Saudi Arabian Oil Company (Saudi Aramco) is a publicly listed company that operates in Europe and Africa.
Saudi Arabian Oil Company, commonly known as Saudi Aramco, is a publicly listed company that operates in Europe and Africa. It is one of the world's largest integrated oil and gas companies, with a significant presence in the international market. Let's analyze its external and internal environment using a SWOT analysis.
Strengths:
1. Vast Oil Reserves: Saudi Aramco possesses the world's largest proven oil reserves, providing a strong foundation for its operations. This gives the company a competitive advantage in terms of reliable and abundant supply.
2. Cost Efficiency: The company has a reputation for efficient operations and low production costs. It benefits from economies of scale and advanced technology, allowing it to maintain a competitive edge in the global oil and gas industry.
3. Strong Financial Performance: Saudi Aramco has consistently demonstrated robust financial performance, generating substantial revenues and profits. This financial strength enables the company to invest in research and development, expand its operations, and pursue new opportunities.
4. Extensive Infrastructure: The company has a well-developed infrastructure, including pipelines, refineries, and storage facilities. This infrastructure allows for efficient transportation, processing, and distribution of oil and gas products, facilitating its operations in Europe and Africa.
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(13 points) APY is a(n) ____.
A. noncompounding interest rate
B. daily interest rate
C. interest rate advertised by lenders
D. interest rate advertised by borrowers
Answer:
C. interest rate advertised by lenders
Explanation:
APY stands for Annual percentage yield. It is the rate at which deposits earn interest in a checking or savings account. In other words, APY represents the amount of interest a deposit earns for one year when in a bank account.
The APY is a standardized presentation of interest to be earned. It incorporates all considerations, such as the compounding effect. APR makes it possible to compare expected returns from various financial instruments or institutions.
Eva follows the bond market and often purchases bonds issued by Sanden Research Labs. Last year, she purchased three such bonds in January, one in May, and four in June, then sold them all in November. Sanden Research Labs bonds were selling at 78. 430 in January, 95. 652 in May, 86. 220 in June, and 87. 454 in November. If each bond she purchased had a par value of $500, how much profit did Eva gain from buying and selling these bonds? a. $23. 81 b. $238. 10 c. $20. 60 d. $119. 5.
The option b) $238.10. Eva bought the bond at different times: January: 3 bonds at $78.43. Total = 3 x 500 x 78.43 = $117,645May: 1 bond at $95.652. Total = 1 x 500 x 95.652 = $47,826June: 4 bonds at $86.22. Total = 4 x 500 x 86.22 = $172,440.
Therefore, the total amount invested by Eva is:$117,645 + $47,826 + $172,440 = $337,911Eva sold all of these bonds in November, when the selling price was $87.454 for each bond. Hence, the total amount Eva received after selling the bonds is:$87.454 x 500 x (3+1+4) = $2,498,856Eva’s profit from buying and selling these bonds is given by: Profit = Selling price - Purchase price= $2,498,856 - $337,911= $2,160,945.
Calculate the total amount invested by Eva in the bonds, which will be equal to the sum of the amounts invested in the bonds at different times: January: 3 bonds at $78.43 each, with a par value of $500, hence the total amount invested is 3 x 500 x 78.43 = $117,645.
May: 1 bond at $95.652, with a par value of $500, hence the total amount invested is 1 x 500 x 95.652 = $47,826.
June: 4 bonds at $86.22 each, with a par value of $500, hence the total amount invested is 4 x 500 x 86.22 = $172,440.
Total amount invested = $117,645 + $47,826 + $172,440 = $337,911.Calculate the total amount received by Eva from selling the bonds in November, which will be equal to the selling price of each bond in November multiplied by the total number of bonds: Total number of bonds sold = 3 + 1 + 4 = 8Selling price of each bond in November = $87.454
Hence, the total amount received by Eva from selling the bonds is: Total amount received = $87.454 x 500 x 8 = $2,498,856.Now, calculate the profit earned by Eva by subtracting the total amount invested from the total amount received: Profit = Total amount received - Total amount invested= $2,498,856 - $337,911= $2,160,945.
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What did researchers observe about conditions in tanzanian villages before economic liberalization and after?
