If Rajiv's Fire Engines were a competitive firm instead and $125,000 were the market price for an engine, decreasing its price from $125,000 to $75,000 would result in the same change in the production quantity and, thus, total revenue. a) True b) False

Answers

Answer 1

Answer:

b) False

Explanation:

The price reduction will stimulate demand for Rajiv's Fire Engines, in the short run, before competitors catch up or even overtake the firm with price reduction strategies of their own.  This will in turn drive sales and the production quantity to increase marginally in the short-run.  However, in the long-run, because the market is competitive, Rajiv Company will not totally benefit from the price reduction as the price war intensifies among the competitors.


Related Questions

9. What pointer appears when pointing to a hyperlink?

A. I-beam
B. Hand
C. Crosshair
D. Double arrow

Please help ASAP

Answers

Answer:

B. Hand

Explanation:

Hand pointer is a specific cursor, the one that looks like a hand, and with the index finger extended, like as it points to something.

The pointer shows the user the exact location of the cursor and helps him input the information.

The name pointer is given as it points the information to the user.

At the end of the year a company has a $1,200 debit balance in Manufacturing Overhead. If this amount is considered immaterial, the company will a) make an adjusting entry by debiting Manufacturing Overhead Applied for SI,200 and crediting Manufacturing Overhead for $1,200. b) make an adjusting entry by debiting Cost of Goods Sold for $1,200 and crediting Manufacturing Overhead for $1,200. c) make no adjusting entry because differences between actual overhead and the amount applied are a normal part of job costing and will average out next year. d) make an adjusting entry by debiting Manufacturing Overhead Expense for $1,200 and crediting Manufacturing Overhead for $1,200.

Answers

Answer:

b) make an adjusting entry by debiting Cost of Goods Sold for $1,200 and crediting Manufacturing Overhead for $1,200.

Explanation:

The ordinary treatment for the debit balance in the Manufacturing Overhead is to regard it as an under-absorbed cost, then the $1,200 will be debited to the Cost of Goods Sold while crediting the Manufacturing Overhead for $1,200.  Differences between actual overhead and the amount applied are not a normal part of job costing but process costing.  By debiting the Cost of Goods Sold, the manufacturing overhead would have been accounted for in determining the actual cost of the goods sold.

Draw up a list of effectiveness goals that you would use to measure the performance of (a) a fast-food restaurant and (b) a school of business.

Answers

Answer:

The presented is the list of efficiency guidelines established underneath to evaluate success.

Explanation:

A fast-food restaurant:

Quantified by the institution's earnings. The measurement of efficacy through both the advertisement via recommendations from media.

A school of business:

The efficiency would be determined either by the arrangement offered by the university. These are calculated by that of the outcome that the students received.

Helppp mee please!!!give me your opinion!

Do you think information system can provide the solution to most organisational
problems? If not, why not?

Answers

Answer:

YES

Explanation:

Information systems can in fact provide solutions to a lot of organizational problems in businesses and companies.  Information Systems can help collect data, statistics, and overall organization. Let's say you are looking into starting a moving business. In order to do that you need to hire employees. An information system such as Indeed can assist you with that. If you are looking to provide invoices to your customers an information system such as Quickbooks can help you with that. There are soo many Information Systems our there that can help a business with any problem.

You deposit $509 in a savings account and one year later you have $562. At the same time, the CPI increases from 126 to 143. What was your real interest rate, in percentage terms?

Answers

Answer:

real interest rate = -3.08%

Explanation:

real interest rate = nominal rate - inflation rate

nominal interest rate = [($562/$509) - 1] x 100 = 10.41%inflation rate = [(143/126) - 1] x 100 = 13.49%

real interest rate = 10.41% - 13.49% = -3.08%

since the real interest rate is negative, the investor actually lost money in real dollars. This means that the amount of goods that the investor could purchase before making the investment is higher than the amount of goods he/she will be able to buy after the investment.

How do you think social media influences the business world?

Answers

i aint never seen two pretty best friends

Answer:

It makes businesses have the chance to put their website out where a bunch of people will go and visit their business.

Explanation:

K Company estimates that overhead costs for the next year will be $3,700,000 for indirect labor and $960,000 for factory utilities. The company uses direct labor hours as its overhead allocation base. If 125,000 direct labor hours are planned for this next year, what is the company's plantwide overhead rate?

