The breakeven quantity is 18,750. Therefore, the correct answer is "Less than or equal to 30,000."
To determine the breakeven quantity, we need to compare the costs of making the component part in-house with the costs of buying it from the supplier.
The cost of buying the part from the supplier is $10 per piece, and the annual requirement is 25,000 units. Therefore, the total cost of buying from the supplier would be:
Total Cost (Buy) = Cost per unit * Quantity = $10 * 25,000 = $250,000
On the other hand, if Green Machine decides to make the part in-house, they would need to invest $100,000 in capital equipment. Additionally, the production cost per piece is $8. The total cost of making the part in-house would be:
Total Cost (Make) = Capital Equipment Cost + (Cost per unit * Quantity)
Total Cost (Make) = $100,000 + ($8 * 25,000) = $100,000 + $200,000 = $300,000
Now we can compare the costs of buying and making to find the breakeven quantity. The breakeven quantity is the point at which the costs of buying and making are equal.
$250,000 = $100,000 + ($8 * Quantity)
$150,000 = $8 * Quantity
Quantity = $150,000 / $8 = 18,750
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A candle company is writing copy for a new Display ad. They want to use it to influence consideration for their product. What should they do with their creative
The candle company should focus on creating a compelling and engaging display ad that highlights the unique features and benefits of their candles.
Here are a few key tips that they should consider when crafting their creative:
Use attention-grabbing visuals: Display ads are highly visual, so the candle company should make sure to use eye-catching images or animations that will capture the viewer's attention. The visuals should be relevant to the product and convey the key benefits or emotions that the candle company wants to evoke.
Keep the messaging concise and clear: The ad copy should be simple, easy to read, and clearly communicate the value proposition of the product. The messaging should highlight the key benefits of the candles, such as their long-lasting burn time, all-natural ingredients, or unique scents.
Create a sense of urgency: To encourage viewers to take action, the ad should create a sense of urgency or scarcity. For example, the ad could include a limited-time offer or promotion that incentivizes viewers to make a purchase.
Tailor the creative to the target audience: The candle company should make sure that their ad creative speaks directly to their target audience. For example, if they are targeting customers who are interested in eco-friendly products, they should highlight the sustainable aspects of their candles.
By following these tips, the candle company can create a display ad that effectively influences consideration for their product and encourages viewers to take action.
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This table can be used to organize Gigi’s credit card balances and payments over 6 months. The annual percentage rate on the credit card is 14%. Gigi’s Credit Card Payments Month Balance Payment Interest Rate Interest Charged 1 $650 $300 0.01167 $4.08 2 $354.08 $50 0.01167 3 $307.63 $50 0.01167 4 $260.64 $50 0.01167 5 $213.10 $50 0.01167 6 $165 $50 0.01167 What is the amount of interest charged for the first 6 months? $
Answer:
-16.34
Explanation:
Disclaimer: I am not sure, sorry. It might be -16.34, 16.34, or 15.75. Once again, sorry.Answer:
$16.34
Explanation:
HAVE A GOOD DAY!!!!
Suppose we create a box model for the outcome of a game of darts. The player has a 1/3 chance of throwing a dart in the inner ring, and a 2/3 chance of the dart landing in the outer ring. In our model, we have two unique tickets marked inner and outer. We put in 1 ticket marked inner. How many tickets do we put in that are marked outer?.
In a box model representing the outcome of a game of darts, for every 1 ticket marked "inner" representing a 1/3 chance, we should put in 2 tickets marked "outer" representing a 2/3 chance.
In this box model for the outcome of a game of darts, the player has a 1/3 chance of throwing a dart in the inner ring and a 2/3 chance of the dart landing in the outer ring. To represent this in our model, we have two unique tickets marked "inner" and "outer". We put in 1 ticket marked "inner", and we need to determine how many tickets we should put in that are marked "outer".
To find the number of tickets marked "outer", we can use the concept of probability. Since the player has a 2/3 chance of the dart landing in the outer ring, this means that out of every 3 throws, 2 will be in the outer ring. Therefore, for every 1 ticket marked "inner", we would need to put in 2 tickets marked "outer" to maintain the 1/3 and 2/3 probabilities.