Researchers observed that in Tanzanian villages before economic liberalization and after, there is no real change in terms of developmental levels, income, education, and business.
Under pressure from the IMF and World Bank, Tanzania liberalized its economy in the mid-1980s. It deregulated its agricultural sector, relaxed control on prices, ended subsidies, and opened up space for private players.
Despite the promise of global financial institutions that economic liberalization would boost growth and therefore employment, and that agriculture would also benefit from this, there is no real transformation on the ground. Instead, labor productivity and agricultural yields have gone down. Food availability and nutrition remains an entrenched problem.
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which statement best summarizes the economic theories of adam smith
Answer: Economies work best when government leave businesses alone.
Explanation:
Which of the following sets is most important to consider when choosing a career?
(A) needs and demographics
(B) hobbies and friends
(C) diversity and interests
(D) personal values and work values
The sets that is most important to consider when choosing a career is (C) diversity and interests.
What is a career ?Career can be described as the occupation that ios been undertaken for a significant period whgich one can focus on, through ouut hios or her life with opportunities for progress.
It should be noted that when choosing ba career one should be able to seek for the things that interest you about tyhe field because ythis will help you when the journey is getting tough because to get to the peak of the career can not be seen as one that ios easy.
Therefore, option C is correct.
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which of the following is an important number to remember when seeking employment
social security number
Answer: social security number is correct
Explanation:
Dividends Per Share
Imaging Inc., a developer of radiology equipment, has stock outstanding as follows: 18,000 shares of cumulative preferred 3% stock, $130 par, and 60,000 shares of $10 par common. During its first four years of operations, the following amounts were distributed as dividends: first year, $46,980, second year, $103,420; third year, $134,880; fourth year, $172,200 Compute the dividends per share on each class of stock for each of the four years. Round all answers to two decimal places. If no dividends are paid in a given year, enter "0"
1st Year 2nd Year 3rd Year 4th Year Preferred stock (dividend per share) Common stock (dividend per share) 0 0.17
Dividends per share on each class of stock for each of the four years are as follows:
Year 1
Dividends for preferred stock = $54,000 * 0.03 = $1,620
Dividends per preferred share = $1,620 / 18,000 = $0.09
Dividends per common share = $46,980 / 60,000 = $0.783
Year 2
Dividends for preferred stock = $54,000 * 0.03 = $1,620
Dividends per preferred share = $1,620 / 18,000 = $0.09
Dividends per common share = $103,420 / 60,000 = $1.724
Year 3
Dividends for preferred stock = $54,000 * 0.03 = $1,620
Dividends per preferred share = $1,620 / 18,000 = $0.09
Dividends per common share = $134,880 / 60,000 = $2.248
Year 4
Dividends for preferred stock = $54,000 * 0.03 = $1,620
Dividends per preferred share = $1,620 / 18,000 = $0.09
Dividends per common share = $172,200 / 60,000 = $2.87
Outstanding shares of cumulative preferred 3% stock = 18,000 sharesPar value of cumulative preferred 3% stock = $130
Outstanding shares of $10 par common stock = 60,000 shares
Amounts distributed as dividends:First year = $46,980
Second year = $103,420
Third year = $134,880
Fourth year = $172,200
Dividends per share is the dividend amount paid per share of the stock. This amount is calculated by dividing the total dividend amount by the total number of shares outstanding.
In order to calculate the dividends per share on each class of stock for each of the four years, we need to calculate the dividends paid for the preferred stock and common stock separately, and then divide by the total number of shares of each class of stock outstanding.
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ash Receipts from Sales: Alternative Collection Timing.
EX: If TSC collects 80% of credits in the first month after sales, 20% of credit sales in the second month after sale, and all other assumptions are unchanged, budgeted cash receipts follow.
Based on the given information, the budgeted cash receipts from sales for TSC can be calculated as follows:
Assuming total credit sales in a month = $100
In the first month after sales:
- TSC collects 80% of credits = $80
- Cash receipts from credit sales in the first month = $80
In the second month after sales:
- TSC collects 20% of credits = $20
- Cash receipts from credit sales in the second month = $20
Therefore, the budgeted cash receipts from sales for TSC would be $80 in the first month and $20 in the second month after the sale. It is important to note that these figures are based on the given assumptions and may vary depending on the actual collection timing of TSC.