Answers

Answer:

Predetermined manufacturing overhead rate= $37.28 per direct labor hour

Explanation:

Giving the following information:

Estimated overhead= 3,700,000 + 960,000= $4,660,000

Estimated direct labor hours= 125,000

To calculate the predetermined manufacturing overhead rate we need to use the following formula:

Predetermined manufacturing overhead rate= total estimated overhead costs for the period/ total amount of allocation base

Predetermined manufacturing overhead rate= 4,660,000/125,000

Predetermined manufacturing overhead rate= $37.28 per direct labor hour

Mutual fund A earned 10 percent while B earned 8 percent. The standard deviations of the returns were 7 percent and 4 percent, respectively. Assumr risk free rate of 2%.
a) Estimate the Sharpe ratio of each mutual fund
b) According to the Sharpe ratio, which fund performed better?

Answers

Answer:

a) 0.9 & 1

b) Mutual Fund B

Explanation:

For starters, I will define what Sharpe ratio is.....

Sharpe ratio is tagged, the measure of risk-adjusted return of a financial portfolio. It is worthy if note that on the average, a portfolio with a higher Sharpe ratio is considered superior relative to its peers.

You the question, the Sharpe ratios would be calculated as follows:

(Return of portfolio - risk free rate) / standard deviation.

So, for Mutual Fund A:

A = (12% - 3%) / 10%

A = 9% / 10%

A = 0.9

For Mutual Fund B:

B = (10% - 3%) / 7%

B = 7% / 7 %

B = 1

Although the Mutual Fund in A is calculated to have a higher return, the Mutual Fund B is laced with a higher risk-adjusted return.

Bayou Okra Farms just paid a dividend of $3.85 on its stock. The growth rate in dividends is expected to be a constant 4 percent per year indefinitely. Investors require a return of 12 percent for the first three years, a return of 10 percent for the next three years, and a return of 8 percent thereafter. What is the current share price?

Answers

Answer:

The answer is "$86.44".

Explanation:

The more recent dividends paid [tex]= \$ \ 3.85[/tex]

Level of growth [tex]= 4 \%[/tex]  

Required returns level for a first 3 years = 12 [tex]\%[/tex]

Required returns rate for year 3 to year 6 = 10 [tex]\%[/tex]

Required returns level after years 6= 8 [tex]\%[/tex]

Formula:

[tex]\text{Value of stock}= \frac{ \text{Last Dividend} \times (1+ Growth \ rate)}{\text{(Required rate of return - Growth Rate)}}[/tex]

Divididend payment for year O to year 6 is calculated below:

Year                            [tex]0 \ \ \ \ \ \ \ \ \ \ \ 1 \ \ \ \ \ \ \ \ \ \ \ 2 \ \ \ \ \ \ \ \ \ \ \ 3 \ \ \ \ \ \ \ \ \ \ \ 4 \ \ \ \ \ \ \ \ \ \ \ 5 \ \ \ \ \ \ \ \ \ \ \ 6[/tex]

Rate of return needed             12[tex]\%[/tex]        12[tex]\%[/tex]          12[tex]\%[/tex]          10[tex]\%[/tex]            10[tex]\%[/tex]      10[tex]\%[/tex]    

Collection of dividend[tex]\$ \ 3.85 \ \ \ \ \ \ 4.00 \ \ \ \ \ \ 4.16 \ \ \ \ \ \ 4.33 \ \ \ \ \ \ 4.50 \ \ \ \ \ \ 4.68 \ \ \ \ \ \ 4.87[/tex]  Benefit of terminal                                                                                  126.6584  

Dividend purchase price  3.58       3.32          3.08      3.08      2.91        2.75     Terminal value at year-end 3                         95.16

Present dividend value         67.73    

Value of Stock                $86.44

Curtis purchased inventory on December 1, 2020. Payment of 250,000 stickles was to be made in sixty days. Also on December 1, Curtis signed a contract to purchase §250,000 in sixty days. The spot rate was §1 = 0.33682, and the 60-day forward rate was §1 = $0.36842. On December 31, the spot rate was §1 = 0.32438 and the 30-day forward rate was §1 = 0.36386.



At what amount should the Forward Contract account be recorded on December 1?

Answers

Answer: $0

Explanation:

Forward contracts get their value from the cost and on December 1, there was no cost to Curtis as he Curtis had just signed the contract.