So, the answer to the question is that we should put in 2 tickets marked "outer" for every 1 ticket marked "inner" in this box model.
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I need help I don’t get this
The friest answer bc she said budget
Answer:
it's C, because when you budget you are trying to save money.
Explanation:
Which statement is an example of inflation?
Answer:
The price level of many things you buy increases over time.
Explanation:
The question itself was a bit confusing, like there was going to be options, but i did what i could with what i was given, and found you a good example. I hope this helps! Great to be of service to you! ⚔
The journal entry a company records for the issuance of bonds when the contract rate is higher than the market rate of interest is:_________
The journal entry a company records for the issuance of bonds when the contract rate is higher than the market rate of interest is to debit cash for the proceeds received, credit bonds payable for the face value of the bonds, and credit the difference as a premium on bonds payable.
The journal entry a company records for the issuance of bonds when the contract rate is higher than the market rate of interest involves recognizing a premium on the bonds. The premium represents the difference between the contract rate and the market rate. Here is an example of the journal entry: To record the issuance of bonds at a premium:
Cash (or Bonds Payable) XXXX
Bonds Payable (Face value) XXXX
Premium on Bonds Payable XXXX
The corporation debits Cash (or Bonds Payable if the bond is non-cash) for bondholder payments. The face value of the bonds, which the corporation must repay, is credited to the Bonds Payable account. The premium amount is credited to the Premium on Bonds Payable account. This journal entry recognises the higher contractual interest rate by recognising the premium as a liability on the company's balance sheet, which will be amortised throughout the bond's term using the effective interest method.
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netherland corporation has the following unadjusted balances: accounts receivable, $82,000 (debit), and allowance for sales discounts $320 (credit). of the receivables, $52,000 of them are within the 2% discount period, and netherland expects buyers to take $1,040 in future-period discounts ($52,000 × 2%) arising from this period’s sales. the adjusting entry or entries to estimate sales discounts is (are):
The adjusting entry to estimate sales discounts for Netherland Corporation is Debit and Credit.
Debit: Allowance for Sales Discounts for the estimated amount of future-period discounts, which is $1,040. Credit: Sales Discounts for the same amount of $1,040. To estimate the sales discounts, we need to consider the unadjusted balances and the expected future-period discounts. The unadjusted balance of Accounts Receivable is $82,000, which represents the total amount owed to Netherland Corporation by its customers. The unadjusted balance of Allowance for Sales Discounts is $320, which represents the estimated discounts that will be taken by customers.
Next, we need to calculate the estimated amount of future-period discounts arising from this period's sales, which is $52,000 × 2% = $1,040. To record this estimated amount, we need to make an adjusting entry: Debit the Allowance for Sales Discounts account by $1,040. This increases the allowance and represents the estimated future-period discounts. Credit the Sales Discounts account by $1,040. This reduces the sales discounts and reflects the estimated amount that customers will take in future-period discounts. By making this adjusting entry, Netherland Corporation is recognizing the estimated amount of discounts that customers are expected to take in future periods based on the current sales.
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What do we call a business that focused on building products that meet consumers' needs?
Answer: Market oriented business
Explanation:
Market orientation refers to the business philosophy whereby companies identifies the needs of their customers and make products that meet such needs or wants.
A business that's using market orientation will research the current trends in the market and make products that meet them. Strong brands use market orientation approach to meet customers needs.
How does change in cost of energy and raw materials, borrowing and premises affect a house building company
Answer:
A shift in the cost of electricity and raw materials may have a major influence on a home construction firm. For example, if the cost of electricity and raw materials rises, the corporation may have to spend more on these items, resulting in higher production expenses. This rise in manufacturing costs may eventually result in lower profit margins or an increase in the final price of the houses, making them less competitive in the market.
Likewise, changes in borrowing costs might have an influence on the company's profitability. If interest rates rise, the cost of borrowing money to invest in the firm rises, resulting in greater debt-service expenses. This may limit the company's capacity to invest in growth possibilities, which can be negative on long term profitability impact.
Likewise, changes in borrowing costs might have an influence on the company's profitability. If interest rates rise, the cost of borrowing money to invest in the firm rises, resulting in greater debt-service expenses. This may limit the company's capacity to invest in growth possibilities, which might harm long-term profitability.