Based on the given information, if TSC collects 80% of credit sales in the first month after sales and 20% in the second month after sale, the budgeted cash receipts would be calculated as follows:
For each month, you would calculate cash receipts from sales by adding the cash collected in the first month (80% of credit sales) to the cash collected in the second month (20% of credit sales).
For example, if TSC had $10,000 in credit sales in January, the budgeted cash receipts would be:
- In February: $10,000 x 80% = $8,000 (from January sales)
- In March: $10,000 x 20% = $2,000 (from January sales) + any cash collected from February sales
By using this method, you can calculate the budgeted cash receipts for each month based on the given collection timing.
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School Weste
LAUNCH
Rowan is the social media strategist for the housewares unit of a large department store chain.
She has been assigned the project of rolling out a new line of bed linens. She has identified her
target audience, and has developed a persona to match. She knows which social media
platforms her target audience uses primarily. She also has a clearly defined goal to sell at least
10,000 sets of linen within six months. What stage is Rowan's social media campaign in?
Development
Implementation
Analysis
Planning
X
The optimization phase is the closing and probably most vital section of your social media campaign. In this section you are focusing on the metrics of your social media efforts to date and working to improve areas for increased return on investment.
What is social media advertising campaign?A social media marketing campaign is a business's coordinated advertising effort to fortify facts (about a brand, product, or service) the usage of at least one social media platform. These campaigns are strategically focused, have measurable outcomes, and impact social media followers to sense or act in a positive way.
Before you get revved up about pushing your company or company on social media, it is quintessential to recognize that true social campaigns start with a clear intention or vision.
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1
and 2
Which of the following is a money markat instrument? Fideral fund US. Trasury Notes Municpal bond Cominor stack Corporate bond Question 2 The duration of a 10 -year zero coupon bond is not calculable
"Federal fund." The Federal fund is a money market instrument used by banks to borrow and lend funds overnight to meet reserve requirements.
Money market instruments are short-term debt securities that have high liquidity and low risk. They are typically used by investors and institutions to park their excess cash or meet short-term funding needs. In the given options, the Federal fund stands out as a money market instrument. It refers to the funds held by commercial banks at the Federal Reserve Bank to meet their reserve requirements. Banks lend these funds to each other overnight, and the interest rate on these transactions is known as the federal funds rate.
On the other hand, the other options mentioned are not money market instruments. U.S. Treasury Notes, municipal bonds, corporate bonds, and Cominor stack are all types of bonds, but they belong to the broader category of fixed-income securities. The duration of a bond represents the weighted average time until all the bond's cash flows are received. While the duration of a zero coupon bond can be calculated, it is not applicable in this scenario as the duration calculation requires periodic coupon payments.
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Complete Question
Which of the following is a money market instrument? Federal fund US. Treasury Notes Municipal bond Cominor stack Corporate bond Question 2 The duration of a 10-year zero coupon bond is not calculable
a substantial decrease in the aggregate price level that reduces firms' net worth may stall a recovery from a recession. this process is called insolvency. moral hazard. debt deflation. illiquidity.
A substantial decrease in the aggregate price level that reduces firms' net worth may stall a recovery from a recession. This process is called debt deflation.
Debt deflation occurs when a decrease in prices reduces the value of assets and the net worth of businesses, which can lead to a decrease in investment and consumer spending. This, in turn, can result in a further decrease in prices, creating a vicious cycle. Debt deflation is one of the mechanisms that can lead to a prolonged economic downturn, as seen in the Great Depression of the 1930s. Insolvency refers to the inability of a firm to meet its financial obligations, while moral hazard refers to the risks that arise when one party has an incentive to take risks that negatively impact another party. Illiquidity refers to a situation where a party is unable to convert an asset into cash without a significant loss in value.
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Sadik Inc.’s bonds currently sell for $1,080 and have a par value of $1,000. They pay a $150 annual coupon and have a 15-year maturity, but they can be called in 6 years at $1,050. What is their yield to call (YTC)? A. 12.85% B. 13.56% C. 15.00% D. 13.72%
Wachowicz Corporation issued 10-year, noncallable, 6.0% annual coupon bonds at their par value of $1,000 one year ago. Today, the market interest rate on these bonds is 5.0%. What is the current price of the bonds, given that they now have 9 years to maturity?
