the following statements describe why it is important to make the consumer aware of the brand name. choose a false statement. a. consumers are more likely to put a familiar brand in their top-of-mind, compared to unfamiliar brands. b. consumers are more likely to choose a familiar brand, compared to unfamiliar brands. c. consumers tend to learn something about a familiar brand faster than unfamiliar brands. d. consumers tend to perceive a familiar brand as cheaper and more irrational purchases, compared to unfamiliar brands. e. marketing communications for familiar brands are easier and more effective than unfamiliar brands.

Answers

Answer 1

The false statement is: marketing communications for familiar brands are easier and more effective than for unfamiliar brands.

Brand equity refers to the worth an organization gains from a product with a recognizable and loved name compared to a generic equivalent.

The company's assessment of the market was hardly objective. They saw the 'broken' as a drag that their product resolved. A complete is among the foremost necessary assets an organization has. As a result, it represents the corporate and helps keep it in consumers' minds.

Brand equity refers to the worth an organization gains from a product with a recognizable and loved name compared to a generic equivalent.

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Related Questions

if a borrower pays less than the required monthly amount on a mortgage loan, the borrower will be in default and the loan will have negative amortization if the amount actually paid that month is:

Answers

The loan amount actually increases if the borrower pays less than required .

What is negative amortization ?

In the world of finance, negative amortization happens if the monthly loan payment is less than the interest accrued during that time.

Defaulting on a loan's interest payments results in a rise in the principal sum, which is referred to in finance as "negative amortization." A loan with a negative amortization schedule adds unpaid interest to the outstanding principal sum.

Many mortgage packages fall victim to negative amortizations.

Negative amortization might provide borrowers more choice, but it can also expose them to additional interest rate risk.

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is it possible for the risk premium to be negative before an investment is undertaken? can the risk premium be negative after the fact? explain

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When an investment yields a lower rate of return than a risk-free security, this is known as a negative risk premium.

What is risk premium?Risk is a factor in almost all investments to some extent. Due to the US Treasury Department's backing of US government securities, which still carry some resale risk, there is no default risk. This rate is therefore regarded as a risk-free rate of return on these investments.Investors who take on more risk typically expect a risk premium, or return above and beyond the risk-free rate. Any investment's risk premium is just the variation in return between the risk-free rate and the investment's return. Using historical data or forecasting future risk premiums, analysts can also study historical data using risk premium.

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you are trying to calculate the cost of equity for a 5-year project at boeing. you know that the stock's beta is 1.37 and you estimate that the expected return on the market portfolio is 7%. you have collected the following information on the yields of different treasury securities. based on the best practices for estimating the cost of equity, what would be the appropriate cost of equity to use for this project? select one. yields on selected treasury securities maturity yield (in %) 1 month 1.48% 6 months 1.55% 1 year 1.60% 2 years 1.61% 3 years 1.62% 5 years 1.69% 7 years 1.83% 10 years 1.92% 20 years 2.25% 30 years 2.39% i. 11.51% ii. 8.88% iii. 8.96% iv. 11.28%

Answers

8.96% is the proper cost of equity to use for this project.

The return a company theoretically gives to its equity investors, or shareholders, in order to make up for the risk they assume by investing their money, is known as the cost of equity. For a business to function and expand, it needs funding from other sources.

Risk free rate for 5th year = 1.69%

Beta = 1.37

Market return = 7%

As per CAPM

cost of equity = Risk free rate + Beta * (Market return – Risk free rate)

= 1.69% + 1.37 * (7% – 1.69%)

= 1.69% + 1.37 * 5.31%

= 1.69% + 7.2747%

= 8.9647% rounded off to 8.96%

8.96% is the proper cost of equity for this project.

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a borrower has a 30-year, $500,000 loan with an interest rate of 6.25%. his monthly principal and interest payment is $3,078.59. what's the total amount he'll pay over the life of the loan?