Changes in facility expenses might also have an impact on the company's profitability. For example, increasing the cost of rent or mortgage payments for the company's offices or facilities may result in increased overheads and lower profitability. Furthermore, if the firm decides to grow or relocate, it may incur considerable upfront expenses, which may have an impact on short-term profitability.
Wetlands help reduce erosion through _______.
Answer:
Wetlands reduce water erosion by trapping sediments.
50+50=? hep plz plz plz plz
Answer:
10000
Explanation:
por que los dinosaurios son rozas
100
50 + 50 is 100 ;)
What should a consumer consider when deciding whether to purchase a new insurance policy?
A. Whether it has the highest possible deductible compared to other policies
B. Whether it has the highest possible premiums compared to other policies
C. Whether its premiums are worth more than its potential benefits over time
D. Whether its potential benefits are worth more than its premiums over time
A customer should examine if the prospective benefits outweigh the premiums.
Option D. is correct.
Define insurance.An insurance policy is a contract in which a person pays a firm money in exchange for the company promising to pay cash if the individual is harmed or dies, or to compensate for the worth of lost or damaged property.
Over time, a customer should examine if the prospective benefits outweigh the premiums.
Option D. is correct.
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Finding a job that matches your skills and interests, and finding a job that has a positive job outlook are both important things to consider when selecting a career. Which do you think is more important? Why?
<< Read Less
Answer: Finding a job that matches your skill and interest.
Explanation:
This is very important and it majorly one of the key things to consider when applying for jobs. Sometimes, desperation makes people take any job without thinking if they like the job or not and this is bad as it will hinder the success of such person in the firm.
A typical example of this is applying for a job that requires proficiency in microsoft office packages and you literally have no knowledge but you only applied considering the Positive outlook of the firm, they are no two ways about this, you'd perform woefully if being asked simply because you don't possess the skill.
Finding a job that matches your skills and interest tends to make the job more enjoyable as you will be more motivated to keep the job and will find great pleasure in carrying out the task given. It also aids your career development as well, according to the saying practice makes perfect, doing what you love will continually help you to grow and develop yourself in your chosen field.
Studying workers as they shovel different types of materials with different types of shovels in order to determine the most efficient tool and method to use is an example of:
The name which is given to the study of workers as they make use of shovels and the most efficient tool study and method of use is an example of:
time motion studiesWhat is Time Motion Studies?This refers to the study made by Frederick Taylor as he sought to find out the tasks which must be completed before a work is done and how long it will take.
With this in mind, we can see that the study of workers as they make use of shovels and the most efficient tool study and method of use is an example of time motion studies.
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The association stradegy is used to_________information
Answer:
The association strategy is used to help memorized information.
Explanation:
A benefit of using association is that it allows the learner to be creative and have fun. ... The association strategy is used to help memorized information.
state one advantage and one disadvantage of parallel cables
Answer:
Advantages: We know that the voltage remains constant in the parallel connection. Therefore, each component in the circuit gets the same amount of voltage.
Disadvantage: To construct the parallel connection, we need lots of wires.
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How did ray conduct marketing information management?, what type of product/service management did ray do?, what activities were involved in the pricing function?, how did ray use the channel management function?
Ray conducted marketing information management by collecting information from customers to design the theater system seats. The activities involved in pricing were information management and marketing analysis. Finally, Ray shows the use of the channel management function because he carefully selected retailers.
Developing a new product and making sure the product is profitable is a complex process that involves multiple stages and strategies. Here are the most common ones:
Marketing information management: This involves collecting information about the customers, marketing, etc. to make the best decisions. This can be seen in Ray because all the process from selecting the product to selling it is based on research.Product management: This involves proper designing, production, and advertising of a product. This is applied by Ray because he works thoroughly in every stage to make sure the product is successful.Pricing: This involves determining the best pricing for a product to guarantee the product is sold and the producer obtains money. Ray uses the information collected from potential customers to determine the best price.Channel management function: This involves carefully selecting the channels to sell or advertise a product. Ray applies this because he analyzes all elements in the marketing to select the retailers.Learn more about marketing in: https://brainly.com/question/15611949
Telecommuting is an example of flextime. Please select the best answer from the choices provided T F.
