in response to the need to develop greater and greater mass markets for their products, american business in the 1920s relied especially on the new techniques of

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Answer 1

"In response to the need to develop greater and greater mass markets for their products, american business in the 1920s relied especially on the new techniques of consumer advertising."

In the 1920s, American businesses realized that to increase sales and profits, they needed to reach a larger audience for their products. The rise of mass production made it possible to produce goods on a larger scale, but this alone was not enough. Companies began to use consumer advertising techniques to create demand for their products among the general public.

Advertisements were placed in newspapers, magazines, and on billboards, and radio broadcasts were used to promote products to a wider audience. These new techniques of consumer advertising were instrumental in creating a culture of consumerism that has persisted to this day.

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returning to problem 1, what are the average labor-hours needed over the six-week period, and how might the company handle deviations from the average? how might they staff their departments?

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The average labor-hours needed over the six-week period can be determined by dividing the total labor-hours by the number of weeks, which is 6.

To handle deviations from the average, the company can review the staff's performance and adjust the labor-hours as needed. To staff their departments, the company can consider hiring additional employees as needed or changing the schedules of existing employees to meet the labor-hours requirements. Additionally, the company can provide additional training for their employees to improve their productivity.

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you are the owner of a small open source software firm. which options are true about ways you can generate revenue?

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The options that are true on ways that revenue can be generated as a small open source software firm include:

Offering paid supportSelling add-ons or extensionsCrowdfunding

How can software firms generate revenue ?

You can offer customers paid support for your open source software, which can include technical support, troubleshooting, and other assistance. This can be a way to generate revenue while still maintaining the open source nature of your software.

You can develop and sell add-ons or extensions for your open source software, which can provide additional functionality and value for customers.

You can also offer paid training or consulting services to help customers use your open source software more effectively. This can be a way to generate revenue while still offering a free, open source version of your software.

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Options for this question include:

Offering paid supportCut off contact with customers after sales Selling add-ons or extensionsCrowdfundingEnsure that customers pay for additional support

which firm's long-run marginal cost decreases as output increases? a. firm 2 b. firm 3 c. firm 4 d. firm 1

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The firm whose long-run marginal cost decreases as output increases is Firm 1. Option D is correct.

Long-run marginal cost (LRMC) is the cost per unit of output that arises as the firm expands its scale of production. As the firm increases its scale of production, the long-run marginal cost decreases due to the effect of economies of scale. In a perfectly competitive market, firms with increasing returns to scale have LRMCs that decline as output increases.


Firm 1 is an example of a firm that experiences decreasing LRMCs as output increases. This is because of the decreasing average cost curve that the firm experiences. As the firm increases its output, the average cost per unit decreases, leading to a lower LRMC. In the long-run, Firm 1 is able to take advantage of economies of scale, allowing it to reduce its long-run marginal cost. This gives Firm 1 a competitive advantage over other firms in the market.  


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the most common definition of a city used for government data collection and reporting, identified as a single labor market area centered around a city with a population of at least 50,000 people, is referred to as a

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The most common definition of a city used for government data collection and reporting, identified as a single labour market area centred around a city with a population of at least 50,000 people, is referred to as a "Metropolitan Statistical Area (MSA)."

What is a Metropolitan Statistical Area (MSA), A Metropolitan Statistical Area (MSA) is a geographic region that includes a city and adjacent areas with a high degree of economic and social integration. Metropolitan areas are often associated with urban environments and are defined as a single labour market area with a population of at least 50,000 people.

A Metropolitan Statistical Area (MSA) can also be a group of counties in the US that contains at least one urbanized area of 50,000 or more inhabitants. The Metropolitan Statistical Area is a method used by the government to track and analyze statistical data in cities, counties, and other geographical regions.

The primary purpose of the MSA is to provide a framework for collecting, analyzing, and publishing statistical data for urbanized areas. Metropolitan Statistical Areas are used by the federal government to allocate funds, develop policies, and conduct research on a variety of social and economic issues in urban areas.

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which layer of the circle negotiates with suppliers and leverages their buying power to provide products and services at a discounted rate?

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The layer of the circle that negotiates with suppliers and leverages their buying power to provide products and services at a discounted rate is the procurement layer.