McCue Inc.’s bonds currently sell for $1,010. They pay a $130 annual coupon, have a 12-year maturity and a $1,000 par value, but they can be called in 3 years at $1,070. Assume that no costs other than the call premium would be incurred to call and refund the bonds, and also assume that the yield curve is horizontal, with rates expected to remain at current levels into the future. What is the difference between this bond’s YTM and its YTC? (Subtract the YTC from the YTM.)
1. To calculate the yield to call (YTC) of Sadik Inc.'s bonds, we need to find the yield rate that would make the present value of the bond's cash flows equal to its current market price when called at the call price.
The bond has a par value of $1,000, an annual coupon payment of $150, and a maturity of 15 years. It can be called in 6 years at $1,050.
Using the financial calculator or Excel's RATE function, we can find that the YTC is approximately 12.85%.
Therefore, the correct answer is A. 12.85%.
1. Wachowicz Corporation's bonds have a 10-year maturity and a 6.0% annual coupon rate. The market interest rate is currently 5.0%.
To calculate the current price of the bonds, we can use the present value formula for a bond:
Price = (Coupon Payment / Market Interest Rate) * [1 - (1 / (1 + Market Interest Rate)^Number of Periods)] + (Par Value / (1 + Market Interest Rate)^Number of Periods)
Plugging in the values, we have:
Price = ($60 / 0.05) * [1 - (1 / (1 + 0.05)^9)] + ($1,000 / (1 + 0.05)^9)
Calculating the equation gives us a current price of approximately $1,083.47.
Therefore, the current price of the bonds is approximately $1,083.47.
1. McCue Inc.'s bonds are currently selling for $1,010, have a $130 annual coupon payment, a 12-year maturity, and a par value of $1,000. They can be called in 3 years at $1,070.
To calculate the yield to maturity (YTM), we need to find the yield rate that makes the present value of the bond's cash flows equal to its current market price.
Using a financial calculator or Excel's RATE function, we find that the YTM is approximately 7.72%.
To calculate the yield to call (YTC), we need to find the yield rate that makes the present value of the bond's cash flows equal to the call price of $1,070.
Using the same approach, we find that the YTC is approximately 5.98%.
The difference between the YTM and YTC is calculated as YTM - YTC = 7.72% - 5.98% = 1.74%.
Therefore, the difference between this bond's YTM and YTC is approximately 1.74%.
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An example of consumer spending when calculating the GDP using the expenditures approach is _____.
rent
purchase of weapons for the military
purchase of software
none of the above
purchase of weapons for the military
Write one paragraph about why a person, who up until now has worked an hourly job, might decide to look for a salaried job with benefits. Line
Answer:
See below
Explanation:
A salary is a fixed amount that an employee receives after the lapses of a specified time, say weekly, bi-weekly, or monthly. An employee is assured of their full salary regardless of their input. Salaried employees are advantaged in that salaries don't fluctuate with the volume of work. Should a salaried worker fail to report for work due to valid reasons such as illness, they still receive their full pay. A fixed salary makes planning and budgeting easy.
Carrie is creating a personal balance sheet. The heading includes the period of time that the balance sheet represents.
Which could be the heading of Carrie’s balance sheet?
Carrie’s Balance Sheet (January 1, 2021)
Carrie’s Balance Sheet (January)
Carrie’s Balance Sheet (Friday, January 3)
Carrie’s Balance Sheet (January 2011 – January 2021)
Answer:
A- January 1, 2021
Explanation:
got it right on edge
One-year treasury bill rates in 20XX averaged 5.15% and inflation for the year was 7.3%. If investors had expected the same inflation rate as that realized, calculate the real interest rate for 20XX according to the Fisher effect. A.) 0.00% B.) -2.15% C.) 2.15% D.) 3.95%
The real interest rate for 20XX according to the Fisher effect is -2.15%. fro the same inflation rate. Thus, option B is correct.