This means that the amount that should be recorded for the Forward Contract should be $0. Even though the contract is valued at $0, it will still need to be credited against the amount to be received to at least recognize that a forward contract was entered into.

If the market's required rate of return is 13% and the risk-free rate is 3%, what is the fund's required rate of return? Do not round intermediate calculations. Round your answer to two decimal places.
Portfolio required return
Suppose you are the money manager of a $4.59 million investment fund. The fund consists of four stocks with the following investments and betas:
Stock Investment Beta
A $ 260,000 1.50
B 360,000 - 0.50
C 1,220,000 1.25
D 2,750,000 0.75

Answers

Answer: 11.27%

Explanation:

First calculate the portfolio beta which is a weighted average of the individual betas;

= (260,000/4,590,000 * 1.50) + (360,000/4,590,000 * -0.5) + (1,220,000/4,590,000 * 1.25) + (2,750,000/4,590,000 * 0.75)

= 0.827342

Use CAPM to calculate the required return ;

= risk free rate + beta ( market return - risk free rate)

= 3% + 0.827342(13% - 3%)

= ‭0.1127342‬

= 11.27%

Balthazar Corporation has total assets of 582, total equity of 269, and a return on equity of 13.98%. The ROA for Balthazar is______________.

Answers

Answer: 6.46%

Explanation:

Return on Assets (ROA) = Net Income / Total Assets

Net Income = Return on Equity * Total Equity

= 13.98% * 269

= 37.6062‬

Return on Equity = 37.6062‬/582

= 0.0646

= 6.46%

An applicant should always print their résumé on paper that is _____.
a.
their favorite color
b.
white or light colored
c.
highly patterned
d.
bright or florescent

Answers

The answer is b) white or light colored

An applicant should always print their résumé on paper that is white or light colored. Thus, option B is correct.

What is Resume?

A résumé, also known as a curriculum vitae, is a document that a person creates and uses to demonstrate their history, abilities, and accomplishments. Résumés can be used for a number of purposes, although they are most commonly utilized to find a new job.

Applicant always prints their résumé on white paper. White is a common paper color that works effectively regardless of the items on your resume. The white paper gives your CV a clean, professional appearance. The white paper may be used for any task or business.

Candidate should always print their résumé on white or light-colored paper. As a result, option B is correct.

Learn more about the Resume here:

https://brainly.com/question/862477

#SPJ6

A company currently has a 51 day cash cycle.Assume the firm changes its operations such that it decreases its receivables period by 2 days,increases its inventory period by 3 days,and increases its payables period by 4 days.What will the length of the cash cycle be after these changes?
A) 42 days
B) 45 days
C) 48 days
D) 49 days
E) 51 days

Answers

Answer:

E) 51 days

Explanation:

Calculation of length of the cash cycle after the changes.

As given:

Current cash cycle = 51 days.

Decreases its receivables period by 3 days

Increases its inventory period by 4 days.

Increases its payables period by 1 day.

Hence,

Cash cycle = 51 days - 3 days + 4 days- 1 day

Cash cycle = 51 day

Therefore the cash cycle after the changes will be 51 days

Which of the following is a function of a human resources department? O planning for materials needs O setting strategic policies O administering compensation interpreting the legality of accounting practices​

Answers

Answer:

O administering compensation

Explanation:

The human resources department or the HR is the department responsible for employees' management in an organization.  Employees are the human resources in the organization. The HR's main task is to attract, train, and retain the best employees for the company.

Other functions of the Human resources department include

Recruiting and placing the right person for the right position.Managing the employee compensation schemeEnsure compliance with labor lawsTraining and building employee's capacityCreating and maintaining a good employer-employee relationship.

Last month Peggy Company had a $30,310 profit on sales of $350,000. Fixed costs are $92,190 a month. What sales revenue is needed for Peggy to break even? (Round your answer to the nearest dollar amount.)
a) $122,500
b) $380,310
c) $30,310
d) $263,400

Answers

Answer:

c) 30,310

Explanation:

this is your answer

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4 components of macro​

Answers

Answer:

The Macro Environment consists of 6 different forces. These are: Demographic, Economic, Political, Ecological, Socio-Cultural, and Technological forces. This can easily be remembered: the DESTEP model, also called DEPEST model, helps to consider the different factors of the Macro Environment.