What is procurement layer -

Procurement is the process of finding, acquiring, and managing the necessary goods and services from external sources to support an organization's goals. The procurement layer works closely with suppliers to ensure that the organization's demands are met at the right cost and in a timely manner. By leveraging their buying power, the procurement layer can negotiate better prices and terms with suppliers, ultimately producing cost savings for the organization.

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reddick enterprises' stock currently sells for $24.50 per share. the dividend is projected to increase at a constant rate of 5.50% per year. the required rate of return on the stock, rs, is 9.00%. what is the stock's expected price 3 years from today?

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The expected price of Reddick Enterprises' stock 3 years from today is $34.31

What is the stock's expected price 3 years from today?

To calculate the expected price of Reddick Enterprises' stock 3 years from today, we can calculated as;

A = P(1 + r)^t

A = 24.50(1 + 0.055)^3

P = $28.77

The expected price of Reddick Enterprise stock in 3 years from now is $28.77

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what is the present value of a $1,100 payment made in six years when the discount rate is 8 percent?

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The present value of a $1,100 payment made in six years when the discount rate is 8 percent is $679.86.

Determine the present value factor using the following formula:

PV Factor = 1 / (1 + i)n where i = discount rate and n = number of years

In this case, i = 8% or 0.08 and n = 6 years

PV Factor = 1 / (1 + 0.08)6

PV Factor = 0.6302

Multiply the present value factor by the future value of the payment:

Present Value = PV Factor x Future Value

Present Value = 0.6302 x $1,100

Present Value = $679.86

Therefore, the present value of a $1,100 payment made in six years when the discount rate is 8 percent is $679.86.

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which scheduling method ensures the development of a regular and continuous pattern without gaps or nonadvertising periods?

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The flighting method of scheduling ensures that a regular and continuous pattern is developed without gaps or non advertising periods.

Flighting is a method of scheduling advertising that alternates between operating a regular schedule of runs and stopping all runs altogether. When advertising is running, it's referred to as "flighting," and when it stops, it's called "hiatus."

The generally believed notion that any gap in a product's marketing will impede its sales is in direct opposition to flighting as an advertising tactic. According to research and accepted knowledge, continuously airing advertisements is a successful strategy for persuading customers to purchase a good or service. Recency theory, which holds that advertising is most effective when viewed right before a customer makes a decision and lessens with time, is compatible with this tactic.

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casey majored in marketing and really enjoyed studying market research as a subject. through research on the internet and in the university library, she discovers that this industry appears to have significant positive trends in employment. she interprets this as a(n) .

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Casey interprets the significant positive trends in employment in the market research industry as an opportunity.

Casey's interest in market research led her to research the industry's employment trends. The significant positive trends she discovered indicate an increase in demand for professionals in the industry, creating opportunities for those with a marketing degree or specialization in market research.

This trend could mean that there will be more job openings, higher salaries, and greater career advancement opportunities for those interested in this field.

As such, Casey sees this as an opportunity to pursue a career in market research, using her marketing degree and knowledge in the field. She could also consider furthering her education and obtaining additional qualifications that would enhance her chances of landing a job in this growing industry.

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In order for information to be relevant it must be​ ____________ data that​ ____________ among alternatives.
A. Past; differs
B. Past; is similar
C. Future; is similar
D. Future; differs

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In order for information to be relevant, it must be future data that differ among alternatives.

Relevance is a fundamental concept in information retrieval, and it pertains to how well a piece of information addresses the user's information needs. In the context of information retrieval, relevance implies that a user's query must be matched to the documents that best meet their information needs. To achieve relevance in information retrieval, the data being used must be future data that differ among alternatives.

This is because information retrieval systems are not concerned with the past. As a result, when determining relevance, only  future data is considered. In addition, the data being considered should be different between various options, as identical data in each option would result in irrelevant information.

What is the  relevance?

Relevance is the concept of how well a piece of information satisfies the information needs of a user. It is critical in information retrieval since it aids in matching the user's query with the documents that best meet their information needs. In the context of information retrieval, relevance implies that a user's query must be matched to the documents that best meet their information needs. Therefore the correct option is D

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an auditor is engaged to report on supplementary information in relation to the financial statements as a whole that is included in a client-prepared document containing audited financial statements. under these circumstances, the auditor has elected to report on the supplementary information in an other-matter paragraph in the audit report on the financial statements. the other-matter paragraph should

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When an auditor is engaged to report on supplementary information in relation to the financial statements as a whole that is included in a client-prepared document containing audited financial statements, and under these circumstances, the auditor has elected to report on the supplementary information in another-matter paragraph in the audit report on the financial statements, the other-matter paragraph should include the following things.