The given data is as follows:
Bill rates on average = 5.15%
Inflation = 7.3%
The real interest rate is to be calculated by using the formula, the Expected inflation rate is subtracted by the Nominal interest rate. Mathematically,
The Real interest rate = (The Nominal interest rate) - (Expected inflation rate)
Expected inflation rate = Realized inflation rate = 7.3%
Real interest rate = 5.15% - 7.3%
Real interest rate = -2.15%
Therefore, we can conclude that the real interest rate for 20XX according to the Fisher effect is -2.15%.
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the price of bread has decreased by 5 percent, leading to a decrease in the quantity demanded of bagels by 1 percent. the cross-price elasticity of demand between bread and butter is:
The price of bread has dropped by 5%, which has resulted in a 1% decline in the demand for bagels. Between bread and butter, the cross-price elasticity of demand is 0.2.
A good's quantity sought is calculated using its price elasticity of demand. Almost all items see a decline in demand when prices rise, but certain goods are more affected than others. When a price increases by 1% while all other factors remain constant, the price elasticity provides the percentage change in quantity required. If the elasticity is 2, a 1% increase in price results in a 2% decrease in amount demanded. Other elasticities quantify how changes in other factors affect the quantity needed. Unless in rare circumstances, price elasticities are negative. When a product is described to have an elasticity of 2, it usually invariably refers to a value of 2.
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Ms. Nurse has requested more money for nursing. I told her that you would evaluate her proposal and give me a full report
A thorough evaluation of Ms. Nurse's proposal for increased funding should consider the current state of nursing, the potential impact of increased funding, and the organization's financial situation.
Next, it is important to consider the potential impact of increased funding. Will it lead to improved patient outcomes, better staff morale, or increased productivity? It is important to weigh the potential benefits against the cost of providing more funding.
Finally, it is important to consider the organization's overall financial situation and whether it can afford to provide more funding for nursing. If additional funding is granted, it may be necessary to adjust other areas of the budget to maintain financial stability.
Overall, a thorough evaluation of Ms. Nurse's proposal for increased funding should consider the current state of nursing, the potential impact of increased funding, and the organization's financial situation.
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explain at least two elements of the free enterprise system here in the U.S.
Answer:
1. Private ownership of factors of production
2. Freedom to engage in commercial activities
Explanation:
1. Private ownership of factors of production
In the US, individuals and firms are allowed to own properties. A significant percentage of the factors of production are in the hands of the private sector. Firms and individual influences the production of goods and services because they allocate resources to meet market demand.
2. Freedom to engage in commercial activities
Entrepreneurs have the freedom to choose the type of business they want to start. They can also select the location and the time they want to operate. There are no upper limits to firms that can participate in the market. Consumers are free to choose their suppliers. The market presents a variety of goods and services to consumers to pick from.
Identify two examples of businesses that operate in the secondary sector
Answer:
car manufacturer & food production
Explanation:
Your little sister Tiffany is beginning to cause you some concern. She wants to borrow $480 from you today and promises to pay you $500 in one year. You earn 3% on your deposits. Disregarding what your 9 year-old sister would need $480 for, would this be a good loan for you to make?
a service level agreement (sla) defines the relationship between ____ and the contractual
A service level agreement (SLA) defines the relationship between a service provider and the contractual recipient or customer.
A service level agreement (SLA) is a contract or agreement between a service provider and its customer that outlines the level of service to be provided. It sets clear expectations, performance standards, and responsibilities for both parties involved in the service arrangement.
The SLA specifies the scope of services, service level targets, metrics for measuring performance, remedies for failure to meet the agreed-upon levels, and other relevant terms and conditions. It serves as a reference document that ensures transparency, accountability, and a shared understanding of the rights and obligations of each party involved in the service relationship.
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HELPP on question 10
Answer:
land?
Explanation:
Answer:
Land
Explanation:
Which careers are apart of the Finance career cluster?
A: Retail Agent, Pet Store Owner, Retail Buyer
B: Lawyer, Paralegal, Judge
C: Architect, General Contractor, Site Foreman
D: Fraud Investigator, Financial Analyst, Treasurer
Answer:
D, most likely
Explanation:
Answer:
Fraud Investigator, Financial Analyst, and Treasurer is the part of finance career.