True, telecommunicating is an example of flextime.
What is flextime?Flextime refers to an arrangement that allows the worker to change and alter his working hours. Employees can decide the starting and end time of their working hours by themselves.
In telecommunicating, an employee may work from his/her own place without going to the office.
Telecommunicating is an example of flextime since employees may change their working time at their own convenience.
Therefore the statement is correct.
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Answer:
the answer will be true
Explanation:
because telecomuting is an example of flex time
ECON QUESTION !!
What is the overall objective of a business raising financial capital?(1 point)
A) decrease operating costs and increase the number of investors
B) increase revenues and the number of investors
C) reducing financial obligations and increase revenue
D) grow and increase profit
chapter 5 test, banking and finance...if you have all the answers that would be greatly appreciated
The main goal is to increase shareholder value as much as possible.
Businesses frequently make decisions that include spending money now while planning to turn a profit later. Examples are when a business purchases a machine with a 10-year lifespan, constructs a new facility with a 30-year lifespan, or launches a research and development initiative. Four basic methods exist for businesses to obtain the funding they require to fund these initiatives: (1) early-stage investors; (2) profit reinvestment; (3) bank or bond borrowing; and (4) stock sales. Business owners decide how to pay for financial capital sources when they select those sources.
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Which of the following financial institutions does not take customer
deposits?
A. Investment bank
B. Credit union
C. Commercial bank
D. Savings bank
Option (A) Investment bank is correct.
Investment bank does not take customer deposits.
What meant by Investment bank?Investment banks are financial institutions that sell their services and act as a middleman in complex transactions like mergers or a startup's initial public offering (IPO). They are also capable of acting as brokers or financial advisers for significant institutional clients like pension funds.
Investment banks do not accept deposits; rather, they help individuals, groups, and governments raise money by issuing securities. Investment companies, often known as mutual fund companies, pool money from institutional and ordinary investors to offer them access to a greater variety of assets. While some financial institutions take deposits, others only offer particular banking services. These non-depository financial institutions include brokerage houses, finance companies, insurance companies, and pension funds. They provide services to both people and companies.
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Do you think every working American needs a 401(k) account or an IRA? Why or why not?
No links
Need ASAP
Answer:
Both 401(k) accounts and IRAs are retirement savings accounts that allow individuals to save for retirement on a tax-advantaged basis. Contributions to these accounts are tax-deductible, and the earnings on the investments grow tax-free until they are withdrawn during retirement.
There are some benefits to having a 401(k) account or an IRA. They allow individuals to save for retirement in a tax-efficient way, and can provide a significant source of income during retirement. In addition, many employers offer matching contributions to 401(k) accounts, which can be a valuable incentive to participate.
However, there are also some drawbacks to these types of accounts. For example, they are subject to market fluctuations and the investment risk is borne by the individual. In addition, there are limits on how much can be contributed each year, which may not be enough to provide for a comfortable retirement.
Whether or not every working American needs a 401(k) account or an IRA depends on individual circumstances. For some people, these accounts may be a valuable tool for saving for retirement. For others, different types of retirement savings accounts or strategies may be more appropriate. Ultimately, it is up to each individual to determine the best approach for their own retirement planning.
Which department of a business is responsible for creating budgets and
analyses the inflow and outflow of the company's monetary assets?
Research and Development
O Production
O Accounting and Finance
O Marketing and Sales
Answer:
Accounting and Finance
Industrial, reseller, and government markets are the three categories of ________ buyers.
-professional
-production
-consumer
-organizational
Industrial, reseller, and government markets are the three categories of organizational buyers. Thus, option (d) is correct.
The purchasing decisions of organizations are frequently made by a team of individuals who compare and select amongst various brands and suppliers based on criteria including quality, price, service, and delivery schedules. Organizational buyers are typically more intelligent than individual customers.
Businesses that wish to be successful in the B2B market must comprehend the wants and behaviors of organizational buyers. These are businesses that buy products and services to utilize in creating additional products and services.
Therefore, option (d) is correct.