Answers

The total amount of interest over the period of 30 years = $1,108,292.40

Mortgage payments are divided into two parts. The principal is the loan amount, and the interest is the monthly fee charged by the lender on top of the principal.

Because of a process known as amortization, your monthly payment is consistent with fixed-rate mortgages.

Your monthly payment may include other expenses such as mortgage insurance premiums and taxes held in escrow in addition to the principal and interest paid to the lender.

Monthly Principal = $3,078.59

Yearly Principal = $3,078.59 x 12

Yearly Principal =  $36,943.08

Years of Interest= 30

The total amount of interest over the period of 30 years = $36,943.08  x 30

The total amount of interest over the period of 30 years = $1,108,292.40

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you expect to receive $3,400 upon your graduation and will invest your windfall at an interest rate of .49 percent per quarter until the account is worth $4,975. how many years do you have to wait until you reach your target account value?

Answers

19.47 years you have to wait until you reach your target account value .

FV = PV x (1 + r)n

$4,975 = $3,400 x 1.0049n

$4,975 / $3,400 = 1.0049n

1.4632 = 1.0049n

ln[1.4632] = n[ln(1.0049)]

0.3806 = n[0.0049]

n = 0.3806 / 0.0049 = 77.87 quarters

Years to wait = 77.87 / 4 = 19.47 years

What Is Present Value (PV) ?

A future sum of money or stream of cash flows' present value (PV), assuming a particular rate of return, is their current value. The discount rate determines the current value of future cash flows; the greater the discount rate, the lower the present value of the future cash flows. The key to correctly valuing future cash flows, whether they be earnings or debt obligations, is determining the right discount rate.

The idea of present value holds that money today is worth more than it will be in the future. In other words, money received in the future is not as valuable as money obtained now in the same amount.

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a disadvantage of the corporate form of ownership is when profits are taxed at the corporate rate and at the individual rate and this is referred to as .

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Double taxation, which occurs when profits are taxed at both the corporate and individual rates, is a drawback of the corporate form of ownership.

What is corporate form? By setting up a company in corporate form, a firm can operate independently of its owners. And in many states, a corporation with a corporate form of business may be run by one or more people.The double taxation of distribution revenues and dividends to shareholders is the main drawback of the corporation form. Limited liability, ease of transferability, the capacity to raise capital, limitless life, and other benefits are just a few.This article is for business owners who are attempting to decide on their corporate structure and whether it is advantageous for them to do so.

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to find the average of the total cost of orders from rex technologies, what excel formula should be used in a12?

Answers

Assuming that the total cost values of orders from Rex Technologies is in column A and that the average is to be calculated in cell A12, the following formula could be used in excel :

=AVERAGE(A1:A11)

This function will take all of the cost values from the orders and find the arithmetic mean. The syntax for this function is as follows:

=AVERAGE(number1,number2,…)

In this case, the numbers would be replaced with the cells containing the cost values for each order. For example, if the cost values were in cells A1 through A10, the function would be written as follows:

=AVERAGE(A1:A10)

Once the function is entered, the average cost values of the orders will be displayed in the cell where the function was entered.

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a car dealer will sell you a used car for $6,598 with $798 down and payments of $161.51 per month for 48 months. what is the simple interest rate?

Answers

7.4% is the simple interest rate for a car with $6,598 as price, $161.51 as monthly installments and $798 as the down payment for 48 months.

What is simple interest?

Simple interest is a method of calculating interest that ignores the impact of compounding. While compound interest frequently compounds throughout the course of a loan's set periods, simple interest does not. Simple interest is calculated by multiplying the principal amount by the interest rate, the number of periods (time) and then divided by 100.

"The period must be expressed in terms of the rate's temporal range. The number of periods must also be given in years if, for instance, the interest is expressed as a yearly rate, such as in a loan with a 5% annual interest rate. Be aware that basis points (BPS) may occasionally be used to describe changes in interest rates.

To solve the question :

Given,

Actual price of the car =$6,598

Monthly installments = $161.51

Down payment for the car = $798.

Duration of installments = 48 months.