Explanation:
A person interested in taking up a career in the finance field they are exposed to various options. Persons who have skills in finance can adopt certain careers like- analytics, treasuring or investigation of money. The above stated cluster of career is related to finance.
An investigator who investigates about the swindling of money is the fraud investigator; a financial analyst helps in analyzing the money policies to the clients and their investments and the treasurer handles money payments from customers.
Using the monetary approach to the balance of payments
discuss the effect on Ghana’s balance of payments of a decline in
Ghana’s real income.
A decline in Ghana's real income would likely have a negative effect on Ghana's balance of payments.
According to the monetary approach to the balance of payments, changes in real income affect the demand for imports and exports, which in turn impact the balance of payments. A decrease in real income would typically lead to a decrease in the demand for imports, which could improve the balance of payments. However, if the decline in real income also results in reduced export earnings, the negative effect on the balance of payments could outweigh the positive impact.
The monetary approach to the balance of payments suggests that changes in real income influence the demand for imports and exports, which ultimately affect the balance of payments. When Ghana's real income declines, it usually implies that individuals and businesses have lower purchasing power. As a result, the demand for imports, such as consumer goods and capital equipment, is likely to decrease. This reduction in import demand can potentially improve the balance of payments, as fewer imports would be required.
However, the impact on the balance of payments is not solely determined by the decline in import demand. It is also crucial to consider the effect on Ghana's export earnings. If the decline in real income leads to reduced economic activity and lower production levels, it could result in decreased export earnings. This would negatively affect the balance of payments, as the country's export revenue would decrease.
Overall, the effect of a decline in Ghana's real income on the balance of payments depends on the magnitude of the changes in import demand and export earnings. If the decrease in import demand outweighs the decline in export earnings, the balance of payments may improve. Conversely, if the reduction in export earnings surpasses the positive impact on import demand, the balance of payments could deteriorate. Other factors, such as exchange rate movements, trade policies, and external shocks, may also interact with the impact of real income changes on the balance of payments.
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Compare and contrast the principal characteristics of a market economy with those of a command economy
Answer: Market economy utilizes private ownership as means of production, while in a command economy, governments own the factors of production such as capital, land and resources.
Explanation:
Market economy; is an economic system where decisions regarding investment, production and distribution are controlled by the price signals created by forces of supply and demand.
Demand economy; is an economic system where the consumers desire to buy goods and services and their willingness to pay a particular price for them. An increase in the process of a good or service will decrease the quantity demanded
Market economy utilizes private ownership as means of production, while in a command economy, governments own the factors of production such as capital, land and resources.
A real estate salesperson is supervised by:_______
a. the employing broker only.
b. any licensed broker.
c. the seller.
d. the buyer or seller.
Hi! The answer will be the employing broker only.
Explanation: The employing broker is held accountable for the salesperson's conduct in performing business activitities
Hope this helps! Have a good day!!
Emmanuel would like to start a business with a popular fast food company. He agrees to pay a fee and royalties. This is an example of which type of business?
A. Franchise
B. S corporation
C. Nonprofit corporation
D. C corporation
Answer:
yeah A
Explanation:
Help!!!!! please give an explanation!
Occasionally, the government may limit what businesses are allowed to charge for a product or service to prevent consumers from being overcharged.
True
False
The statement is True. Any individual who does any of the following when selling a commodity is breaking the law: charging more than the price that is being advertised, posted, marked, displayed, or quoted for the commodity; or computing more than a genuine extension of the price per unit.
What is the role of government played in Free-market?However, economists recognize six primary roles for governments in market economies. Governments maintain competition, offer public goods and services, redistribute income, account for externalities, and stabilize the economy in addition to providing the legal and social framework.
Enforcing antitrust laws also promotes economic growth, removes barriers to economic opportunity, and enables enterprises to compete on their merits. Here are some instances of how the FTC defends consumers by upholding antitrust regulations. Stop mergers that would hurt consumers.
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when is subsidy necessary in comodity supply
Answer:
A subsidy is a benefit given to an individual, business, or institution, usually by the government. It is usually in the form of a cash payment or a tax reduction. The subsidy is typically given to remove some type of burden, and it is often considered to be in the overall interest of the public, given to promote a social good or an economic policy.
Explanation: