The term "deadweight loss" refers to the decrease in overall utility that results in a market when trade volume is lowered due to a natural or artificial interference with equilibrium. The reduction in economic efficiency brought on by artificial interference, such as price ceilings and floors, is known as deadweight loss.
Deadweight loss, a term mostly used in economics, refers to any deficit brought on by an ineffective resource allocation. Deadweight losses may result from price floors, and living wage regulations, price ceilings like price controls and rent restrictions, and taxation. As a result, total utility decreases.
The tax discourages these types of profitable market transactions, which results in the deadweight loss. The size of the deadweight loss caused by a tax is determined by the price elasticity of supply and demand.
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when ann was traveling outside of the united states, she found the perfect souvenir. unfortunately for ann, when she tried to make the purchase with her debit card, she was told that the transaction was denied. this happened because at that time ann had only $200 in her checking account, even though she had $900 in a savings account at the same bank. the souvenir cost $300. ann was very disappointed and regretted having to pass up the purchase. what could ann have done prior to her trip to ensure that she could spend more than what was in her checking account?
She enhanced the overdraft protection in her bank account.
Explanation:
Banks provide overdraft protection as a type of credit facility. The capability enables transactions like checks, electronic payments, and transfers to proceed even when there are not enough money in the account. Bounced payments are protected from by overdraft protection, which carries severe penalties.
Having a debit card is Ann. She is limited to using the money in her accounts when she shops. Automatic credit is not a feature of debit cards. Ann ought to have turned on her debit card's overdraft protection. So that the debit card could withdraw funds from her savings account, she would have connected her savings account to her checking account. Overdraft protection is available for savings accounts.
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dilly farm supply is located in a small town in the rural west. data regarding the store's operations follow: sales are budgeted at $300,000 for november, $320,000 for december, and $220,000 for january. collections are expected to be 70% in the month of sale and 30% in the month following the sale. the cost of goods sold is 75% of sales. the company desires to have an ending merchandise inventory at the end of each month equal to 80% of the next month's cost of goods sold. payment for merchandise is made in the month following the purchase. other monthly expenses to be paid in cash are $22,100. monthly depreciation is $26,000. ignore taxes. balance sheet october 31 assetsassets cashcash $ 30,000 accounts receivable accounts receivable 82,000 merchandise inventory merchandise inventory 180,000 property, plant and equipment, net of $624,000 accumulated depreciation property, plant and equipment, net of $624,000 accumulated depreciation 1,014,000 total assets total assets $ 1,306,000 liabilities and stockholders' equity liabilities and stockholders' equity accounts payable accounts payable $ 246,000 common stock common stock 750,000 retained earnings retained earnings 310,000 total liabilities and stockholders' equity total liabilities and stockholders' equity $ 1,306,000 expected cash collections at the end of december would be:
The December beginning inventory will be the November ending inventory. 180,000 is the merchandise inventory.
Cost of goods sold equals initial stock plus purchases minus final stock.
192,000+ Purchases - 132,000 = 240,000
Amount Spent = $180,000
The price of the goods I bought in December was $180,000.
The first choice is the best one.
Products that have been purchased from suppliers by a distributor, wholesaler, or retailer with the intention of reselling them to customers are referred to as merchandise inventory.
On the balance sheet of some types of enterprises, this may be the single largest asset. If these items are sold within an accounting period, their cost is added to the cost of goods sold and shown as an expense in the income statement for the period in which the sale took place. When an item's cost is recorded as a current asset and does not get sold during an accounting period, it remains on the balance sheet until it does.
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use the information in the table about the mythical kingdom of ruritania to answer the questions. answers should be percentages rounded to one decimal place. year gdp (billion krone) working age population (millions) labor force (millions) workers employed full time (millions) 2012 4000 48.0 38 36 2013 5000 52.8 38.38 36.8 2014 4204 58.1 38.76 34.6 2015 4308 63.9 39.15 34.6 what was the labor force participation rate in 2013? labor force participation rate in 2013: % what was the labor force participation rate in 2015? labor force participation rate in 2015: %
According to The Economics Daily's analysis of data from the U.S. Bureau of Labor Statistics, the labor force participation rate fell to 62.4% in September 2015.
