B, the lower value is $20 (cost).

Now, we need to calculate the total lower of cost and net realizable value for both shoe types.

Total lower of cost and net realizable value = Lower value for shoe type A + Lower value for shoe type B

Total lower of cost and net realizable value = $25 + $20

Total lower of cost and net realizable value = $45

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Emily wants to find out how to use her savings to make more money. She goes online and finds a great Web site about
doubling your money every day. This information is

reliable and relevant
unreliable and relevant
reliable but Irrelevant
unreliable and irrelevant​

Answers

Answer:

When Emily wants to find out how to use her savings to make more money. She goes online and finds a great Web site about  doubling your money every day.

Unreliable and relevant

Explanation:

The reasons behind this answer are that at the first pace is relevant because she was looking for a place to use her savings to make more money. However, this is not a very reliable source of information because it is a random website and has no way to verify the authenticity and security of the operations that she could potentially make on it.  

Unreliable and relevant

Explanation:

First off it is Very Unreliable because you cant just double your money, that money will NEED to be earned by work which takes time, This is relevant because it seems like a relevant idea to people to just double money but just because this is relevant does not make it Reliable, therefore making this Answer "Unreliable and relevant."

which one of the following statements correctly relates to closed-end funds? group of answer choices closed-end funds must sell at the nav or above. the number of shares outstanding changes on a daily basis as shares are sold and repurchased. shares in closed-end funds must be held until the funds mature. once a fund closes, a new investor is unable to purchase shares in that fund. shares of closed-end funds trade just like stocks.

Answers

The statement given in option E i.e. 'shares of closed-end funds trade just like stocks.' correctly relates to closed-end funds. Thus, option E holds the correct answer.

A closed-end fund is a mutual fund whereby shares are issued by an investment organization only when the fund is originally set up. Because closed-end funds trade like stocks, the fund's pricing is reflective of investors' sentiment toward the fund. The fund can trade at a discount to Net Asset Value (NAV) when investors become disenchanted with the fund.

While other statements given in the rest of the options are not related to closed-end funds.

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Which of the following is NOT a factor that would affect the marketability of a municipal bond?
a. The issuer’s name
b. The dated date
c. The rating
d. The maturity

Answers

The factor that does NOT affect the marketability of a municipal bond among the given options is the dated date (option b).

The dated date is the date when interest starts accruing on the bond. While it may affect the accrued interest, it does not impact the bond's marketability directly.

Factors that do affect marketability include:
a. The issuer's name - A well-known and reputable issuer can attract more investors.
c. The rating - A higher credit rating signals lower risk, increasing the bond's appeal.
d. The maturity - The time until the bond matures can affect investor preferences, as some may prefer short-term bonds while others seek long-term investments. The correct option is b.

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Which part of the close-out report would describe how he would plan and manage projects in the future?.

Answers

12345678912345678900

The journal entry to record the issuance of a note to a creditor to satisfy an account payable created earlier would include a __________ to __________.

Answers

The journal entry to record issuance of a note to a creditor to satisfy an account payable created earlier would include a decrease to the Accounts Payable account and an increase to Notes Payable account.

In the first part of the journal entry, the Accounts Payable account is credited to reduce the liability owed to the creditor. This reflects the elimination of the accounts payable balance and the recognition that the debt is being satisfied through the issuance of a promissory note. In the second part of the journal entry, the Notes Payable account is debited to record the issuance of the promissory note. This reflects the recognition of a new liability that represents the company's obligation to repay the creditor in the future according to the terms of the note.

The issuance of a note to satisfy an account payable is a common practice when a company wants to extend the payment period or negotiate more favorable terms with its creditors. By converting the accounts payable into a notes payable, the company can manage its cash flow and potentially reduce the immediate financial burden of paying off the liability. The issuance of a promissory note creates a legally binding agreement between the company and the creditor, outlining the terms of repayment including the principal amount, interest rate, maturity date, and any other relevant provisions. It provides a formalized structure for the repayment of the debt over a specified period.

It's important for the company to carefully consider the terms and implications of issuing a note to ensure that it aligns with its financial capabilities and objectives. Additionally, the accounting treatment should comply with the applicable accounting standards to accurately reflect the financial position and obligations of the company.

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Imagine that you are serving as the general manager of a hotel. What three aspects do you think would be most important to the success of your hotel? How would you improve these facets of your hotel?