Explanation:

Answer:

I believe it is Carbohydrates, Lipids, Proteins, and Nucleic acids

Explanation:

Hope This Helps!!

God Bless!!

~DuffyDuck~

Describe what companies can do to prepare employees for layoffs and to reduce their potential negative effects?

Answers

Answer:

Generally companies engage in massive layoffs because economic times are hard, but evidence show that massive layoffs actually do not benefit companies, instead it hurts them in the long run.

According to a study made by the Harvard Business Review, 45% of Fortune 500 companies carried out layoffs on a normal basis and 65% did it during the great recession. But that didn't help them become more profitable, nor more productive. Actually, the study showed that companies that engage in massive layoffs suffer financially for at least 3 years after the layoffs have been made. Remember that layoffs in America are rather simple and cheap to do, the negative effects of layoffs last longer in countries where firing people is expensive.

Most companies start firing employees because things are not going well and they are used as a way to cut costs. But even though firing people in the US is not expensive, hiring and training new employees is. Some companies like Toyota or Honda rarely fire anyone. Toyota aversion for layoffs is so great that it hasn't manufactured any cars in Venezuela for more than 7 years already, and it hasn't fired any employee. It rather relocated them to other countries after receiving more training.

Massive layoffs result in lower job satisfaction, organizational commitment and overall job performance. So any money saved by cutting jobs is lost by lower efficiency. Some universities have pointed out that the negative effects of massive layoffs can last up to 20 years. Remember that people are involved, not machines. When people feel disappointed and betrayed they will not behave in the same way. Negative effects tend to last much more than positive effects, e.g. wage increase which is seem as natural and fair.

What can be done:

Think like Toyota. If you know that X number of employees will not be needed in the future, retrain them and transfer them to areas where they can be useful. E.g. AT&T engages in a massive retraining policy for future unnecessary employees and managed to relocate 100,000 of them in 7 years. That actually boosted AT&T's productivity, increased its revenues and decreased costs. They were able to retain talent and boost morale.

When laying off employees is unavoidable and unforeseeable (which is rarely the case), companies should offer their employees a fair way out. They should also avoid making other remaining employees feel uncomfortable or that they are next in line to be laid off.

Taisha operates equipment to transfer oil from one container to another. Her job title is best described as

Spencer manages the flow of electricity through substations and distribution lines. His job title is best described as

Mariko maintains cables and supporting structures for transmitting electricity. Her job title is best described as

Fred operates equipment to transfer hydrogen through pipelines. His job title is best described as

Answers

Answer:

she would be the pump opperater

Explanation:

Answer:pump operator

Power dispatcher

Electrical power-line repairer

Gas pumping station operator

Explanation:

How can the government use fiscal policy to promote full employment?
A
by decreasing taxation rates for corporations
B
by increasing the sale of government securities
by decreasing federal spending on education
D
by increasing the interest rates on reserves

Answers

The answer is B.....

Jana estimates that if it issues new common stock, the floation cost will be 15%. Jana incorporates the floation cost into the division's growth approach, What is the estimated cost of newly issued common stock, taking into account the floation cost?Pertinent information:firms tax rate=40%Jana's coupon=12%, semiannual, noncallable bond with 15 years remaining to maturity is $1,153.72. no short term interest bearing debt.current price of the firms 10%, $100 par value, quarterly dividend, perpetual preferred stock is $116.95. Jana would incur flotation costs equal to 5% of the proceeds on a new issue.Jana's common stock selling at $50/share. Last dividend was $3.12 and dividends are expected to grow at a constant rate of 5.8%. Jana's beta=1.2, yield on t-bonds=5.6%, market risk premium is estimated to be 6%. The firm uses a 3.2% risk premium

Answers

Answer:

The cost of newly issued common stock will be 5.8% after incorporating the effect of flotation cost.

Explanation:

WACC is the cost of capital of all the sources of finance. This cost of capital should consider all the sources of finance. Jana should include long term debts and equity financing costs to identify the Weighted average cost of capital. Preferred stocks are also added in the calculations.

A bond has a $1,000 face value and a $900 market value. The bond pays interest semi-annually, has a yield-to-maturity of 8 percent, and matures in 5 years. What is the current yield?