Explain about the labor force participation?
The rate of labour force participation is calculated by dividing the labour force by the total number of people who are working-age. The working age population ranges in age from 15 to 64. This statistic is broken down by age and expressed as a percentage of each age group.
Demographic factors like sex, birth year, education, marital status, and the presence of young children at home affect people's labor force participation differently.
Researchers have identified a number of factors that contribute to low labor force participation. Briggs (2021) lists factors including daycare shortages, excessive short-term savings, and changed work choices as drivers of the decline in labor force participation.
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suppose you have invested in a new computer company whose profitability depends on (1) whether the u.s. congress passes a tariff that raises the cost of japanese computers and (2) whether the u.s. economy grows slowly or quickly. what are the four mutually exclusive states of the world that you should be concerned about?
The four mutually exclusive states will be:
Slow growth with tariff.Slow growth without tariff.Fast growth with tariff.Fast growth without tariff.What are mutually exclusive states?A statistical concept known as mutual exclusion refers to two or more events that cannot occur simultaneously. It is frequently used to describe a scenario where one outcome takes precedence over the other. For instance, it is impossible for peace and war to coexist. They can't coexist because of this.
Events that cannot occur at the same time are said to be mutually exclusive. An assortment of situations come to mind, such as right and left hand turns, even and odd numbers on a die, winning and losing a game, or running and walking. Events that are not mutually exclusive may occur simultaneously.
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which historical perspective is grounded in the twin notions of the freedom of the marketplace and of market competition that became dominant in the 1990s and continues with force today?
The foundation of the free marketing point of view is the coexisting, powerful ideas of market competition and market freedom that first gained traction in the 1990s.
What are types of freedom?Freedom of expression, freedom of thought, freedom of expression, freedom of press, freedom to select ones personal position in life, freedom from religion, freedom from slavery and servitude, and freedom of mobility are some examples of different types of freedom.
What is freedom and why is it important?Freedom, in essence, is the capacity to choose our own actions. We are free to express our opinions openly, to follow the course we want to take in existence, and to interact with anyone we desire. This enables us to be unique individuals who may design our own special lives.
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kate company submitted an offer to purchase a plot of land that was listed at $120,000. kate's offer was 10% below the list price and was accepted. kate paid $10,000 to remove an old structure in order to make the land ready for use as a building site. title and attorney fees amounted to $3,000. annual property taxes amounted to $5,000 per year. based on this information, the cost of the land as shown on the balance sheet equals:
A title search rate levels from $75 – $200, relying on factors like the place the property is located.
How do you calculate annual property rates?Residential Property
Once you have your valuation, termed the market value, deduct R350 zero to arrive at the rateable value. Multiply the price in the Rand (R0,008619)) via the rateable value. This will supply you your annual rates. Divide this quantity by using 12 to get your month-to-month rates.
Property tax is the annual quantity paid by means of a land owner to the nearby government or the municipal organisation of his area. The property includes all tangible real estate property, his house, workplace constructing and the property he has rented to others.
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https://brainly.com/question/4244513#SPJ4why are the interest rates of u.s. treasury securities less than the interest rates of equivalent corporate bonds?
The market uses U.S. Treasury bonds as a benchmark because they have no default risk, whereas corporate bonds all carry some level of default risk (however small).
U.S. Treasury bonds are regarded as a benchmark by the market since they have no default risk, whereas corporate bonds all have some level of default risk (no matter how tiny that risk may be). The interest rate on business bonds is therefore always higher than that on Treasury bonds.
The disparity between corporate or trash bond yields and the yields on U.S. treasuries often widens during times of greater economic uncertainty and around recessions.
Bond spreads did certainly increase during the 2001 recession, as Chart 1's excellent illustration of this phenomena shows. Bond buyers often demand higher interest rates to make up for the risk they are incurring when investing in a particular bond because recessions typically increase the rates of business bankruptcies and defaults. The widening of the margin between low-grade bonds and U.S. Treasury securities was probably also influenced by recent controversies involving corporate governance.
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when dr. kracker introduces a new kracker product, it offers free samples in heb and other grocery stores. these efforts have a primary promotional objective of
These efforts have a primary promotional objective of attracting new customers towards the new Kracker product.