Answers

Answer:

1. Create and give innovative experience.

2. Brand and reputation operation

3. Improvement in workers general welfare

Explanation:

As a manager in an hotel, I would Improve the facets of the hotel by

1. Create and give innovative experience. As a manager, I would ensure the hotel create and delivers top notch service considering there are competition in the hospitality industry.

2. Brand and reputation operation. When customers receives a world class experience, reputation is being created here. I would then sustain this reputation by making it a brand upon which the hotel will be identified with subsequently.

3. Improvement in workers general welfare. This is very critical to the success of the hotel. Once workers are well paid , it would spur them to work and align with the vision I have for the hotel.

explain the relationship between a company's growth possibilities and its dividend policy.

Answers

Companies with high growth possibilities tend to reinvest their earnings back into the business and offer lower dividends, while companies with lower growth possibilities tend to offer higher dividends to attract investors.

Dividend policy refers to the practices and decisions made by a company regarding the payment of dividends to its shareholders. Companies with high growth possibilities usually reinvest their earnings back into the business in order to fuel future growth.

This means that they may offer lower dividends or no dividends at all to their shareholders, as they prefer to use the cash to finance new projects or expand operations. This is because they believe that reinvesting the earnings will lead to greater long-term benefits for the company and its shareholders.

On the other hand, companies with lower growth possibilities tend to have less need for reinvestment and may offer higher dividends to attract investors. This is because they believe that their current business model is likely to generate stable, predictable cash flows in the long term, and therefore, they can afford to distribute a larger portion of their earnings to shareholders in the form of dividends.

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outline 2 advantages to H&H of using secondary market research​

Answers

Answer:

Explanation:
It provides quick information and factual background perspectives
It is less expensive and affordable

Demonstrate your comprehension of differences in changes in supply versus changes in quantity supplied by matching choices. increase in technology for producing orange juice increase in the demand of orange juice

Answers

Changes in supply and changes in quantity supplied are two distinct concepts in economics. Let's match the choices with the appropriate concept:

Increase in technology for producing orange juice: This corresponds to a change in supply. When there is an improvement in technology for producing orange juice, it increases the efficiency and productivity of producers. As a result, the supply curve for orange juice shifts to the right, indicating an increase in the quantity of orange juice available at all price levels.

Increase in the demand for orange juice: This corresponds to a change in quantity demanded or a shift in the demand curve. When there is an increase in the demand for orange juice, it means that consumers are willing and able to buy more orange juice at each price level. This results in a movement along the supply curve, indicating an increase in the quantity supplied.

To summarize:

Increase in technology for producing orange juice: Change in supply

Increase in the demand for orange juice: Change in quantity supplied

It's important to note that changes in supply are caused by factors such as technology, input costs, and government regulations, while changes in quantity supplied are a result of changes in demand.

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When calculating the profit impact of discontinuing a segment, consider _____. Multiple select question. the segment's traceable fixed costs the segment's contribution margin common costs allocated to the segment

Answers

The consideration of the profit impact of discontinuing a segment should center on B. the segment's contribution margin.

What is the contribution margin?

The contribution margin is the amount of profit that is derived after subtracting variable costs from net sales.

It is called contribution margin because it is the profit left to pay for fixed costs and generate a profit.

Thus, when calculating the profit impact of discontinuing a segment, consider Option B.

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adelyn generated a tentative general business credit of $42,000 for the current year. her net regular tax liability before the general business credit is $107,000, and her tentative minimum tax is $88,000. compute adelyn's allowable general bussiness credit for the year.

Answers

Adelyn's allowable general business credit for the year will be $19000.

How did this occur?

Business credit is a business's ability to repay loans based on its credit history and other factors. For Adelyn, his general business credit is limited to his net income tax, which is further reduced by the greater of his tentative minimum tax or 25% of the net regular tax liability that exceeds $25,000. As a result, Adelyn's allowable general business credit for the year is $19,000.Tax liability is the total amount of tax debt owed to a government by an individual

Hence, in the above case the answer is $19000.

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PLEASE HELP ME HEREE

Would you spend $10 more dining out at a restaurant that offered healthier options? Why or why not?

Answers

Spending an additional $10 on dining out at a restaurant that offers healthier options can be a good choice for some people.