In order to calculate the total amount that has to be paid for the car :

= Down payment +( Duration of installments × Monthly installment)

= $798 + (48 months × $161.51)

= $798 + 7752.48

= $8550.48

The extra amount paid is counted under the interest of the car.

Thus,

Interest = (Total amount to be paid for the car - Actual price)

= $8,550.48 - $6,598

= $1,952.48

Now, to find the rate :

P=$6598,

R = R,

Time= 48 months that is 4 years, and

Interest = $1,952.48

I = P × R × T/ 100

1952.48 = $6598 × R × 4/ 100

1952.48 = $26392 × R / 100

R =  100 × (1952.48/ $26392 )

= 7.4%

Thus, 7.4% is the simple interest rate.

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the recent batch contained 4,000 platters and 1,000 cups. tsc sold the platters for $100,000 and the cups for $12,000. if relative market value is used to allocate the joint cost, what is the income earned for cups?

Answers

If relative market value is used to allocate the joint cost, $1,000 is the income earned for cups.

What is Cost ?

Cost is the value which is spent to manufacture a product or to render any service. There are two types of costs which are fixed cost and variable cost.

What is Fixed Cost ?

Fixed cost is defined as the cost which remains the exact same, disregarding the decrease or increase in the value of goods or any services supply. It is the cost which is rewarded by the company that is not dependent on activities which are concerned with the business.

What is a variable cost ?

Variable cost is defined as the cost that changes according to the output given by any service supply. It is the cost which is rewarded by the company that depends on the activities which are concerned with the business.

Decrease income = Actual Sales - Remaining cost

= $12,000 - $2,000

= $10,000

Joint cost = (Material cost + Labor cost)/ (Total sales) × Sales of cups

= [($40,000 + $ 44,000)/($100,000 + $12,000) ] × $12,000

= $ 9,000

Income earned for cups = Sales − Remixingcost − Joint cost

=$12,000−$2,000−$9,000

=$1,000

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NOTE: The given question is incomplete on the portal. Here is the complete question.

QUESTION: The Silver Center (TSC) produces cups and platters. TSC purchases silver and other metals that are processed into silver alloy that is used to make platters and cups. TSC incurred $40,000 of materials cost and $44,000 of labor cost to produce the silver alloy. Platters are made first and the residual alloy is remixed into a lower grade silver plated material that is used to make the cups. Remixing costs $2,000. The recent batch contained 4,000 platters and 1,000 cups. TSC sold the platters for $100,000 and the cups for $12,000. Assume number of units is used as the base to allocate the joint cost. Based on this information

the Company's total income will decrease by $12,000 if it stops making and selling cups.

the Company's total income will increase by$6,800 if it stops making and selling cups.

the Company's total income will increase by 4,800 if it stops making and selling cups.

the Company's total income will decrease by $10,000 if it stops making and selling cups.

If relative market value is used to allocate the joint cost, what is the income earned for cups?

using the cut-and-try method for aggregate operations planning, we can calculate the ending inventory and then calculate the safety stock as a percent of forecast demand. suppose that the beginning inventory is 300, the production requirement in units of product is 1,350, and demand forecast is 1,500. what is the ending inventory and percent safety stock? multiple choice 150 and 20% 450 and 30% 200 and 10% 150 and 10% 300 and 20%

Answers

Here ending inventory is 150 and percent safety stock is 10%.

What is a protection stock inventory?

Safety inventory is an more volume of a product which is saved in the warehouse to stop an out-of-stock situation. It serves as insurance plan against fluctuations in demand.

Does adding protection inventory extend general inventory?

Keeping greater stock will increase inventory protecting costs, however having too little inventory can lower revenues and bad Yelp opinions from sad customers. Forecasting purchaser demand for products is appropriate for inventory management, but safety inventory is the buffer if those forecasts are wrong.

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when a global firm turns to its subsidiaries in less-developed markets for new product ideas, the firm is engaged in

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when a global firm turns to its subsidiaries in less-developed markets for new product ideas, the firm is engaged in reverse innovation.