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Which of the following best represents the options a company has when a product is declining? A) maintain or harvest the product
B) harvest or drop the product
C) maintain, harvest, or drop the product
D) maintain or pioneer the product
E) pioneer, harvest, or maintain the product
When a product is declining, the options that a company has include C) maintain, harvest, or drop the product.
What happens when a product is declining ?When a product disintegrates as a result of slowing down or experiencing negative growth, it enters the decline stage of its life cycle.
Because of the most recent technology developments, modifications in customer wants, and impending trends, competition becomes too intense and sales decline. The sales rate decreases until maintaining the project is no longer financially feasible for us.
Due to increased competition or declining consumer demand, brands will see a fall in sales during the decline stage. This period is challenging to get through; often, businesses will either sell their business, cease their product, or find new ways to improve their product in an effort to boost sales.
This means that the company would therefore have the options of either maintaining the product, harvesting it, or dropping it.
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Nataro, Incorporated, has sales of $669,000, costs of $331,000, depreciation expense of $75,000, interest expense of $47,500, a tax rate of 22 percent, and paid out $45,500 in cash dividends. What is the addition to retained earnings? (Do not round intermediate calculations.) Addition to retained earnings Help Nataro, Incorporated, has sales of $676,000, costs of $338,000, depreciation expense of $82,000, Interest expense of $51,000, and a tax rate of 24 percent. What is the net income for this firm? (Do not round intermediate calculations.) Net Income Nataro, Incorporated, has sales of $665,000, costs of $327,000, depreciation expense of $71,000, interest expense of $45,500, and a tax rate of 23 percent. What is the net income for this firm? (Do not round intermediate calculations.) Net income
The net income for Nataro, Incorporated is $201,500. This is calculated by subtracting the costs, depreciation, interest expense, and tax liability (calculated as tax rate x (sales - costs - depreciation - interest)) from the sales to obtain the net income.
The addition to retained earnings for Nataro, Incorporated, is $177,600. This is calculated by subtracting the costs, depreciation, interest expense, and tax liability (calculated as tax rate x (sales - costs - depreciation - interest)) from the sales to obtain the net income, and then subtracting the cash dividends from the net income.
The net income for Nataro, Incorporated is $201,500. This is calculated by subtracting the costs, depreciation, interest expense, and tax liability (calculated as tax rate x (sales - costs - depreciation - interest)) from the sales to obtain the net income.
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you are a project manager and find out that one of the project's net present value (npv) is negative. what should you do? group of answer choices calculate the profitability index (pi) determine the present value of the project cost decrease the discount rate reject the project
Option 4 is correct. If the project's net present value (NPV) is negative, the project should be rejected.
Net present value (NPV) is the contrast between the current worth of money inflows and the current worth of money surges throughout some stretch of time. NPV is utilized in capital planning and speculation wanting to dissect the benefit of a projected venture or task.
NPV is the consequence of computations that find the ongoing worth of a future stream of installments, utilizing the legitimate markdown rate. As a general rule, projects with a positive NPV merit undertaking while those with a negative NPV are not.
In simpler words - NPV=Today’s value of the expected cash flows−Today’s value of invested cash
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Complete Question -
You are a project manager and find out that one of the project's net present value (npv) is negative. what should you do?
group of answer choices
1. calculate the profitability index (pi)
2. determine the present value of the project
3. cost decrease the discount rate
4. reject the project
Leilani Lavender's law office has traditionally ordered ink refills 65 units at a time. The firm estimates that carrying cost is 45% of the $12 unit cost and that annual demand is about 245 units per year. The assumptions of the basic EOQ model are thought to apply. For what value of ordering cost would its action be optimal?
Part 2
a) For what value of ordering cost would its action be optimal?
Its action would be optimal given an ordering cost of
$enter your response here
per order (round your response to two decimal places).
Part 3
b) If the true ordering cost turns out to be much
less than your answer to part (a), what is the impact on the firm's ordering policy?
A.The order quantity should be increased.
B.The order quantity should be decreased.
C.The order quantity should not be changed.
a) The ordering cost at which the firm's action would be optimal is $8.47 per order. b. The impact on the firm's ordering policy is that the order quantity should be increased.