Why is it?

The reasons for this may include prioritizing their health, adhering to a specific dietary plan, or simply enjoying the taste of nutritious meals. Ultimately, the decision depends on an individual's preferences, budget, and health goals.

it really depends on the person's individual preferences and priorities. Some people prioritize their health and would gladly pay a little extra to have healthier options available to them when dining out. Others may not see the value in spending extra money on healthier options and would rather save their money. Ultimately, it is a personal choice and depends on the individual's priorities and budget.

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The Go-Blue Company has common stock outstanding that has a current price of $20 per share and the most recent dividend $1.50 /share. G0-Blue's dividends are expected to grow at a rate of 5% per year, forever.
The expected risk-free rate of interest is 4%, and the expected market Risk premium is 8%. The beta on Go-Blue 's stock is 1.2.
a. What is the cost of equity for Go-Blue using the constant dividend growth model?
b. What is the cost of equity for Go-Blue using the capital asset pricing model?
c. Calculate the overall cost of equity. (Average of the two methods).

Answers

Therefore, the overall cost of equity for Go-Blue is approximately 13.05%.

a. The cost of equity for Go-Blue using the constant dividend growth model can be calculated using the formula: Cost of Equity = Dividend / Current Price + Growth Rate.

Given that the most recent dividend is $1.50 per share, the current price is $20 per share, and the growth rate is 5% per year, we can substitute these values into the formula:

Cost of Equity = $1.50 / $20 + 0.05 = 0.075 + 0.05 = 0.125 or 12.5%.

b. The cost of equity for Go-Blue using the capital asset pricing model (CAPM) can be calculated using the formula: Cost of Equity = Risk-Free Rate + Beta * Market Risk Premium.

Given that the risk-free rate of interest is 4%, and the market risk premium is 8%, and the beta on Go-Blue's stock is 1.2, we can substitute these values into the formula:

Cost of Equity = 0.04 + 1.2 * 0.08 = 0.04 + 0.096 = 0.136 or 13.6%.

c. To calculate the overall cost of equity, we can take the average of the cost of equity calculated using the constant dividend growth model and the capital asset pricing model.

Overall Cost of Equity = (Cost of Equity using Constant Dividend Growth Model + Cost of Equity using CAPM) / 2

Overall Cost of Equity = (0.125 + 0.136) / 2 = 0.261 / 2 = 0.1305 or 13.05%.

Therefore, the overall cost of equity for Go-Blue is approximately 13.05%.

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__________ showed that people learn to behave in certain ways because of reinforcement. A. John B. Watson B. B. F. Skinner C. William James D. Sigmund Freud Please select the best answer from the choices provided

Answers

Answer:

The answer is B.F. Skinner.  

Explanation:

B.F. Skinner showed that people learn to behave in certain ways because of reinforcement. He is considered the father of this theory. Conversely, Sigmund Freud proposed classical conditioning.

B. F. Skinner howed that people learn to behave in certain ways because of reinforcement. According to research by B.F. Skinner, reinforcement is the reason why people learn particular behaviours. He is regarded as the originator of this theory. Sigmund Freud, on the other hand, advocated classical conditioning. Hence, option B is correct.

What is BF Skinner most famous for?

BF Skinner, The foundation of B.F. Skinner's theory, is the idea that learning is a result of altering overt behaviour. A person's response to external circumstances leads to changes in behaviour.

The effect of American psychologist B. F. Skinner on behaviourism is well acknowledged. Free will is essentially only an illusion, according to Skinner, who referred to his own philosophy as "radical behaviourism.

Thus, option B is correct.

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who does the term public refer to when used in accountancy

Answers

Can be random answer or every body answer or an other opinion

Determine the gross profit using the periodic inventory system and the fifo inventory method, assuming that 18 units were sold at a sales price of $14.

Answers

To determine the gross profit using the periodic inventory system and the FIFO (First-In, First-Out) inventory method.

we need to follow these steps:

1. Gather the necessary information: We need to know the number of units sold, the sales price per unit, and the cost of goods sold.
2. Calculate the cost of goods sold: The cost of goods sold is the cost incurred to produce the units that were sold. In the FIFO method, we assume that the oldest units (those acquired first) are sold first.
3. Determine the cost of the units sold: We need to identify the cost of the 18 units that were sold. To do this, we consider the cost of the oldest inventory.
4. Calculate the gross profit: Gross profit is calculated by subtracting the cost of goods sold from the sales revenue.
Now, let's apply these steps to the given information:
Let's assume that the cost of the oldest units in inventory is $10 per unit.
1. We are given that 18 units were sold at a sales price of $14 per unit.
2. The cost of goods sold can be calculated by multiplying the number of units sold (18) by the cost per unit ($10). This gives us a cost of goods sold of $180.
3. Since we assume that the oldest units are sold first, the cost of the 18 units sold is $180.
4. To calculate the gross profit, we subtract the cost of goods sold ($180) from the sales revenue. The sales revenue is calculated by multiplying the number of units sold (18) by the sales price per unit ($14). This gives us a sales revenue of $252.
  Gross profit = Sales revenue - Cost of goods sold
  Gross profit = $252 - $180
  Gross profit = $72
Therefore, using the periodic inventory system and the FIFO inventory method, the gross profit is $72.



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an example of a personal skill is

Answers

Answer:

Well, Personal skills refer to the inner abilities.  Examples of personal skills include the ability to communicate with others, Leadership skills, or Management skills.

Consider the following scenario. Suppose that the reserve requirement is 20%, and Leroy deposits a $1,000 of cash that he received as a graduation gift in his checking account. Suppose the bank holds an additional 1% of all deposits as an excess reserve. How much does the monetary base change?
A. $0
B. $1000
C. $800
D. $4761.91

Answers

Answer:



Your answer would be c

An inexperienced accountant for Ayayai Corp, showed the following in the income statement: income before income taxes $400,000 and unrealized gain on available-for-sale securities (before taxes) $91,700. The unrealized gain on available-for-sale securities and income before income taxes are both subject to a 26% tax rate. Prepare a correct statement of comprehensive income

Answers

To prepare a correct statement of comprehensive income, we need to consider the income before income taxes and the unrealized gain on available-for-sale securities, both subject to a 26% tax rate.

First, calculate the income tax on the income before income taxes:
Income tax on income before income taxes = Income before income taxes * Tax rate
Income tax on income before income taxes = $400,000 * 0.26
Income tax on income before income taxes = $104,000

Next, calculate the income tax on the unrealized gain on available-for-sale securities:
Income tax on unrealized gain = Unrealized gain on available-for-sale securities * Tax rate
Income tax on unrealized gain = $91,700 * 0.26
Income tax on unrealized gain = $23,842

Now, we can prepare the statement of comprehensive income:

Income before income taxes: $400,000
Income tax on income before income taxes: $104,000
Net income before unrealized gain: $296,000

Unrealized gain on available-for-sale securities: $91,700
Income tax on unrealized gain: $23,842
Net unrealized gain: $67,858

Comprehensive income:
Net income before unrealized gain: $296,000
Net unrealized gain: $67,858
Comprehensive income: $363,858

In summary, the statement of comprehensive income would show a net income before unrealized gain of $296,000, a net unrealized gain of $67,858, and a total comprehensive income of $363,858.

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The statement of comprehensive income is prepared using the give  tax rate of 26%.

To prepare a correct statement of comprehensive income, we need to consider the income before income taxes and the unrealized gain on available-for-sale securities. Both of these items are subject to a 26% tax rate.

First, let's calculate the tax amount for the income before income taxes. We can multiply the income before income taxes by the tax rate of 26%.

Tax amount for income before income taxes = Income before income taxes * Tax rate
Tax amount for income before income taxes = $400,000 * 0.26
Tax amount for income before income taxes = $104,000

Next, let's calculate the tax amount for the unrealized gain on available-for-sale securities. Again, we multiply the unrealized gain by the tax rate.

Tax amount for unrealized gain on available-for-sale securities = Unrealized gain on available-for-sale securities * Tax rate
Tax amount for unrealized gain on available-for-sale securities = $91,700 * 0.26
Tax amount for unrealized gain on available-for-sale securities = $23,842

Now, we can prepare the statement of comprehensive income.