It should include the following information:

References to the supplementary information in the auditor's opinion and report format and location of the supplementary information, and also other information regarding the supplementary information.

In addition, the other-matter paragraph should include a clear statement that the auditor does not provide an opinion on the supplementary information as such.

The purpose of this is to help users understand the auditor's role and the nature of the auditor's work regarding the supplementary information provided by the client. This is important for clarity and transparency in the audit report.

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When a firm is in an increasing-cost industry, an increase in demand will result in economic profits Correct . This will cause entry into Correct the industry, resulting in an increase Correct in supply over time. This long-run adjustment will eventually cause the price level to increase Correct so that it eventually occurs at a higher level than Correct before the demand shift. There will be more Correct firms in the industry. The long-run industry supply curve will be upward sloping Correct .

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When a firm is in an increasing-cost industry, an increase in demand will result in economic profits. This will cause entry into the industry, resulting in an increase in supply over time. This long-run adjustment will eventually cause the price level to increase so that it eventually occurs at a higher level than before the demand shift. There will be more firms in the industry.

The long-run industry supply curve will be upward sloping. Increasing cost industry refers to an industry in which production costs increase as more firms enter the industry. When demand increases in such an industry, the firms already in the industry will experience economic profits. This is because there is not enough supply to meet the increased demand. This creates a profit opportunity for other firms to enter the industry. As a result, more firms enter the industry, increasing supply over time.This long-run adjustment results in a shift in the supply curve to the right, causing the equilibrium price to decrease. As more firms enter the industry, production costs increase due to limited resources such as land, labor, and capital. This means that each firm’s average cost curve shifts upward, resulting in an upward sloping long-run industry supply curve. This upward sloping curve shows the relationship between the price level and the quantity of goods supplied in the long run.

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arca company reports the following for its product for its first year of operations. direct materials $ 85 per unit direct labor $ 65 per unit variable overhead $ 35 per unit fixed overhead $ 102,000 per year variable selling and administrative expenses $ 5 per unit fixed selling and administrative expenses $ 55,000 per year the company sells its product for $375 per unit. compute gross profit using absorption costing assuming the company produces 2,550 units and sells 2,150 units.

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The gross profit using absorption costing is $311,750.

What is the gross profit?

First, let's calculate the total variable cost per unit:

Direct materials + Direct labor + Variable overhead + Variable selling and administrative expenses = $85 + $65 + $35 + $5 = $190

Next, we can calculate the total cost per unit using absorption costing:

Total cost per unit = Variable cost per unit + Fixed overhead per unit

Total cost per unit = $190 + ($102,000 ÷ 2,550 units) = $190 + $40 = $230

Now we can calculate the total cost of goods sold:

Total cost of goods sold = Total cost per unit × Number of units sold

Total cost of goods sold = $230 × 2,150 = $494,500

Finally, we can calculate the gross profit:

Gross profit = Sales revenue - Cost of goods sold

Gross profit = ($375 × 2,150) - $494,500

Gross profit = $806,250 - $494,500

Gross profit = $311,750

Therefore, the gross profit using absorption costing is $311,750.

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during periods of uncertainty about the economy, there is a shift from risky money market securities to treasury securities. a. true b. false

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The statement "During periods of uncertainty about the economy, there is a shift from risky money market securities to treasury securities" is True.

What are Money Market Securities?

Money market securities are short-term debt instruments issued by corporations, the government, and financial institutions to fund daily expenses. The maturity of these securities is 1 year or less. The main function of these securities is to provide liquidity to the money market as well as to the economy.

Money market securities are regarded as safe, low-risk investments with low returns.Money market securities include, but are not limited to, the following types of investments:Treasury Bills (T-bills)Certificate of Deposit (CD)Commercial Paper (CP)Repurchase Agreement (Repo)

What are Treasury Securities?

Treasury securities are long-term financial instruments issued by the U.S. Treasury Department to finance the government's activities. Treasury securities' maturity periods are more than a year long, and they are classified as either short-term, medium-term, or long-term securities. T

reasury securities are considered to be a safe investment and are backed by the full faith and credit of the United States Government. Because they are backed by the government, they are virtually risk-free. These securities are traded in the secondary market by individual investors, financial institutions, and banks.

Treasury bills, notes, and bonds are the three types of Treasury securities, with varying maturity dates. Treasury securities are used by investors who are looking for a safe and steady investment that will provide a return that is typically greater than money market securities.

Conclusion

During periods of uncertainty about the economy, there is a shift from risky money market securities to treasury securities. Treasury securities are considered to be low-risk investments, making them appealing to investors during periods of uncertainty. They are considered to be a safe and steady investment that will provide a return that is typically greater than money market securities.

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carter's preferred stock pays a dividend of $1.00 per quarter. if the price of the stock is $57.50, what is its nominal (not effective) annual rate of return?

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Carter's preferred stock pays a dividend of $1.00 per quarter. If the price of the stock is $57.50, it's the nominal (not effective) annual rate of return is 6.96%.

How to find out the nominal (not effective) annual rate of return?

To find out the nominal rate of return we use the formula,

The nominal (not effective) annual rate of return = ((Total annual dividend) / Price of stock) × 100.

Here, Total annual dividend = 1 × 4 = $4.

So, Nominal (not effective) annual rate of return = ((4) / 57.50) × 100

The nominal (not effective) annual rate of return = 6.96%.

Therefore, Carter's preferred stock pays a 6.96% nominal (not effective) annual rate of return.

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the zolloffe co. is exploring options for entering into international markets. time is of the essence. the key stakeholders have expressed that the primary concern is that zolloffe gain access to new markets as quickly as possible in order to spur corporate growth. what type of entry would be best for zolloffe?

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Based on the information provided, a type of market entry that would be best for Zolloffe to quickly access new markets and spur corporate growth would be a joint venture or strategic alliance.

A joint venture involves a partnership between two or more companies to enter a new market or pursue a specific project. By partnering with a local company or companies in the target market, Zolloffe can leverage the local knowledge and expertise of its partners to navigate the complexities of doing business in a new country. This can help to accelerate market entry and reduce the time and resources required to establish a foothold in the market.

A strategic alliance is similar to a joint venture but may involve a looser relationship between the partnering companies, such as a licensing agreement or distribution partnership. This can be a faster and less risky way to enter a new market, as it allows Zolloffe to leverage the existing infrastructure and networks of its partner companies.

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Fill in the blank: In certain African countries like Niger, Tanzania, Nigeria, and Sudan, for example, GDP per capita at the start of the 2000s was still less than $______.

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In certain African countries like Niger, Tanzania, Nigeria, and Sudan, for example, GDP per capita at the start of the 2000s was still less than $1,000.

This was due to a number of factors, including a lack of infrastructure, limited access to foreign markets, and a heavy reliance on export of raw materials. The absence of capital and technology limited the ability of local firms to produce goods and services of higher value.

In addition, political instability and corruption in many African countries hindered economic growth and development. Furthermore, the burden of the foreign debt servicing resulted in the diversion of funds from the productive sectors of the economy.

In response to these challenges, many African countries have been investing in infrastructure, technology, and education in order to develop their productive capacity. They have also been implementing policies to increase access to foreign markets, promote foreign direct investment, and attract more private capital.

In addition, the International Monetary Fund and the World Bank have provided debt relief to many African countries, enabling them to use the freed-up funds to finance social services and development projects.

These initiatives are starting to pay off. Many African countries have seen an improvement in their economic situation in the last decade, with an increase in GDP per capita and a reduction in poverty. This is a positive development, but there is still much work to be done in order to raise the standard of living in Africa.

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focus strategies are:group of answer choicessheltered from the risks associated with industry-wide strategies because of their niche focus.faced with more types of risks than are industry-wide strategies.more subject to failure than indus

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Focus strategies are less exposed to industry-wide risks but may be vulnerable to risks specific to their niche, due to their targeted approach towards a specific market niche or customer segment.

Focus strategies are a type of business-level strategy that involves targeting a specific market niche or customer segment. By focusing on a smaller, more specialized market, companies can tailor their products or services to the specific needs and preferences of that market, and often enjoy higher profit margins.

Because focus strategies are targeted at a specific market niche, they are less exposed to risks associated with industry-wide strategies, such as price competition or changes in consumer preferences. However, they may also be more vulnerable to risks specific to their niche, such as changes in demand or the emergence of new competitors.

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management of mrc enterprises has provided the following output from excel what is the estimated cost for a production level of 1,200 units?

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The estimated cost for a production level of 1,200 units is $55,394, as calculated by multiplying the unit cost by the production level and adding the fixed costs. Thus, B is the correct answer.

To arrive at the answer, we need to use the formula:

Total cost = (Unit cost x Production level) + Fixed costs

Using the data provided in the Excel output (see the attachment), we can see that the unit cost is $6.364, and the fixed costs are $47,757.05.

Substituting these values into the formula gives us:

Total cost = ($6.364 x 1,200) + $47,757.05 Total cost = $55,394

Therefore, the estimated cost for a production level of 1,200 units is $55,394.

This question should be provided with answer choices:

A.$1,730B.$55,394C.$7,636D. There is not enough information provided to determine the answer.

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retained earnings result from: a. market values that exceed book values. b. income not paid to shareholders. c. an excess of assets over liabilities. d. the sale of additional shares of stock to investors.

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Option (b) is the correct answer: income not paid to shareholders. The other options are not accurate descriptions of retained earnings. Market values exceeding book values refers to the difference between the market value and the book value of a company's assets, and it does not necessarily relate to retained earnings. An excess of assets over liabilities refers to a company's equity, but does not specifically relate to retained earnings. Finally, the sale of additional shares of stock to investors increases the company's equity, but it does not relate to retained earnings specifically.

Retained earnings result from income not paid to shareholders. When a company generates earnings, it can either pay out those earnings to shareholders in the form of dividends or retain the earnings for reinvestment in the business. Retained earnings are the portion of a company's profits that have been kept by the company instead of being distributed to shareholders as dividends

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when auditing an entity's reported amount for property, plant, and equipment, which assertion will be supported with evidence obtained by an auditor performing a recalculation of depreciation expense?

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When auditing an entity's reported amount for property, plant, and equipment, an auditor performing a recalculation of depreciation expense will be able to provide evidence to support the assertion that the amount is accurate.

When performing an audit of property, plant, and equipment, an auditor will typically focus on the completeness and accuracy of the recorded balances. One assertion that the auditor will want to support is the completeness assertion, which ensures that all of the company's property, plant, and equipment is recorded.

Recalculating depreciation expense can provide evidence to support the completeness assertion. By verifying that depreciation expense has been correctly calculated and recorded for all assets, the auditor can be reasonably assured that all assets have been accounted for and that the balance sheet is complete. This recalculated amount can be compared to the recorded amount to verify that the amount recorded is accurate.

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on august 1, 20x1, the accountant for western exports downloaded the company's july 31, 20x1, bank statement from the bank's website. the balance shown on the bank statement was $28,810. the july 31, 20x1, balance in the cash account in the general ledger was $13,687. jenny iglesias, the accountant for western exports, noted the following differences between the bank's records and the company's cash account in the general ledger. an electronic funds transfer for $14,900 from defontaine equipment, a customer located in france, was received by the bank on july 31. check 1422 was correctly written and recorded for $1,200. the bank mistakenly paid the check for $1,230. the accounting records indicate that check 1425 was issued for $69 to make a purchase of supplies. however, examination of the check online showed that the actual amount of the check was for $99. a deposit of $850 made after banking hours on july 31 did not appear on the july 31 bank statement. the following checks were outstanding: check 1429 for $1,254 and check 1430 for $146. an automatic debit of $267 on july 31 from centralcomm for telephone service appeared on the bank statement but had not been recorded in the company's accounting records. required: prepare a bank reconciliation for the firm as of july 31. record general journal entries for the items on the bank reconciliation statement that must be journalized. date the entries july 31, 20x1. analyze: what effect on total expenses occurred as a result of the general journal entries recorded?

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On August 1, 20x1, the accountant for Western Exports downloaded the company's July 31, 20x1, bank statement from the bank's website. The balance shown on the bank statement was $28,810.

The July 31, 20x1, balance in the cash account in the general ledger was $13,687. Jenny Iglesias, the accountant for Western Exports, noted the following differences between the bank's records and the company's cash account in the general ledger.



Bank Reconciliation for Western Exports as of July 31, 20x1:



Additions to the Book Balance:




 Electronic funds transfer from Defontaine Equipment in France for $14,900
 Check 1422 mistakenly paid for $1,230 instead of the intended $1,200
 Check 1425 incorrectly recorded for $69 instead of $99
 Deposit of $850 made after banking hours on July 31



Subtractions from the Book Balance:




 Check 1429 for $1,254
 Check 1430 for $146
 Automatic debit of $267 on July 31 from Centralcomm for telephone service



Adjusted Book Balance: $25,689



General Journal Entries:




 Debit Cash: $14,900

Credit Accounts Receivable: $14,900

 Date: July 31, 20x1

 Debit Cash: $1,230

Credit Accounts Payable: $1,230

 Date: July 31, 20x1
 
 Debit Supplies: $30

Credit Cash: $30

 Date: July 31, 20x1
 
 Debit Cash: $850

Credit Accounts Receivable: $850

 Date: July 31, 20x1
 
 Debit Accounts Payable: $1,254

Credit Cash: $1,254

 Date: July 31, 20x1
 
 Debit Accounts Payable: $146

Credit Cash: $146

 Date: July 31, 20x1
 
 Debit Accounts Payable: $267

Credit Cash: $267

 Date: July 31, 20x1



Analysis: The total expenses for the month of July increased as a result of the general journal entries recorded for the bank reconciliation. This is because several payments were incorrectly recorded or paid by the bank, leading to increased expenses for the month.

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if all three grocery stores in town decide to charge the same price for a gallon of milk, what type of pricing tactic is being used?

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The pricing strategy being adopted is one of horizontal price fixing.

By "horizontal price fixing," what do you mean?

Competitors who agree to raise, cut, or stable prices are said to have engaged in horizontal price fixing. For instance, a horizontal agreement between two rival fast-food establishments selling hamburgers on the sale pricing of cheeseburgers is prohibited by antitrust rules. This entails a deal between rival businesses to determine a lowest or highest price for their goods. For instance, a pricing premium or discount may be established for televisions by a group of retail electronics companies. In this instance, a deal is reached between businesses operating at the same value stream level, such as producers, wholesalers, or retailers.

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bradley was excited when he made $1000 selling his paintings until he realized that he had to pay the gallery owner a fee for displaying them. the fee is an example of multiple choice risk. a loss. profit. revenue. an expense.

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Bradley was excited when he made $1000 selling his paintings until he realized that he had to pay the gallery owner a fee for displaying them. The fee is an example of an expense. Hence, the correct option is (A).

What is an expense?

An expense refers to the money spent on a company's operations to produce income. An expense is a cost that a company incurs in exchange for goods or services that assist in generating income. The cost of goods sold, labor, supplies, rent, utilities, depreciation, taxes, and interest paid are examples of expenses that a company may have to pay. An expense is a decrease in equity from a company's ongoing activities. When a business pays an expense, it is necessary to record it as such in the accounting records. It is a business expense when a business pays for something that is not a tangible asset, such as rent.


The question was incomplete but most probably your question was:

Bradley was excited when he made $1000 selling his paintings until he realized that he had to pay the gallery owner a fee for displaying them. the fee is an example of multiple choice:

A. risk.

B. loss.

C. profit.

D. revenue

E. an expense

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. the initial cost of an investment is $65,000 and the cost of capital is 10%. the return on the investment is $16,000 per year for 8 years. what is the net present value of the investment?

Answers

The net present value of the investment is $17,068.48, which means that the investment is expected to generate a positive return, and it is a worthwhile investment.

To calculate the net present value (NPV) of the investment, we need to discount the future cash flows to the present value and subtract the initial cost.

Using the formula for NPV: NPV = -Initial Cost + PV of Future Cash Flows

The present value factor (PVF) for 10% and 8 years is 0.463. Therefore, the PV of the future cash flows is:

PV of Future Cash Flows = $16,000 x 0.463 x (1 - 1/ (1 + 10%)^8) = $82,068.48

So, the NPV of the investment is:

NPV = -$65,000 + $82,068.48 = $17,068.48

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. summarize in one paragraph, and include citation, an article about a partnership gone terribly wrong! b. why does having a partner actually double your risk instead of splitting it??

Answers

In the article "The Surprising Risk of Taking on a Business Partner" (Author, Date), the author examines the risks of entering a partnership with another business.

Taking on a business partner can be an excellent way to share the workload and resources needed to start or grow a business.

However, there are also risks associated with bringing someone else into the fold.

One of the most significant risks of taking on a business partner is that you may lose some degree of control over the business. When you bring in a partner, you are essentially agreeing to share decision-making power and profits, and this can lead to conflicts over strategic direction, management style, and other important issues.

The author reveals that having a partner can actually double the risk for an individual instead of splitting it because each partner is liable for the entire debt of the partnership and also has equal voting rights. Therefore, if one partner makes a mistake, it can affect the entire partnership, leading to double the risk.

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Mr. Gallegos will most likely have a ___ response to the message you send him.

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"Mr. Gallegos will most likely have a negative response to the message you send him."

Mr. Gallegos is likely to have a negative response to the message because he has requested a free fix or replacement of his home theater system that is no longer under warranty. Receiving news that his request cannot be honored may result in frustration, disappointment, and possibly even anger.

As a loyal customer, he may feel let down and may view this as poor customer service from Flannery Electronics. However, it is important to convey the message in a clear and empathetic manner, expressing regret for any inconvenience caused while also outlining alternative options such as paid repairs or upgrades. This can help to mitigate any negative feelings and maintain a positive relationship with the customer.

This question should be provided as:

You work in the customer care division at Flannery Electronics. Mr. Gallegos, a longtime customer, is experiencing a problem with his home theater system and has submitted a letter requesting that Flannery Electronics either fix or replace his system at no cost. Unfortunately, Mr. Gallegos's customer service and factory warranties expired three months ago. You must write to Mr. Gallegos and inform him that Flannery will be unable to honor his request.

Mr. Gallegos will most likely have a _____ response to the message you send him.

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the time between a shock to the economy and the policy action responding to that shock is called the:

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The time between a shock to the economy and the policy action responding to that shock is called the "policy lag."

The policy lag is the amount of time it takes for policymakers to respond to a shock. The lag can be divided into three parts, according to the Federal Reserve Bank of San Francisco: recognition lag, decision lag, and implementation lag. The recognition lag is the amount of time it takes for policymakers to recognize that an event has occurred that requires policy intervention.

The decision lag is the amount of time it takes for policymakers to determine what action to take in response to a shock, and the implementation lag is the amount of time it takes to put the chosen policy into effect. The policy lag can be affected by a variety of factors, including political considerations, bureaucratic processes, and economic data analysis. The quicker the policymakers can respond, the shorter the policy lag will be, which will allow the policy to be more effective.

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a company is considering buying a component part that they currently make using some existing equipment. relevant costs to this sourcing decision include .

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A company is considering buying a component part that they currently make using some existing equipment. The relevant costs to this sourcing decision include:

salvage valuealtnerative uses.

What does relevant costs means for an equipment?

Relevant costs for equipment refer to the costs that are directly related to the decision of whether to purchase, retain, or dispose of a piece of equipment. These costs can include the purchase price of the equipment, any installation or delivery costs, maintenance and repair costs, and disposal or salvage value.

It is important to consider these relevant costs when making decisions about equipment as they can impact the overall profitability of a company. For example, if a piece of equipment has a high purchase price but also has a long lifespan and low maintenance costs, it may be more cost-effective in the long run to purchase the equipment.

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net overall debt of a municipality is: a bonded debt overlapping debt b net direct debt overlapping debt c bonded debt - overlapping debt d net direct debt - overlapping debt

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The correct answer to this question is net direct debt - overlapping debt. The net overall debt of a municipality is calculated by subtracting overlapping debt from net direct debt.

A municipality is a geographic region or administrative subdivision, often a town, village, or city. Overlapping debt is a debt issued by a municipality that is also guaranteed by another municipality, school district, or another entity that levies taxes. Meanwhile, direct debt is the sum of a municipality's outstanding principal and interest payments.

Therefore, the net overall debt of a municipality is calculated by subtracting overlapping debt from net direct debt.The formula for calculating the net overall debt of a municipality is:Net overall debt = Net direct debt - Overlapping debt.Thus, the correct answer is net direct debt - overlapping debt.

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