What is promotion?Any marketing communication designed to inform intended audience of the relative benefits of a certain good, service, idea, or brand is referred to as promotion in the marketing industry. Promotional communications are typically persuasive in nature. Both a cognitive and an emotive path can help marketers establish a distinctive spot in their target audience's minds. Promoting a brand seeks to raise interest in it, enhance brand loyalty, or improve sales. It was first documented in 1925 that the term "promotion" may be used to refer to "advertising or publicity." It could be a contraction of the word "sales promotion," which is a term connected to marketing communications and one of the many instruments utilized in that process.
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preferred products has issued preferred stock with an annual dividend of $7.26 that will be paid in perpetuity. a. if the discount rate is 11%, at what price should the preferred sell? (round your answer to 2 decimal places.) b. at what price should the stock sell 1 year from now? (round your answer to 2 decimal places.) c. what are the (i) the dividend yield; (ii) the capital gains yield; (iii) the expected rate of return of the stock? (enter your answers as a whole percent.)
Preferred products have issued preferred stock with an annual dividend of $7.26 that will be paid in perpetuity are:
a. Current price = DIV1 / r
= $7.26 / 0.11
= $66
b. Future price
= $7.26 / 0.11
= $66
c. Dividend yield = Annual dividend / Stock price
= DIV1 / P0
= $7.26 / $66
= .11, or 11%
Capital gains yield
= (P1 − P0) / P0
= ($66 − $66) / $66
= .00, or 0%
Expected rate of return
= Dividend yield + Capital gains yield
= 11% + 0%
= 11%
A perpetuity duration applies to destiny pursuits in assets (that is, interests that do not take effect right away) which are issued to the guideline against perpetuities. The perpetuity period can be A prescribed statutory duration of a hundred twenty-five years, beneath the Perpetuities and Accumulations Act 2009.
In exercise, on the cease of that perpetuity period, the trustees' dispositive powers quit, then consider comes to a quit and the considered assets are held according to the default provisions i.E. The future interests vest.
The purpose of the rule in opposition to perpetuities was and is to save your property pursuits from being tied up for generations after a trustor's dying. As a consequence, a provision in a considers that offers a property interest to a person who could be born several generations within the future will commonly be invalid below the rule.
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a company bought a new $62,000 heating system. the company paid $58,800 cash and was given a trade-in of $3,200 on an old heating system. the old system had an original cost of $55,900 and accumulated depreciation of $50,600. if the transaction has commercial substance, the company should record the new heating system at:
New heating system = $62,000
Fair value is used to calculate the cost price of the acquired item. The fair value of the asset given up will be used if it is possible to determine the fair value of both the asset acquired and the asset is given up. It is possible to use that value unless the fair value of the acquired asset is more obvious.
Measurement of New Heating System :
Cash = $58,800
Trade-In Value = $3,200
Total = $62,000
Therefore, a company bought a new heating system for $62,000.
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on june 19, a u.s. company sold and delivered merchandise on a 30-day account to a german corporation for 190,000 euros. on july 19, the german company paid the u.s. company in full. relevant currency rates were: june 19 july 19 spot rate $1.201 $1.200 30-day forward rate 1.210 1.217 what amount should the u.s. company record on june 19 as an account receivable for its sale to the german company?
On June 19 the accounts receivable should be recorded at the spot rate: $228,190 ($190,000 Euros * $1.201), which is the rate at which the Euro and the US Dollar were being exchanged at the time.
Many US-based enterprises sell goods to companies abroad. Depending on the discussions and the circumstances surrounding the sale, these sales may be made in US dollars or in another currency. If the sale is made in a foreign currency, the US-based company will be responsible for any fluctuations in the exchange rate from the time the sale and receivable are recorded until the time the foreign currency is paid for the related foreign currency-related receivable.
The accounts receivable should be recorded (converted from Euros to US Dollars) at the spot rate on June 19: 190,000 Euros * $1.201, which is the exchange rate at that time between the Euro and the US Dollar, equals $228,190.
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when betty crocker introduced its asian favorites and mexican favorites flavors of its helper line, it gave special offers to supermarkets to carry the new product and supplemented these offers with consumer advertising. betty crocker's primary objective is to
Betty crocker's primary objective is to facilitate reseller support.