A company that is owned or controlled by another company, known as the parent company or holding company, is referred to as a subsidiary, subsidiary company, or daughter company. A parent or holding company's subsidiary is a business that it owns or manages. Typically, the parent firm will hold a majority of the shares in the subsidiary company. The parent company now has the majority ownership of the subsidiary. Being the dominant shareholder is sometimes enough to gain control. In the business world, a subsidiary is a business that is a part of another business, also known as the parent company or holding company. With a controlling interest in a subsidiary business, the parent owns or manages more than 50% of the stock.

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given the difficulty overturning an arbitration award, some scholars are concerned that the arbitration process can lead to:

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Given the difficulty of overturning an arbitration award, some scholars are concerned that the arbitration process can lead to injustice.

Arbitration is a method through which a dispute is submitted by agreement of the parties to one or more arbitrators who make a binding decision on the dispute. When choosing arbitration, the parties choose a private dispute resolution process instead of going to court. In simple words, arbitration is an out-of-court procedure for resolving a dispute between an employer and a worker. Arbitration takes place before a neutral decision-maker called an 'arbitrator' (or in some scenarios, a group or 'panel' of arbitrators) who will listen to each side and make a decision about the prevailing case. In some scenerios, arbitration can lead to injustice.

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what is the repricing gap if the planning period is 30 days? 3 months? 2 years? recall that cash is a non interest-earning asset. what is the impact over the next 30 days on net interest income if interest rates increase 50 basis points? decrease 75 basis points? the following one-year runoffs are expected: $10 million for two-year business loans and $20 million for eight-year mortgage loans. what is the one-year repricing gap? if runoffs are considered, what is the effect on net interest income at year-end if interest rates increase 50 basis points? decrease 75 basis points?

Answers

$55 million for two years, $20 million for three months, and $95 million for thirty days.

What does a repricing gap mean?

The repricing gap is a measurement of the difference between the dollar value of assets that will reprice and the dollar value of liabilities that will reprice during a given time period, where reprice refers to the possibility of receiving a new interest rate.

The window of time during which repricing is possible is represented by rate sensitivity. Rate-sensitive assets are those that will mature or be revalued within a certain time frame. Liabilities that are rate-sensitive are those with a set maturity date or new pricing.

Calculation:

Using a 30-day planning window, we have the following:

$75 - $170 = -$95 million.

Using a three-month planning horizon, we have:

($75 + $75) - $170 = -$20 million.

Reprising the gap using a 2-year planning period, we have;

($75 + $75 + $50 + $25) - $170 = +$55 million.

b) the impact over the next 30 days on net interest income varies. We'll use (i) in the event that net income rises by 50 basis points.

ii) when net income decreases by 75 basis points.

if the impact over the next 30 days on net interest income increases by 50 basis points, we would have that  net interest income will decrease by $475,000, see below:

ΔNII = CGAP(ΔR) = -$95m.(0.005) = -$0.475m

If the impact over the next 30 days on net interest income decreased by 75 basis points, net interest income will increase by $712,500.  This is because:

ΔNII = CGAP(ΔR) = -$95m.(-0.0075) = $0.7125m

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the case describes approaches tek follows to minimize its international tax liability. based on your reading of the chapter, how would you advise tek management to reduce its taxes around the world further?

Answers

The taxes can be reduced by General Strategies, Foreign Affiliates, Transfer Pricing, and Repatriating Profits.

What are the different ways to minimize international tax?A business in a high-tax nation can lower its overall tax burden by keeping operations at home while operating highly profitable activities outside countries with lower taxes. The mother firm must be sure to establish a totally independent corporation that will be taxed as a local company when establishing a foreign company in a low-tax jurisdiction. At the same time, the mother business must maintain control over the new corporation and guarantee its funding without transferring any funds that may have been subject to taxation in the past or may be subject to taxation in the future.Allowing a foreign operation in a low-tax jurisdiction to make goods that are then sold back to the mother company for sale in the domestic market is one of the finest methods for a business to lower its global tax responsibilities.