Income before income taxes: $400,000
Tax on income before income taxes: $104,000
Net income before unrealized gain on available-for-sale securities: $296,000
Unrealized gain on available-for-sale securities: $91,700
Tax on unrealized gain on available-for-sale securities: $23,842
Net income: $367,858

Statement of Comprehensive Income:
Income before income taxes: $400,000
Tax on income before income taxes: $104,000
Net income before unrealized gain on available-for-sale securities: $296,000
Unrealized gain on available-for-sale securities: $91,700
Tax on unrealized gain on available-for-sale securities: $23,842
Net income: $367,858

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level is 10 units. its total cost is $4000 and its average fixed cost is $100. what is this firm's average variable cost (avc) of producing 10 units? group of answer choices a) avc

Answers

A firm produces 10 units at a total cost of $4000, with an average fixed cost of $100. The firm's average variable cost (avc) of producing 10 units is $300.

To find the Average variable cost (AVC) of producing 10 units, we need to first find the total variable cost and then divide it by the total number of units produced.

The formula for AVC is given by:

AVC = Total Variable Cost / Number of Units Produced

Since we have the total cost and the average fixed cost, we can find the total variable cost as follows:

Total Cost = Total Fixed Cost + Total Variable Cost

$4000 = $100 x 10 + Total Variable Cost

$4000 = $1000 + Total Variable Cost

Total Variable Cost = $4000 - $1000

Total Variable Cost = $3000

Now we can calculate the average variable cost (AVC) as follows:

AVC = Total Variable Cost / Number of Units Produced

AVC = $3000 / 10AVC = $300

Therefore, the firm's average variable cost (AVC) of producing 10 units is $300.

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Consider creating a bear spread using puts: Sell one put with exercise Ej and buy one put with exercise price E2, with E2 > E1. Complete the table that shows the payoff and profit for each position and the total and use a numerical example to show the diagram for each position and the total. In "The Yellow Wallpaper," why is the story more interesting as told through this particular character's eyes, rather than from the first-person perspective of a different character, such as John? Explain how Kurosawa's film version reflects his Buddhist beliefs Two conflicting groups who share the same negative views of one another demonstrate. Plz help I will give brainiest What features/content of a text would help you identify it as a persuasive text when previewing? a. loaded language c. visual aids b. compare/contrast d. none of the above What was included in the issue of states' rights?A) National issues are more important than state ones.B) State issues are more important than national ones.C) All states can disregard specific portions of the Constitution.D) Each state can generate its own money supply. Please help due today In the picture below Directions: Circle the best answer.7. Which does not represent an integer?A. OB.182C. VOD.FEType here to searchRI^ D d11:48 PM8/26/2020The anwser need help Use set builder notation to describe each of the following sets. (a) All positive integer powers of 4 . (b) All positive multiples of 7 and all positive multiples of 8 . (c) All positive multiples of 7 and 8 (i.e. the numbers have to be multiples of both 7 and 8 ). (d) All pairs of integers that sum to 100 . (e) All real numbers whose square is less than 100 . Question 2. Show that for all sets A and B,A=BABBA by using the formal definitions of set equality and subsets, as well as formal logic. An exam consists of 50 multiple choice questions. Based on how much you studied, for any given question, you think you have a probability of 0.64 of getting the correct answer. Consider the sampling distribution of the sample proportion of correct questions out of 50. (a) Find the mean and standard error of the sampling distribution of this proportion; (b) What do you expect for the shape of this sampling distribution? - approximately normal because n is large; - cannot be determined because p is greater than 0.5; - cannot be determined because n is large; - approximately normal because the population is normal. I added the screenshot of the question if you could let me know the answer and how u got it please and thank you. What was the purpose of the New Jersey Plan? which point is not on the graph of y =2x + 3? JEWELRY Latoya makes a total of 52 bracelets and necklaces to sell at a craft fair. Each bracelet takes 8 minutes to make, and each necklace takes 11 minutes to make. She spends exactly 7 hours and 44 minutes making the jewelry. A) How many of each type of jewelry did Latoya make? 100 POINTS!! Just keep it simple please :))Using the information from the chart about themes from "Dr. Heidegger's Experiment," describe two universal themes from the short story. Explain their development in the story by incorporating textual evidence. the product-market expansion grid is a useful way to view the range of potential market opportunities availale to firms. the dimensions of the matrix are new vs. exiting markets and new vs. existing Question 7: Western countries have responded to the invasion of Ukraine with a plethora of sanctions that seek to completely isolate Russia from the western- dominated international financial and mone PLZZZ HELP ME!!! Its due soon and I need help