To find the optimal ordering cost, we can use the Economic Order Quantity (EOQ) formula: EOQ = sqrt((2 * Annual Demand * Ordering Cost) / Carrying Cost per Unit). Given that the annual demand is 245 units, the carrying cost is 45% of $12 ($5.40), and the firm traditionally orders 65 units at a time, we can substitute these values into the formula.
EOQ = sqrt((2 * 245 * Ordering Cost) / 5.40)
We need to solve for Ordering Cost to find the optimal ordering cost. Rearranging the formula, we have:
Ordering Cost = (EOQ^2 * 5.40) / (2 * 245)
Using the EOQ formula, with EOQ = 65, we can calculate the optimal ordering cost:
Ordering Cost = (65^2 * 5.40) / (2 * 245) ≈ $8.47 per order
b) When the true ordering cost is much less than the calculated optimal ordering cost, it implies that the cost of placing an order is relatively low compared to the carrying cost per unit. In such a scenario, increasing the order quantity would be more cost-effective for the firm. By ordering larger quantities, the firm can reduce the frequency of orders and take advantage of economies of scale, resulting in lower overall costs. Therefore, the firm's ordering policy should be adjusted to increase quantity.
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The optimal value of ordering cost for Leilani Lavender's law office's current order size is approximately $36.02 per order. If the real ordering costs are much less than this, the law firm should increase their order quantity to minimize total inventory costs.
Explanation:To find the optimal value of ordering costs to justify Leilani Lavender's law office current order size, we would use the Economic Order Quantity (EOQ) model. EOQ is calculated as the square root of (2 * D * S) / H.
In this case, D, the demand, is 245 units per year. S, the ordering cost, is what we're trying to find. Finally, H is the holding or carrying cost, which is 45% of the unit cost making it $5.4 per unit per year.
The firm orders 65 units at a time so we can rearrange the formula as S=(EOQ^2) * H / 2D. Substituting the values EOQ=65 units, H=$5.4, D=245 units, we get $S equals to approximately $36.02 per order.
If the real ordering cost is less than $36.02, then the optimal order size will increase according to the EOQ model. This is because the smaller the order costs, the more often you should be placing orders to keep inventory costs down. Therefore, the answer to the second part would be that the order quantity should be increased (Option A).
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What is an appropriate response when an interviewer asks what salary you are looking for
during your initial interview? Would the response change if you'd been given an offer?
-Fiscal and Monetary Discussion-
Come up with an original scenario that will show an economy in either contraction or expansion. Use the appropriate economic indicators to allow a classmate to be able to identify the phase your economy is in.
-Please let me know what phase the economy is in but don’t add that in the discussion so my classmates can guess for them selves
With regard to Fiscal and Monetary Discussion, in the past year, the country of Marland has experienced a surge in economic activity due to a boom in the technology industry.
What is the explanation for the above response?As a result, Marland's gross domestic product (GDP) has increased by 5% and unemployment has decreased to 4.5%. However, this increase in economic activity has also led to an increase in inflation, with consumer prices rising by 3%.
In response, the central bank has raised interest rates to 3%, leading to a decrease in consumer spending and a slowdown in housing construction. The government has also increased taxes on luxury goods to combat inflation. These actions have resulted in a decrease in business investments, leading to a contraction in the economy.
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at the equilibrium quantity, marginal benefit is equal to marginal cost. consuming more means that some mutually beneficial exchanges do not take place, and producing more means that some goods go unsold.
At the equilibrium quantity, marginal benefit is equal to marginal cost. consuming less means that some mutually beneficial exchanges do not take place, and producing more means that some goods go unsold.
What happens at equilibrium?At the equilibrium quantity, we find that the marginal benefit we get from each additional unit consumed, will be equal to the marginal cost we incur for consuming that additional unit.
This means that if we consumed less than that quantity, we would be consuming less marginal benefits which means that some mutually beneficial exchanges will not come to take place.
If we produced more at that point however, it would be more than the marginal cost of some people and so the goods will go unsold.
Full question is:
At the equilibrium quantity, marginal benefit _________ marginal cost. consuming _________ means that some mutually beneficial exchanges do not take place, and producing ______ means that some goods go unsold.
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