Producers generally want to help resellers sell their products, and resellers expect producers to support their products. compete with promotional efforts
A reseller is a type of channel partner who acts as a go-between for companies that manufacture, distribute, or provide IT products or services and end users, who can be businesses or consumers.
Working with a reseller can also help you find products faster. A company that needs to buy multiple technology components can do so through a single reseller rather than approaching multiple manufacturers or service providers directly. Customers may be drawn to resellers by competitive pricing.
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bird wing bedding can lease an asset for 4 years with payments of $20,000 due at the beginning of the year. the firm can borrow at a 6% rate and pays a 25% federal-plus-state tax rate. the lease qualifies as a tax-oriented lease. what is the cost of leasing?
The cost of leasing is $56234.47 for bird wing bedding
The Present Value (PV) is an estimation of the current value of a stream of future cash flows. Due to the "time value of money," all future cash flows must be discounted to the present using a rate that accurately reflects the expected rate of return (as well as risk profile).
Cost of leasing = Present value of future cash flows i.e. after-tax lease payments.
After-tax lease payment = $20,000 * (1 -0.25) = $15000
The discount rate used to calculate present value =After-tax borrowing cost
=Interest rate * (1 -tax)
= 6% * (1 - 0.25)
= 4.5%
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cardinal industries purchased a generator that cost $11,000. it has an estimated life of five years and a residual value of $1,000. it is estimated that it will be good for 5,000 hours. compute the depreciation expense for the first year using the units-of-activity method of depreciation assuming the generator was used for 1,040 hours. a.$2,288 b.$208 c.$2,080 d.$2,000
Depreciation spreads an asset's cost across its lifetime, keeping track of depreciation expenses is crucial for reporting purposes. Depreciation cost is $2080
Calculate depreciation expense?Given: A generator costs $1000
Remaining value is $1000.
Generator life expectancy is 5000 hours.
1040 hours were actually spent working within the time period.
Using the units-of-activity method, find the depreciation expense for the first year.
Formula;
Depreciation expense
=(cost - residual value)/total estimated life activity *actual activity per formed
Depreciation cost =11000-1000/5000*1040
first parenthesis
Depreciation costs =10000/5000*1040
Depreciation costs =2*1040
= 2080
As a result, $2080 in depreciation costs are incurred for the first year using the units-of-activity technique.
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one way to protect us makers of refrigerators from international competition is to limit the number of foreign-made refrigerators that can be imported into the country. this would be an example of .
Limiting the amount of foreign-made refrigerators that may be brought into the country is one strategy to safeguard American refrigerator manufacturers from worldwide competition. An example of an import quota would be this. As a result, the correct term is an import quota.
What is an import quota?An import quota is a sort of trade restriction that establishes a physical limit on the amount of an item that may be imported into a nation over a specific time period. Quotas, like other trade restrictions, are generally implemented to benefit the economy's producers of an item (protectionism).
For example, China has a quota of 300,000 tonnes per year for Cambodian rice exports.
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one of the allegations in a recent fraud was that confirmations of account balances to various banks were determined to be forgeries. auditing standards state that an audit rarely involves the authentication of documentation, nor is the auditor trained as or expected to be an expert in such authentication. what steps could the auditors have taken to ensure that bank confirmations were reliable?
The following steps could auditor have taken to ensure that bank confirmations were reliable
designing external assuranceauditor's use of appropriate assuranceAttsation is the process of obtaining and evaluating direct communications from third parties in response to requests for information on specific issues affecting statements related to the financial statements.
Auditing Standard #8, Audit Risk, describes the audit risk model. It assesses inherent and control risks, determines an acceptable level of detection risk, and develops an assurance program to achieve a reasonably low level of assurance risk using appropriate assurance at the level of Assertion.
It explains the concept of designing. The auditor should: Assess the risk of material misstatement at the assertion level. ISA 500, “Audit Evidence,” states that the reliability of audit evidence is affected by its source and nature, and the individual circumstances in which it was obtained.
but note that the following generalizations regarding the reliability of audit evidence may be helpful:
• Audit evidence is more reliable when obtained from independent sources outside the organization.
