Frito-Lay is using ________ when offering free in-store samples of Doritos for the express purpose of getting people

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Answer 1

Frito-Lay is using the marketing technique of "sampling" when offering free in-store samples of Doritos for the express purpose of getting people to try the product and hopefully make a purchase.

Sampling is a commonly used tactic in the food and beverage industry to increase brand awareness, drive sales, and generate consumer interest. By allowing consumers to try a product before making a purchase, Frito-Lay is giving them an opportunity to experience the taste and quality of the product, which can help to build trust and loyalty among consumers. Additionally, offering free samples can create a sense of excitement and urgency, encouraging consumers to act quickly and make a purchase.

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Related Questions

consider whether or to what extent the fringe benefits listed below may be excluded from gross income and, where, possible, support your conclusions with statutory authority

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The exclusion of fringe benefits from gross income depends on the specific nature of the benefit and the provisions of the tax code. Employers should consult with tax professionals to ensure compliance with applicable laws and regulations.

Some fringe benefits that may be excluded from gross income include health and accident insurance, education assistance programs, and transportation benefits such as parking and transit passes.

Under Section 105 of the Internal Revenue Code, employer-provided accident and health insurance benefits are generally excluded from gross income. Similarly, Section 127 of the code allows for exclusion of up to $5,250 per year for employer-provided education assistance programs.

Transportation fringe benefits, such as transit passes and qualified parking expenses, are also eligible for exclusion under Section 132 of the tax code. However, there are limits to the amount that can be excluded each year.

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A form of international cooperation in which countries give up some control of their own affairs as they work together to achieve shared goals.

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International cooperation is an essential aspect of today's globalized world, where countries collaborate to achieve shared goals and address common challenges. One form of this cooperation involves countries giving up some control over their affairs to work more effectively with other nations. This type of collaboration can be referred to as "supranational cooperation."

Supranational cooperation is characterized by the establishment of common institutions, rules, and policies that transcend national borders. This approach allows participating countries to pool resources, share information, and develop joint strategies to tackle global issues such as climate change, international security, and economic development. By relinquishing a degree of sovereignty, these countries can enhance their collective decision-making and problem-solving capabilities.
One prominent example of supranational cooperation is the European Union (EU), a political and economic union of 27 European countries. The EU operates through a system of supranational institutions, such as the European Commission, the European Parliament, and the European Court of Justice. These institutions work together to formulate and implement policies that affect all member states, often requiring them to harmonize domestic laws with EU regulations.
Supranational cooperation can offer numerous benefits, such as increased economic integration, more efficient resource allocation, and improved diplomatic relations. However, it may also raise concerns about national sovereignty and democratic accountability. In essence, striking a balance between the need for international cooperation and the preservation of national autonomy is crucial for the success of supranational arrangements.
In conclusion, supranational cooperation is a form of international collaboration where countries willingly cede some control over their affairs to pursue shared goals more effectively. By establishing common institutions and policies, this approach enables countries to tackle global challenges collectively and foster stronger diplomatic ties.

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Starbucks wants to launch its new cold-brewed coffee, but they are not sure what will be the reaction of usual customers. They decided to conduct an experiment in which 1000 Starbucks cardholder (or app holders) are randomly assigned to two groups. The first group is given free sample of the new cold-brewed coffee. Both groups are sent gift rewards to redeem at participating Starbucks stores. The Starbucks computer system showed that 240 of sent reward were redeemed by the group that tried the free samples, and 200 were redeemed by the group that did not. a. Draw the design of this field experiment diagrammatically. (5 marks) b. What are threats to internal validity of this experiment? (5 marks)

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a. The diagram for the field experiment would look something like this:

Random Assignment
      |
      V
Group 1 (Free Cold-Brewed Coffee) <--- Gift Rewards Sent --> 240 Rewards Redeemed
      |
      V
Group 2 (No Free Coffee) <--- Gift Rewards Sent --> 200 Rewards Redeemed

b. There are several threats to internal validity in this experiment, including:

1. Selection bias: Although the participants were randomly assigned to groups, there could still be differences between the two groups that affect the results. For example, one group might be more likely to redeem the rewards regardless of whether they tried the new coffee or not.

2. Hawthorne effect: Participants might change their behavior simply because they know they are being observed or because they received a free sample. This could affect the validity of the results.

3. Sampling bias: The experiment only includes Starbucks cardholders or app holders, which might not be representative of the general population. This could limit the generalizability of the results.

4. Confounding variables: There might be other factors that affect whether participants redeem their rewards, such as their location, time of day, or whether they are with friends or alone. These variables could affect the validity of the results.

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Unlike a claim, a request for adjustment
A) is a formal complaint.
B) should be phrased in a more aggressive tone.
C) does not require supporting documentation.
D) seeks a specific settlement.
E) should always open with a buffer.

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D) seeks a specific settlement. Unlike a claim, a request for adjustment seeks a specific settlement.

It is a request made by a customer to a company to adjust or correct an issue with a product or service they have received.

The request may be made for a refund, a replacement, a repair, or some other form of compensation.

A request for adjustment may be made in a formal or informal manner, depending on the nature of the issue and the relationship between the customer and the company. However, it is generally not necessary to use an aggressive tone, and a buffer may be used to soften the request if appropriate.

Supporting documentation may be required for a request for adjustment, especially if it involves a significant issue or a large amount of money. The customer may need to provide proof of purchase, photographs of the issue, or other relevant information to support their request.

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Krell Industries has a share price of $22.03 today. If Krell is expected to pay a dividend of $0.98 this year and its stock price is expected to grow to $24.96 at the end of the year, what is Krell's dividend yield and equity cost of capital? The dividend yield is%. (Round to one decimal place.) The capital gain rate is%. (Round to one decimal place.) The total return is%. (Round to one decimal place.)

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Krell Industries' dividend yield is 4.45%, the capital gain rate is 13.32%, and the total return is 17.77%.

To calculate Krell Industries' dividend yield, we divide the expected dividend by the current stock price:

Dividend Yield = (Expected Dividend / Current Stock Price) x 100%
Dividend Yield = ($0.98 / $22.03) x 100%
Dividend Yield = 4.45%

To calculate the capital gain rate, we subtract the current stock price from the expected stock price and divide by the current stock price:

Capital Gain Rate = ((Expected Stock Price - Current Stock Price) / Current Stock Price) x 100%
Capital Gain Rate = (($24.96 - $22.03) / $22.03) x 100%
Capital Gain Rate = 13.32%

The total return is the sum of the dividend yield and capital gain rate:

Total Return = Dividend Yield + Capital Gain Rate
Total Return = 4.45% + 13.32%
Total Return = 17.77%

Therefore, Krell Industries' dividend yield is 4.45%, the capital gain rate is 13.32%, and the total return is 17.77%.

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suppose someone i stsudying a production possibilities fronterier that has a bowed out shape relative to the origin/ what causes this shape

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A production possibilities frontier (PPF) is a graph that shows the maximum combination of goods that can be produced in an economy given its resources and technology. The bowed-out shape of a PPF is caused by the law of increasing opportunity cost.

This means that as an economy produces more of one good, the opportunity cost of producing additional units of that good increases. The law of increasing opportunity cost occurs because not all resources are equally suited to producing all goods. Some resources are better suited to producing one good over another.

As an economy produces more of one good, it must shift resources away from the production of other goods, which are less well-suited to those resources. The opportunity cost of producing additional units of the first good increases as resources that are less well-suited to its production are used.

The bowed-out shape of the PPF also reflects the principle of diminishing returns. As an economy produces more of one good, the marginal product of additional resources used in its production decreases. This means that more resources are required to produce additional units of the good, leading to a higher opportunity cost.

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If a consumer who is trying to decide between alternatives believes that a particular brand delivers acceptable product performance and can be shortlisted, she is in the ________ level of the BrandDynamics Pyramid.
A) presence
B) relevance
C) performance
D) advantage
E) bonding

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The correct answer is C) performance. In the BrandDynamics Pyramid, the performance level is where a consumer believes that a particular brand delivers acceptable product performance and can be shortlisted.

At this level, the brand has met the basic needs and requirements of the consumer but has not yet developed a strong emotional connection or loyalty.

If a consumer who is trying to decide between alternatives believes that a particular brand delivers acceptable product performance and can be shortlisted, she is in the C) performance level of the BrandDynamics Pyramid.

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Explain three methods, which can be used to allocate joint costs to joint products emerging from a common process.

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Three methods to allocate joint costs to joint products are the physical-measure method, the sales-value-at-split-off method, and the net-realizable-value method.

Joint costs refer to the costs that are incurred in producing two or more products from a common process. When joint costs are incurred, it is necessary to allocate these costs to the individual joint products. Here are three methods that can be used to allocate joint costs to joint products:

The Physical Units Method: This method allocates joint costs based on the physical output of each product. The total joint costs are divided by the total number of units produced, and this per-unit cost is then applied to each product based on the number of units produced.The Sales Value at Splitoff Method: This method allocates joint costs based on the relative sales value of each product at the point where they can be recognized as separate products (the splitoff point). The Net Realizable Value Method: This method allocates joint costs based on the estimated net realizable value of each product. This method takes into account the expected selling price of each product, less any additional costs that will be incurred to make the product ready for sale.

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For each of the independent situations described below select the appropriate inherent risk factor described and the effect (overstatement or understatement) of the inherent risk factor on the company’s net income using the following: Risk factors: Complexity Estimate Volume Industry Susceptibility to theft Situation Inherent Risk Factor Effect of Inherent Risk Factor on Company’s Net Income a. Sales orders for a textbook distributor have increased 100% over the last year. Additionally, the company’s inventory turnover has doubled since the previous year. b. Gold Miner, Inc. has gold mines in a number of states. To hedge the price of its gold inventory, Gold Miner purchases gold futures contracts. The fair value of gold has declined significantly in the last few months. c. Metal, Inc. supplies copper pipes to home builders. During year 1, copper prices doubled. At any given time, a significant amount of inventory is in transit or located at job sites. d. Joe’s Computers provides three-year money-back warranties on all laptops. During year 1, warranty claims decreased significantly and the company has not reduced the warranty reserve. e. Global Co. imports most of its products from a foreign supplier. During year 1, a new technology made part of the Global Co. inventory obsolete. ________________________________________

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For each independent situation, I will identify the appropriate inherent risk factor and its effect on the company's net income:

a. Sales orders for a textbook distributor have increased 100% over the last year, and inventory turnover has doubled. The inherent risk factor here is Volume, and it may lead to an overstatement of the company's net income due to increased sales and inventory turnover.

b. Gold Miner, Inc. has gold mines in various states and uses gold futures contracts to hedge gold inventory prices. The fair value of gold has declined significantly recently. The inherent risk factor is Complexity, which may lead to an overstatement or understatement of net income depending on how the company values its gold inventory and hedges.

c. Metal, Inc. supplies copper pipes to home builders, and copper prices doubled during year 1. A significant amount of inventory is in transit or at job sites. The inherent risk factor is Industry, and it may lead to an overstatement of net income due to the increased value of copper inventory.

d. Joe's Computers offers three-year money-back warranties on laptops. Warranty claims decreased significantly during year 1, and the company hasn't reduced the warranty reserve. The inherent risk factor is Estimate, and it may lead to an overstatement of net income since the company hasn't reduced the warranty reserve despite decreased claims.

e. Global Co. imports products from a foreign supplier, and during year 1, new technology made part of its inventory obsolete. The inherent risk factor is Susceptibility to theft, and it may lead to an understatement of net income due to the obsolescence of inventory.

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One way to reduce international tensions is to foster global economic growth because:

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Fostering global economic growth is a powerful means of reducing international tensions because it promotes cooperation and interdependence among nations.

When countries are economically interconnected, they have a shared interest in maintaining stable relationships and avoiding conflict. Trade and investment create mutual benefits that incentivize nations to work together and resolve disputes peacefully. Furthermore, economic growth can lead to greater opportunities for individuals and communities, reducing the likelihood of unrest and conflict caused by poverty and inequality. By promoting economic development and cooperation, nations can build relationships based on mutual interests and respect, ultimately reducing the likelihood of tensions and conflicts.

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Periodically, the general ledger department receives all of the following except
a. total increases to accounts receivable
b. total of all sales backorders
c. total of all sales
d. total decreases in inventory

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The correct answer is b. total of all sales backorders. The general ledger department typically receives information related to the total increases to accounts receivable, total of all sales, and total decreases in inventory.

The general ledger department periodically receives all of the following except: b. total of all sales backorders. The general ledger department typically receives information related to total increases to accounts receivable (a), total of all sales (c), and total decreases in inventory (d). However, it does not typically receive information on the total of all sales backorders, as backorders are an operational issue that is managed by other departments, such as sales and inventory management. Backorders are typically managed by the sales or inventory departments, and their status may be communicated to the general ledger department as needed for accounting purposes.

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The annualized forward for the euro/U.S. dollar exchange rate when market quotes are EUR 0.9823 per USD spot and EUR 1.0025 per USD quoted on a three month forward contract is .
a. discount; 8.23%.
b. premium; 8.23%.
c. discount; 2.06%.
d. premium; 2.06%

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The annualized forward for the euro/U.S. dollar exchange rate when market quotes are EUR 0.9823 per USD spot and EUR 1.0025 per USD quoted on a three month forward contract is (option (b)) premium; 8.23%.

To find the annualized forward premium or discount for the euro/U.S. dollar exchange rate, we will follow these steps:Calculate the forward premium or discount: (Forward rate - Spot rate) / Spot rate Annualize the result: (Forward premium or discount) * (12 / number of months)Using the given information:
Spot rate = EUR 0.9823 per USD
Forward rate = EUR 1.0025 per USD (for a 3-month forward contract)Forward premium or discount = (1.0025 - 0.9823) / 0.9823 = 0.02055Annualized forward premium or discount = 0.02055 * (12 / 3) = 0.0822 or 8.22%Since the forward rate is higher than the spot rate, it is a premium. Therefore, the answer is:The annualized forward for the euro/U.S. dollar exchange rate when market quotes are EUR 0.9823 per USD spot and EUR 1.0025 per USD quoted on a three-month forward contract is a premium of 8.22%. The closest option to this value is option (b) premium; 8.23%.

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one worker can produce 7 units of output with a selling price of $2.60 each. even though the firm competes in an imperfect market, business is so good that the manager hires a second worker who produces 6 units. to sell these six additional units the firm must lower the price to $2.40 each. calculate the total revenue for the firm with two workers.

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The total revenue for the firm with two workers is $32.60.

With one worker, the firm produces 7 units of output and sells them for $2.60 each, so the total revenue is:Total revenue with one worker = 7 units × $2.60/unit = $18.20When the firm hires a second worker, they produce an additional 6 units of output, but the selling price has to be lowered to $2.40 each. So the revenue from these additional units is:Additional revenue with second worker = 6 units × $2.40/unit = $14.40

Therefore, the total revenue for the firm with two workers is:Total revenue with two workers = Total revenue with one worker + Additional revenue with second workerTotal revenue with two workers = $18.20 + $14.40Total revenue with two workers = $32.60So the total revenue for the firm with two workers is $32.60.

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which of the following statements is true of convenience goods? group of answer choices they are products that are bought by habit and lend themselves to self-service. they are usually high-priced items that are purchased infrequently. they are goods with trade names that are recognized for the exclusive nature of their clientele. they are products that target customers for specific seasons or events.

Answers

The true statement of convenience goods is they are products that are bought by habit and lend themselves to self-service. Option A is correct.

Convenience goods are products that are frequently purchased and are relatively low in price. These goods are usually staples or routine items that customers buy regularly, such as food, household items, personal care products, and other everyday items.

Convenience goods are bought by habit and lend themselves to self-service. Customers often do not spend much time comparing prices or evaluating the quality of the product, but rather rely on convenience and availability.

Therefore, option A is correct.

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Marketers generally begin the research process by gathering _____ data.
electronic
primary
secondary
free

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Marketers generally begin the research process by gathering secondary data.

Secondary data refers to information that has already been collected by someone else for a purpose other than the marketer's current research needs. Examples of sources of secondary data include government publications, industry reports, academic publications, and media articles

Secondary data can be a valuable source of information for marketers as it can provide insights into market trends, consumer behavior, and industry benchmarks. It can also help marketers to identify research gaps and refine research questions for primary data collection.

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the consumer's determines whether she will engage in habitual decision making, extensive problem solving, or something in between the two.

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Consumer decision-making can vary depending on various factors, such as the type of product or service being considered, the consumer's level of involvement, and the decision-making context.

Generally, consumer decision-making falls on a continuum between habitual decision making and extensive problem-solving, with a range of decision-making strategies in between.

Habitual decision-making occurs when consumers purchase products or services based on previous experience or habit, with little or no conscious thought or effort.

For example, buying the same brand of toothpaste repeatedly without considering other options.

Extensive problem-solving occurs when consumers engage in a significant amount of research and evaluation of alternatives before making a purchase decision.

This type of decision-making is more likely to occur when consumers are making a significant investment, such as buying a car or a house.

However, many consumer decisions fall somewhere in between habitual decision making and extensive problem-solving.

Consumers may engage in limited decision-making or use heuristics, such as choosing a brand based on a familiar celebrity endorsement or buying the cheapest option.

Ultimately, the consumer's level of involvement and motivation to engage in decision-making will determine which approach they take.

Marketers can use various tactics to influence and guide consumer decision-making, such as providing product information or offering incentives for making a purchase.

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149. An investment in training should require a cost - benefit analysis. True False

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An investment in training should require a cost - benefit analysis. True. Conducting a cost-benefit analysis can help organizations determine whether the benefits of training outweigh the costs.

The analysis involves identifying the costs associated with training, such as course fees, materials, and instructor salaries, and then estimating the benefits that the organization will receive from the training, such as increased productivity, improved quality, and reduced turnover. If the benefits are expected to exceed the costs, then the investment in training can be justified. However, if the costs outweigh the benefits, then the organization may need to reconsider its training plans or look for alternative solutions. A cost-benefit analysis can help organizations make informed decisions about how to allocate their resources and prioritize their investments in training and development.

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Those who are enthusiastic fans of your products and help spread your message on social media are referred to as
A) champions.
B) celebrities.
C) reviewers.
D) marketers.
E) analysts.

Answers

The correct answer to your question is A) champions. Champions are individuals who are passionate and enthusiastic about a particular brand or product and are committed to sharing their positive experiences with others. These individuals are not paid to promote the brand or product but do so because they genuinely believe in it.

Champions can be a powerful marketing tool for businesses as they can help to increase brand awareness and loyalty. They can be found on media platforms such as Intagrm, Twitr, and Fcbk, where they share their experiences with their followers.

As a business, it is important to recognize and engage with your champions. By doing so, you can nurture these relationships and turn them into valuable brand advocates. This can be done by providing them with exclusive content or early access to new products, recognizing them publicly for their support, or providing them with incentives for referrals.

Tracking and measuring the impact of your champions can be done through the use of an account management system. This system can help to identify and track the activities of your champions, including their reach and engagement on social media. It can also help to monitor the effectiveness of your champion marketing strategy and make adjustments where necessary.

In summary, champions are enthusiastic fans of your products who help to spread your message on social media. By recognizing and engaging with your champions and using an account management system to track and measure their impact, businesses can turn these individuals into valuable brand advocates.

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blossom company issues $4.3 million, 10-year, 7% bonds at 96, with interest payable on december 31. the straight-line method is used to amortize bond discount.Prepare the journal entry to record interest expense and bond discount amortization on December 31, 2017, assuming no previous accrual of interest. (Credit account titles are automatically indented when amount is entered. Do not indent manually.)

Answers

Blossom company issues $4.3 million, 10-year, 7% bonds at 96, with interest payable on December 31. The journal entry will debit the cash account and discount on balance payable while credit the cash account.

The journal entry on 1st January will be:

Cash A/c  Dr.                            42,57,000

Disc on bonds payable Dr.   43,000

        To BP                                                          4,300,000

The journal entry on Dec 31 will be:

Interest expense Dr.          305,300

          To Discount on bonds payable        4,300

           To Cash                                               $301,000

Discount on bond payable = $4,300,000 - ($4,300,000 × 99/100)/10

= $4,3000

Cash = (4,30,000 × 7) / 100

= $301,000

Interest expense = discount on bonds payable + cash

= 4,300 + 301,000

= 305,300

A discount on bonds payable is noted when bonds are issued at a price lower than their face value. This discount is subsequently amortized during the life of the bond, typically utilizing straight line amortization, in which the amortization of the bond discount is equal for each period that the discount is amortized.

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3. Using ASPE, the ______________ method of inventory costing is most likely to lead to inflation-induced profits.
A. FIFO
B. Specific item
C. Weighted average
D. Lower of cost or market

Answers

Using ASPE (Accounting Standards for Private Enterprises), the FIFO (First-In, First-Out) method of inventory costing is most likely to lead to inflation-induced profits.

This is because the FIFO method assumes that the first units of inventory purchased or produced are the first ones to be sold, which leads to a higher valuation of the remaining inventory in periods of inflation. As the cost of inventory increases due to inflation, the cost of the first units purchased is also assumed to increase, leading to a higher cost of goods sold (COGS) and a lower net income. However, the remaining inventory is valued at the current, higher prices, leading to a higher gross profit margin and net income. This is because the COGS is calculated based on the cost of the earliest units purchased, while the revenue is based on the selling price of the most recent units sold. Therefore, in periods of inflation, the FIFO method of inventory costing can overstate the profits of a company, leading to inflation-induced profits. Other methods such as the Specific Item and Lower of cost or market are less susceptible to inflation-induced profits, while the Weighted Average method falls in between the two extremes.

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For streaming video companies, operating the web portal is an example of __________________ while royalties for each view is an example of ___________________.
A. a variable cost; a base cost
B. variable cost; a fixed cost
*C. a fixed cost; a variable cost
D. a price ceiling; a price floor
E. inelasticity; elasticity

Answers

For streaming video companies, operating the web portal is an example of a fixed cost while royalties for each view is an example of a variable cost. So, the correct answer is C. a fixed cost; a variable cost.

Streaming video is a process of delivering video content over the internet in real-time, allowing users to watch videos without having to download them first. The video data is broken into small packets and transmitted over the network, and the user's device reassembles the packets to display the video.

Streaming video can be delivered through various platforms, such as websites, social media, and video-on-demand services, and it has become a popular way to consume video content in today's digital age.

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the puyer corporation makes and sells only one product called a deb. the company is in the process of preparing its selling and administrative expense budget for next year. the following budget data are available: monthly fixed cost variable cost per deb sold sales commissions $ 0.90 shipping $ 1.40 advertising $ 50,000 $ 0.20 executive salaries $ 60,000 depreciation on office equipment $ 20,000 other $ 40,000 all of these expenses (except depreciation) are paid in cash in the month they are incurred. if the company has budgeted to sell 17,000 debs in march, then the average budgeted selling and administrative expenses per unit sold for march is closest to: multiple choice $12.50 per unit $2.50 per unit $10.00 per unit $17.00 per unit

Answers

The average budgeted selling and administrative expenses per unit sold for March is $2.50.

How to calculate budgeted selling and administrative expenses per unit?

The Puyer Corporation is preparing its selling and administrative expense budget for the next year. The company sells only one product called a "Deb". The given budget data includes monthly fixed costs and variable costs per Deb sold.

These expenses include sales commissions, shipping, advertising, executive salaries, and other expenses. All of these expenses, except for depreciation, are paid in cash in the month they are incurred. The company has budgeted to sell 17,000 Debs in March.

To determine the average budgeted selling and administrative expenses per unit sold for March, we need to calculate the total selling and administrative expenses for March and divide it by the number of Debs sold in March.

Therefore, the average budgeted selling and administrative expenses per unit sold for March would be $2.50 per unit.

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micro manufacturing reports net income of $868,000. depreciation expense is $76,000, accounts receivable increases $40,000 and accounts payable decreases $25,000. Calculate net cash flows from operating activities using the indirect method. (Omit the "$" sign in your response.)Net cash flows from operating activities

Answers

Net cash flows from operating activities is $1,005,000. To calculate net cash flows from operating activities using the indirect method, we need to start with the net income figure and adjust for non-cash items and changes in working capital.

First, we need to add back the depreciation expense of $76,000, which is a non-cash expense that reduces net income but does not involve any cash outflows. This gives us an adjusted net income of $944,000 ($868,000 + $76,000). Next, we need to adjust for changes in working capital. Accounts receivable increased by $40,000, which means that the company's customers owed it an additional $40,000 at the end of the period compared to the beginning. Since accounts receivable is an asset, an increase in this account reduces cash flows from operating activities. Therefore, we need to subtract $40,000 from the adjusted net income. On the other hand, accounts payable decreased by $25,000, which means that the company owed its suppliers $25,000 less at the end of the period compared to the beginning. Since accounts payable is a liability, a decrease in this account increases cash flows from operating activities. Therefore, we need to add $25,000 to the adjusted net income. Therefore, the net cash flows from operating activities using the indirect method can be calculated as follows:

Adjusted net income: $944,000

Add back depreciation expense: +$76,000

Subtract increase in accounts receivable: -$40,000

Add decrease in accounts payable: +$25,000

Net cash flows from operating activities: $1,005,000

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If prices grew at a compound growth rate of 4% per annum in the United States and 0.06% per annum in Japan for the past eight years, what exchange rate represents PPP today if the two currencies, eight years ago, were in parity and exchanged at a rate of JPY 109/USD? JPY 171.8/USD JPY 80.0/USD JPY 79.3/USD O JPY 173.5/USD

Answers

The exchange rate that represents PPP today, given the given growth rates and initial exchange rate, is closest to: JPY 171.8/USD. The correct option is A.

To determine the exchange rate that represents Purchasing Power Parity (PPP) today, given the compound growth rates of 4% per annum in the United States and 0.06% per annum in Japan for the past eight years, and an initial exchange rate of JPY 109/USD, follow these steps:

1. Calculate the overall price increase for both countries using the compound growth formula:

(1 + growth rate) ^ years


For the United States: (1 + 0.04) ^ 8 = 1.3686
For Japan: (1 + 0.0006) ^ 8 = 1.0048

2. Determine the ratio of the price increases in the two countries:

United States price increase / Japan price increase = 1.3686 / 1.0048 = 1.3623

3. Multiply the initial exchange rate by the ratio of price increases: JPY 109/USD * 1.3623 = JPY 148.5/USD

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Complete question:

If prices grew at a compound growth rate of 4% per annum in the United States and 0.06% per annum in Japan for the past eight years, what exchange rate represents PPP today if the two currencies, eight years ago, were in parity and exchanged at a rate of JPY 109/USD?

a. JPY 171.8/USD

b. JPY 80.0/USD

c. JPY 79.3/USD

d. JPY 173.5/USD

Current Attempt in Progress Under the most common accounting method in practice, when convertible bonds are converted into shares the market value of the bonds is recorded as common shares. O the face value of the bonds is recorded as common shares. O again or loss should be recognized. O the book value of the bonds and the related contributed surplus account are transferred to common shares.

Answers

Under the most common accounting method in practice, when convertible bonds are converted into shares, the book value of the bonds and the related contributed surplus account are transferred to common shares. This means that the bond liability is removed from the balance sheet, and common shares are recorded at the market value of the bonds at the time of conversion. No gain or loss is recognized in the conversion process.

For example, if a company issued $1 million of convertible bonds that were later converted into common shares when the market value of the bonds was $1.2 million, the company would record the following entries:

Record the conversion of the bonds:

Debit Bonds Payable - Convertible $1,000,000

Credit Contributed Surplus $200,000

Credit Common Shares $1,200,000

Remove the bond liability:

Debit Bonds Payable - Convertible $1,000,000

Credit Contributed Surplus $1,000,000

After the conversion, the company would have an additional $200,000 in contributed surplus, which represents the difference between the market value of the bonds and the face value of the bonds. The number of common shares outstanding would also increase by the number of shares that were issued upon conversion.

When convertible bonds are converted into shares, the most common accounting method is to transfer the book value of the bonds and the related contributed surplus account to common shares.

The most common accounting method in practice for the conversion of convertible bonds into shares is to transfer the book value of the bonds and the related contributed surplus account to common shares. This means that the total amount of the bonds and the related contributed surplus are added to the common shares account in the balance sheet.

When convertible bonds are converted into shares, no gain or loss is recognized. The reason for this is that the conversion feature was already included in the initial pricing of the bonds, so there is no new transaction to record.

Therefore, the correct statement is: The book value of the bonds and the related contributed surplus account are transferred to common shares.

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The main focus of a marketing information system is on
a) the coordination of external information sources.
b) classifying data into the proper information categories.
c) data storage and retrieval.
d) the accurate maintenance of inventory levels.
e) gathering information on competitive activity.

Answers

The main focus of a marketing information system is on gathering information on competitive activity, external information sources, and internal data, processing and analyzing it, and delivering the relevant information to decision-makers to support effective decision-making.

The main focus of a marketing information system is on gathering information from various internal and external sources, processing and analyzing it, and delivering the relevant information to decision-makers in a timely and accurate manner. While all the options mentioned are essential components of a marketing information system, the primary focus is on data collection, analysis, and dissemination.

The marketing information system helps organizations to keep track of changes in consumer behavior, preferences, and industry trends. It enables companies to identify and monitor their competition, measure the effectiveness of their marketing strategies, and make informed decisions based on insights gained from data analysis.

Classifying data into the proper information categories is an important step in the process, but it is not the primary focus. Similarly, accurate maintenance of inventory levels is crucial for organizations, but it is not the primary focus of a marketing information system.

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Objective E-2-2 23. John sold IRC $ 1245 property on July 1, 2019, for $18,000. He had purchased the property on January 2, 2014, for $12,000. John claimed depreciation as follows: 2014 2015. 2016. $1,000 $1,000 $1,000 2017 2018 2019 $1,000 $1,000 $500 23 What is the amount of IRC S 1245 gain? O a $5,500 b. $6.000 Oc. $6,500 od. $11,500

Answers

The amount of IRC § 1245 gain is $500.