Answers

Answer:

the current yield is 6.15%

Explanation:

Here for computing the current yield first we have to determine the monthly payment by applying the PMT formula

Given that

NPER = 5 × 2 = 10

RATE = 8% ÷ 2 = 4%

PV = $900

FV = $1,000

The formula is shown below:

= PMT(RATE;NPER;-PV;FV;TYPE)

After applying the above formula, the pmt is $27.67

Now the current yield is

= $27.67 × 2 ÷ $900

= 6.15%

Hence, the current yield is 6.15%

Bill Campbell invested $3,200 and borrowed $3,200 to purchase shares in Kellogg. At the time of his investment, Kellogg stock was selling for $52 a share (a) If Bill paid a $53 commission, how many shares could he buy if he used his $3,200 and borrowed $3,200 on margin to buy Kellogg stock? (Round your answer to 2 decimal places.) Number of shares (b) Assuming Bill did use margin, paid a $92 total commission to sell his Kellogg stock, and sold his stock for $57 a share, how much profit did he make on his Kellogg investment? (Use the number of shares computed in part (a) rounded to 2 decimal places. Round your final answer to 2 decimal places.) Total profit after commissions

Answers

Answer:

Bill Campbell

a) The number of shares that Bill could buy = 122.06 shares.

b) The total profit after commissions = $465.42

Explanation:

a) Data and Calculations:

Investment from own funds = $3,200

Investment on margin = $3,200

Total investment = $6,400

a) If Bill paid a $53 commission, the number of shares that he could buy if he used his $3,200 and borrowed $3,200 on margin to buy Kellogg stock, with Kellogg's stock selling for $52 a share is:

Total investment =       $6,400

Less commission                53

Investment on shares $6,347

Number of shares = 122.06 ($6,347/$52)

b) Sale of stock:

Sales value = $57 * 122.06 = $6,957.42

Total commission =                       92.00

Net value from sale =            $6,865.42

Cost of investment =             $6,400.00

Profit on investment =              $465.42

Production possibilities curves are useful to businesses because they
A. show how producing one product affects production of another.
B. identify efficient production methods to increase productivity.
C. help make predictions about which products will be profitable.
O D. compare productivity between multiple companies,

Answers

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PLEASE HELP ILL GIVE BRAINLIEST ANSWER

James works as a distribution manager at a very large port. He oversees the storage of shipping containers that have been offloaded from large carriers and directs which trucking company will take the containers further along their path to the consumer. The pathway in the Transportation and Logistics cluster that James’s job falls into is _____.

Facility & Mobile Equipment Maintenance

Logistics, Planning and Management Services

Transportation and Operations

Warehousing & Distribution Center Operations

Answers

Warehousing & Distribution Center

Distribution management refers to the process of overseeing the movement of goods from supplier or manufacturer to point of sale. It is an overarching term that refers to numerous activities and processes such as packaging, inventory, warehousing, supply chain, and logistics.

if a business purchases items to sell during the year, the cost of any items that are not used or consumed are reflected

Answers

Answer:

"On the end of the year balance sheet" is the right response.

Explanation:

If a company is buying goods to sell and even certain merchandise remains unsold might become a component of storage again for the corporation. That balance of supply remains displayed on either the reserves side underneath current assets on what's on the ending accounting records and then this amount will be carried forward to that day.

You have just purchased a car and, to fund the purchase, you borrowed $25,000. If your monthly payments are $402.18 for the next 6 years, what is the APR of the loan? A) 4.58% B) 5.67% C) 4.37% D) 5.09% E) 4.96%

Answers

Answer:

E) 4.96%

Explanation:

The computation of the APR could be determined by applying the RATE formula i.e. shown below:

Given that

PMT = $402.18

Present value = $25,000

NPER = 6 × 12 = 72

FUture value = $0

The formula is shown below:

=RATE(NPER;PMT;-PV;FV;TYPE)

After applying the above formula, the annual percentage rate of the loan is

= 0.4135%  × 12

= 4.96%

hence, the correct option is E.

The futures contract on silver is based on 5,000 troy ounces and is priced in dollars and cents per troy ounce. Assume today's report reflects these prices for the June contract: Open 19.435, High 19.450, Low 19.025, Settle 19.119, and Chg .369. What is the price per troy ounce that will be used for today's marking-to-market for this contract?A) $19.435B) $19.450C) $19.025D) $19.081E) $19.119

Answers

Answer:

$19.119

Explanation:

Settle price is used.