• Audit evidence obtained directly from the auditor is more reliable than audit evidence obtained indirectly or by inference.
• Audit evidence is more reliable when it is in document form.
• Original audit evidence is more reliable than photocopy or fax audit evidence.
Accordingly, audit evidence in the form of original written responses to requests for confirmation from third parties unrelated to the audited entity should be viewed separately. Significantly reduces the risk of misrepresentation of related claims to an acceptably low level.
Auditor may request external confirmation of the terms of any contract the company has with a third party or of her transactions. The Other examples of situations in which external confirmation can be used are: • Bank balances and other information from bankers.
• Customer Balance.
• Investments purchase
• Vendor balance.
he reliability of audit evidence obtained from external assurance depends, among other things, on the auditor's use of appropriate assurance procedures in designing external assurance requirements, performing external assurance procedures, and evaluating their results.
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when job 117 was completed, direct materials totaled $32,165; direct labor, $44,227; and factory overhead, $24,124. a total of 3,866 units were produced at a per-unit cost of a.$3,866 b.$76,392 c.$26 d.$100,516
With direct materials, direct labor, and factory overhead as $32,165, $44,227, and $24,124, respectively 3,866 units were created at a cost of $26 each unit. Hence, option (c) would be the correct choice of answer.
What is factory overhead?Factory overhead pertains to all costs that are associated with the production process and that are not directly related to labor or materials. Typically, factory overhead is gathered into cost pools and distributed to the units produced throughout the time period. When the created units are eventually sold as finished goods or written off, an expense is incurred. Direct costing avoids allocating production overhead to the number of units produced, whereas absorption costing requires it. In order to produce financial statements in accordance with the requirements of the main accounting frameworks, factory overhead must be allocated.
Listed below are some examples of factory overhead :
Pay for production supervisorsPay for quality assuranceWages for material managementFactory leaseindustrial utilitiesInsurance for factory buildingsFringe advantagesDepreciationSetup fees for equipmentequipment upkeepTo solve the question :
Given,
direct materials = $32,165
direct labor = $44,227
factory overhead = $24,124
total units = 3,866
Per unit cost = (direct materials + direct labor + factory overhead) /total units
= ($32,165 + $44,227 + $24,124) / 3,866
= 100,516/3,866
= 26
Hence, cost per unit is $26.
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what, according to the memo, are some of the negative effects of air pollution? decreased cognitive performance slow economic growth increased mortality an increase in premature births
According to the memo, are some of the negative effects of air pollutions decreased cognitive.
Air pollution is contamination of the indoor or outdoor surroundings with the aid of any chemical, physical or biological agent that modifies the herbal characteristics of the surroundings.
Family combustion gadgets, motor vehicles, commercial facilities and woodland fires are commonplace sources of air pollutants.
Air pollution is the contamination of air due to the presence of substances in the ecosystem that are dangerous to the health of humans and other living beings, or purpose harm to the weather or to materials. there are numerous unique sorts of air pollutants, including gases, particulates, and organic molecules.
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to promote good economic outcomes, policymakers should strive to enact policies that question 12 options: a) enhance productivity. b) enhance individuals' market power. c) result in a rapidly-growing quantity of money. d) all of the above are correct.
Policymakers on the supply market side of the equation should work to boost input productivity in order to support positive economic results.
How does productivity work?The amount pf products and services generated (output) and the quantity of inputs required to generate those products and services are compared as a measure of the economy's performance known as productivity. In those other words, it assesses how effectively an economy uses labor and capital as production inputs to create a particular amount of output.
What is the level of work productivity?An evaluation of a worker's or group of workers' efficiency is known as employee productivity, also known as workforce productivity. An employee's production during a given time period can be used to measure productivity.
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what added value is a gips-compliant firm most likely to receive from undergoing a verification? the firm's:
In addition to meeting a marketing need, verification will provide a firm claiming adherence with additional assurance that they are, in fact, compliant.
What exactly is a GIPS verification?
Verification is the process by which a verifier determines whether the firm has met all of the GIPS standards' composite construction requirements on a company basis, and the firm's policies and procedures are designed to determine and present performance in accordance with the GIPS standards.
Therefore, In addition, other industries, such as hedge funds, private equity, and real estate, are showing a growing interest in GIPS compliance.
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what is a disadvantage of an international strategy? failure to appropriate learnings from other cultures low-local responsiveness many independent organizations difficult to coordinate
An international strategy can expand your company's customer base, but it has the drawback that cultural differences in other nations may hinder your marketing efforts.
What exactly is a global strategy?A global firm is one that exports internationally or offers services to customers or clients in other nations. The initial step in most organizations' global development plans is typically an international strategy, which involves exporting or importing goods and services while keeping a head office or offices in their home nation.
There is no one method that works for all business ventures that involve global expansion. Companies may decide to invest more in their target markets as they expand and scale. Since an organization's foreign strategy is essentially an extension of its home strategy, it scores poorly on both global integration and local response.
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which organization has primary standard setting authority over private not-for-profit organizations?
The FASB is in charge of developing standards for both for-profit and for-profit businesses. The GASB is in charge of setting standards for municipal and state governments.
For private not-for-profit organizations, which financial statements are necessary?Financial position statement (SOP) The SOP is the nonprofit industry's counterpart of the balance sheet for a for-profit business.
a list of your actions.
Statement of operational costs
Cash flow statement.
yearly report
Which of the following describe private, not-for-profit organizations' net asset classes?both net assets and net assets subject to donor limits. The FASB specifies three types of restricted net asset classes: permanently restricted and temporarily restricted.
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when the minimum-maximum inventory system is used, the minimum number of purchase units that must always remain in inventory is called:
When the minimum-maximum inventory system is used, the minimum number of purchase units that must always remain in inventory is called: Safety level
What is safety level?To avoid running out of a product, safety stock is an excess supply that is kept in the warehouse. It provides protection from shifts in demand.
The phrase "safety stock" is used by logisticians to refer to a quantity of extra stock that is kept on hand to reduce the risk of stockouts (a shortage of raw materials or packaging) brought on by unforeseen fluctuations in supply and demand. Business operations can run as planned with sufficient safety stock levels.
The safety factor, which ranges from 20% to 40%, is determined instinctively without taking any particular factors into account. The effectiveness of this strategy depends on the stock controller's expertise, experience, and the company's acceptance of this component.
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in a competitive marketplace, why would a firm price its product slightly higher than those of its rivals?
Because by setting a lower price, consumers are looking for the cheapest price among the many choices they face. So that, a firm will reached high profit.
Price generally can be defined as the amount of money that consumers have to pay to sellers to get the goods or services they want to buy. Therefore, prices are generally determined by the service owner or also seller. However, consumers or buyers can bid the price in the art of buying and selling. Then the transaction takes place when an agreement has been reached between the buyer and the seller. But bargaining cannot be done in all marketing lines. A purchase in the market is one of the example of a transaction that uses a bargaining system.
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while the four ps help us remember the basics components of the , they don't have significant relevance in the marketing process a. competitive benchmarking process b. marketing mix c. product development process d. production operation
Many processes were involved and can make significant relevance in a company’s marketing process. The four Ps can help us remember the basic components of the marketing mix.
What is Four P’s?
The Four Ps is a theory founded by Jerome McCarthy in 1960 in his Basic Marketing text. The four Ps stand for Product, Price, Place, and Promotion. This is the explanation of each component in the four Ps:
Price: company can set its price at a competitive level.Place: the company is in a strategic location so consumers can reach easier.Product: company can provide a quality product for its consumers.Promotion: the company is actively providing and spreading information about its products or services to consumers.Learn more about the five Ps in marketing at https://brainly.com/question/15635639
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market offerings which have elements of both a product and service, and focus on how they make customers feel are called
Market offerings which have elements of both a product and service, and focus on how they make customers feel are called Core customer values.
A company's marketing offering is a good or service it offers customers in order to fill their demands. A product or service is only one aspect of an offering. It covers the added value that a company provides in the form of customers convenience, superiority, and support to its products. Offerings include things like banking, medical, bus or taxi services, travel agencies, lodging, and tax preparation. Market offerings, in a broader sense, also include other things like people, places, organizations, information, and ideas.