To calculate the amount of IRC § 1245 gain, we need to determine the total amount of claimed depreciation for the property.

2014: $1,000
2015: $1,000
2016: $1,000
2017: $1,000
2018: $1,000
2019: $500

Total claimed depreciation = $5,500

Next, we need to calculate the adjusted basis of the property.

Adjusted basis = Purchase price + claimed depreciation

Adjusted basis = $12,000 + $5,500

Adjusted basis = $17,500

Finally, we can calculate the IRC § 1245 gain.

IRC § 1245 gain = Selling price - Adjusted basis

IRC § 1245 gain = $18,000 - $17,500

IRC § 1245 gain = $500

Therefore, the amount of IRC § 1245 gain is $500, which is option d. $11,500 is incorrect as it is the difference between the selling price and the original purchase price, without accounting for the claimed depreciation.

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suppose that flashfry and warmbreeze are the only two firms in a hypothetical market that produce and sell air fryers. the following payoff matrix gives profit scenarios for each company (in millions of dollars), depending on whether it chooses to set a high or low price for fryers. warmbreeze pricing high low flashfry pricing high 11, 11 3, 15 low 15, 3 9, 9 for example, the lower-left cell shows that if flashfry prices low and warmbreeze prices high, flashfry will earn a profit of $15 million, and warmbreeze will earn a profit of $3 million. assume this is a simultaneous game and that flashfry and warmbreeze are both profit-maximizing firms. if flashfry prices high, warmbreeze will make more profit if it chooses a price, and if flashfry prices low, warmbreeze will make more profit if it chooses a price.

Answers

In this hypothetical market, Flashfry and Warmbreeze are the only two firms that produce and sell air fryers.

The payoff matrix shows the profit scenarios for each company, depending on whether they choose to set a high or low price for their fryers.

As both firms are profit-maximizing, they will choose the pricing strategy that yields the highest profit. If Flashfry prices high, Warmbreeze will make more profit by choosing to price their fryers low.

Conversely, if Flashfry prices low, Warmbreeze will make more profit by choosing to price their fryers high. This is a simultaneous game, where the actions of one firm affect the profits of the other firm.

The optimal pricing strategy for each firm will depend on the actions of the other firm.

Therefore, both firms must consider the possible actions of their competitor when deciding on their pricing strategy to maximize their profits.

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your firm needs a machine which costs $100,000, and requires $25,000 in maintenance for each year of its three-year life. after three years, this machine will be replaced. the machine falls into the macrs three-year class life category. assume a tax rate of 21 percent and a discount rate of 14 percent. what is the depreciation tax shield for this project in year 3? multiple choice $14,810.00 $3,110.10 $9,626.50 $2,073.40

Answers

The depreciation tax shield for this project in year 3 is $3,110.10.

How much the depreciation tax shield for this project in year 3?

To calculate the depreciation tax shield for this project in year 3, we need to first determine the depreciation expense in year 3. We can use the MACRS depreciation method for the three-year class life category to calculate the depreciation expense:

Year 1: 33.33% x $100,000 = $33,333.33

Year 2: 44.45% x $100,000 = $44,444.44

Year 3: 14.81% x $100,000 = $14,814.81

Therefore, the depreciation expense in year 3 is $14,814.81.

Next, we need to calculate the depreciation tax shield, which is the tax savings resulting from the depreciation expense. The formula for calculating the depreciation tax shield is:

Depreciation tax shield = Depreciation expense x Tax rate

In this case, the tax rate is given as 21 percent. Therefore, we can calculate the depreciation tax shield for year 3 as follows:

Depreciation tax shield = $14,814.81 x 0.21 = $3,110.10

The correct answer is therefore (B) $3,110.10.

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8 It is usual to ask your previous employer for ..... when you apply for a job

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When you apply for a job, it is usual to ask your previous employer for a reference, as this provides potential employers with an assessment of your work performance and skills.

It is usual to ask your previous employer for a reference when you apply for a job. A reference is a written or verbal statement about your previous work experience, skills, and abilities. It is important to have references because they can provide potential employers with valuable information about your work history and performance. When asking for a reference, be sure to choose someone who knows your work well and who can speak positively about your skills and abilities. It is also important to ask for permission before using someone as a reference.

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