The settlement price also called settle price, is the average price at which a contract trades. This price is calculated at the opening of the trading day, and also calculated again at the closeing of the trading day.

The settlement price is of utmost important because it is a determining factor as to whether a trader is required in the posting of additional margins or not

The demand function for Schrecklichs is 200 - 4PS - 2PL and the demand function for LaMerdes is 200 - 3PL - PS, where PS and PL are respectively the price of Schrecklichs and LaMerdes. If the world supply of Schrecklichs is 150 and the world supply of LaMerdes is 150, then the equilibrium price of Schrecklichs is:_______.a. $12.50. b. $15. c. $5. d. $10. e. $20.

Answers

Answer:

c. $5

Explanation:

Demand = Supply

200 - 4PS -2P_L=150

4PS+2PL=50 ..........(1)

200-3PL-PS=150

3PL+PS=50 ..........(2)

Equation (1) x 3....6PL+12PS=150 ......(3)

Equation (2) x 2...6PL+2PS=100 ........(4)

On Equation (3) and (4)

On eqn (3) and (4)

10PS = 50

PS=5

Substitute Ps value in eqn (1)

4PS+2PL=50

4(5)+2PL=50

2PL = 50-20

2PL=30

PL=15

Thus, the Equilibrium price of Schrecklichs is C) $5

In using the variable cost concept of applying the cost-plus approach to product pricing, variable manufacturing costs and variable selling and administrative expenses must be covered by the markup. 1) True 2) False

Answers

Answer:

True

Explanation:

In the variable cost concept, all the variable manufacturing cost should be covered in the markup for product pricing. The Cost-plus approach determines the pricing of the product by adding the cost of the product whether buying or Manufacturing in the required markup.

In a cost-plus approach under variable

Price of the product = Variable costs + Markup

Price of the product = ( Material cost + Labor cost + Variable manufacturing cost + Variable selling and administrative cost ) + ( Total variable cost x Markup rate )

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In certain ranges of a piano keyboard, more than one string is tuned to the same note to provide extra loudness. For example, the note at 110 Hz has two strings at this frequency. If one string slips from its normal tension of 600 N to 540 N, what beat frequency is heard when the hammer strikes the two strings simultaneously? What is the percent of increase from 600,000 to 1,000,000? There are_periods included in the periodic table.Answer hereSUBMITs can i have some help Which sentence best captures the central idea of the informational text Pediatrics Official Journal of the American Academy of Pediatrics? 1 point a)The AAP provides suggestions to pediatricians on the various ways they can inform individuals, the public, and take action about healthy media use among adolescents b)The AAP describes the variety of media available to adolescents continues to increase health concerns c)The AAP suggests how pediatricians are very limited in the ways they can inform individuals about the safety use of media exposure among teens d)The AAP explains how pediatricians could offer advice on how to monitor adolescent media use at home onlyPlz answer as soon as possible how did common sense affect colonial thinking Describe 2 of the New Deal programs and their impact today Victoria charges $9 per hour for babysitting. Taylor charges $10.50 per hour for babysitting. If they both work for 5 hours. how much more will Taylor earn than Victoria? -3.2 < -3 Is this true or false? Steve can run 1 2/9 miles in 10 minutes. How many miles can he run in 30 minutes? what is the distance between -48 and 17 on a number line Please help! Ill give brainliest :)X = ___ ??Y = ___ ?? b. Some of Company X's new practices and systems are unethical. Business ethics is a set of codesabout how a business should conduct itself. In what ways is Company X not applying ethical practices?(1 point) !!!HELP ME WITH THIS QUESTION PLEASE!!! Hudson and know are running a race. Know got a 30 foot head start. Hudson is running at 8.8 feet per second. Know is running at 6.3 feet per second. How many seconds until know and Hudson are at the same place. which term describes the governments Italy, Germany and the soviet union in the early Write the slope-intercept form of the equation of the line given the slope and the y-intercept.8Slope = -y-intercept = 43 Which line is parallel to y = 3x - 1? *y = 4x - 1y = -3x + 5y = 3xy = -3x + 6 Can someone help me answer this? A dentist sees patients each day to clean their teeth. The function g(x) represents the number of teeth cleaned, where x is the number of people who saw the dentist. Does a possible solution of (20, 20) make sense for this function? Explain your answer. Yes. The input and output are both possible. No. The input is not possible. No. The output is not possible. No. Neither the input nor output is possible.