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the opening herman miller video described how the filing cabinet line was improved by creating assembly line improvements, painting improvements, and reducing many hours long setup times to less than 10 minutes. all of these changes resulted in reducing the overall lead time for filing cabinets from more than 60 hours to only:
The first Herman Miller movie detailed how the file cabinet line was enhanced by making assembly line improvements, painting improvements, and shortening several hours-long setup periods to less than 10 minutes. As a result of these modifications, the overall lead time for file cabinets was reduced from more than 60 hours to only 4 hours.
What are the purposes of a filing cabinet?A filing cabinet is a type of office furniture used to keep paper papers organized in file folders. In its most basic form, it is a container for drawers that hold objects. Vertical files and lateral files are the two most prevalent types of filing cabinets. A vertical file cabinet features drawers that extend from the cabinet's short side. A lateral file cabinet features drawers that extend from the cabinet's long side.
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6. a lease that transfers ownership of the asset to the lessee by the end of the lease term would be a
A lease that transfers ownership of the asset to the lessee by the end of the lease term would be a Capital lease.
In a capital lease, the lessor commits to hand over ownership of the leased asset to the lessee at the end of the lease term. Long-term, non-cancelable capital or finance leases are the norm.
At the conclusion of the lease period under a capital lease, the lessor gives the lessee ownership of the asset. By virtue of the bargain option provided by the lease agreement, the lessee will be able to purchase the asset at a lower cost than its fair market value at the conclusion of the lease term.
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you plan to fund your individual retirement account (ira) with the maximum contribution of $2,000 at the end of each year for the next 10 years. if you can earn 10 percent on your contributions, how much will you have at the end of the tenth year?
The annuity payment has a cumulative value of $31,874 at the end of the tenth year
In order to answer this issue, we must determine how much money I would have at the conclusion of the 10th year if the contributor contributed a maximum of $2,000 at the end of each of the next ten years and earned a 10% return on his investment.
The annuity formula can be used to resolve this type of issue. In other words, the accumulated value at the conclusion of the tenth year can be determined using the annuity formula.
A set of payments that are made at regular intervals is known as an annuity.
The formula for annuity future value is:
Payment for an annuity * [(1 + r)n - 1]/r
where n is the number of years and r is the discount rate.
We have determined the following to be utilized in this query:
in the equation.
The annual maximum payable contribution for an annuity is $2000.
Years equals 10 years.
The discount rate is 10 percent (10/100) or 0.1.
These numbers are entered into the formula:
Future accumulated value is equal to 2000 times [(1+0.1)101]/0.1, or 2000 times [(1+0.1)101].
/0.1
= 2,000 * (2.5937-1)/0.1 = 2,000 * (1.5937)/0.1 = 2,000 * 15.937
= $31,874
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getaway travel company reported net income for 2024 in the amount of $50,000. during 2024, getaway declared and paid $2,000 in cash dividends on its nonconvertible preferred stock. getaway also paid $10,000 cash dividends on its common stock. getaway had 40,000 common shares outstanding from january 1 until 10,000 new shares were sold for cash on july 1, 2024. a 2-for-1 stock split was granted on july 5, 2024. what is the 2024 basic earnings per share?
According to the given information, The 2024 basic earnings per share of Getaway travel company is $ 0.53
Given:
Net Income = $ 50,000
Preferred Dividend = $ 2,000
Weighted average outstanding shares = (40,000 × 2) + (10,000 × 6/12 ×2)
= $ 90,000
Basic earnings per share = [Net Income - Preferred Dividend]/ [Weighted
average outstanding shares]
= [ $ 50,000 - $ 2,000] / [ $ 90,000 ]
= $ 48,000 / $ 90,000
∴ Basic earnings per share = $ 0.53
Earnings per share (EPS) is determined by dividing a company's revenue by the number of outstanding shares of its common stock. The resulting figure serves as a gauge of a business's profitability. EPS that has been modified for unusual items and potential share dilution is a common practice for businesses.A company is deemed to be more profitable when its EPS is higher.The value of earnings per share is calculated by dividing net income, also referred to as profits or earnings, by the number of shares that are outstanding. For shares that might be created through options, convertible debt, or warrants, a more precise calculation modifies the numerator and denominator. If the equation is modified to account for ongoing operations, the numerator becomes even more important.Learn more about Earnings per share, here
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