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which country passed the united states as the largest global economy (in terms of purchasing power parity), raising questions about usu.s. leadership?

Answers

The statistic lists the 20 nations that will account for the largest share of the world's GDP in terms of purchasing power parity (PPP) in 2021. The correct answer a. China

What is the  global economy?

Published on August 10, 2022 by Statista Research Department. The total of economic activity that take place both within and between nations can be referred to as the global economy. With its own industrial production, labor market, financial market, resources, and environment, each nation is a distinct entity.

Every economy operates under a specific set of conditions and presumptions. Traditional economies, command economies, mixed economies, and market economies are the four primary types of economic systems.

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Full Question :Which country passed the United States as the largest global economy (in terms of purchasing power parity), raising questions about USU.S. leadership?

a. China

b. Japan

c. Russia

d. the European Union

Which characteristic does monopolistic competition not have in common with perfect competition?.

Answers

Monopolistic competition and perfect competition do not share the distinct products of separate enterprises.

Monopolistic Competition: What Is It?

Monopolistic competition arises when numerous companies offer competing products or services that are similar but not perfect substitutes. The obstacles to entry are low in a monopolistic competitive industry, and the decisions of any one firm have no direct impact on its competitors.

Pricing and marketing techniques aid in differentiating competing firms. Between a monopoly and perfect competition, monopolistic competition exists, combining features of both and including firms with comparable, but not identical, product offerings.

Restaurants, hair salons, home goods, and apparel are examples of businesses with monopolistic competition. Many competing businesses sell, advertise, and price products like dish soap and hamburgers.

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jeanine is planning on making her first million dollars before she reaches 25 years of age. though still in high school, she subscribes to the wall street journal, carries a brief case, and invests her allowance with a stockbroker. moreover, she insists on wearing business suits everyday to school. jeanine is thoroughly engaged in:

Answers

According to the given information, Jeanine is thoroughly engaged in Anticipatory socialization.

In order to make it easier for them to join the group and help them actively engage in social interactions once they have been admitted, anticipatory socialization is the process by which members of one group learn to accept the fundamental beliefs and values of another group. A fundamental aspect of human development is this. Through this process, group members get to know the customs and interests of their fellow group members. These develop interpersonal skills, and this fundamental interaction serves as the basis for various kinds of relationships between people in a social context. In addition to fostering group cohesion and solidarity, such an environment encourages interdependence among group members.

The process of learning new social behaviors or attitudes before making the actual change is known as anticipatory socialization. Adolph Wagner coined the phrase "anticipatory socialization" to describe the process through which people re-form their attitudes and behaviors in anticipation of changes they intend to make. He originally used it in his theory of re-socialization. However, anticipatory socialization in sociology refers to the process through which people, after deciding to change, reform their attitudes and actions in order to make the changes they intend to make.

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Gemini group ordered motor tune ups and oil changes on their entire fleet of company vehicles in the third quarter. How should this expense be recorded?.

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Gemini group ordered motor tune ups and oil changes on their entire fleet of company vehicles in the third quarter, the expense be recorded as a Revenue Expenditure.

Revenue Expenditure refers to short-term business expenses that are usually incurred immediately or within one year including all the expenses that are warranted to satisfy the current operational costs of the business. These expenditures are incurred during normal business operation by the company and the benefits are received in the same period. The examples of revenue expenditure include rent expenses, utility expenses, salary expenses, insurance expenses, commission expenses, manufacturing expenses, etc. They are essentially the same as operating expenses. As Gemini group carry out motor tune ups and oil changes on their entire fleet of company vehicles in third quarter, these are revenue expenditures as they are needed for operation.

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maria is the treasurer of rex caldwell corporations. as treasurer, she makes out and signs the payroll checks for the company. maria draws a payroll check payable to the order of her maid carolyn doss, who does not work for the company. maria does not intend carolyn to receive this money. she indorses carolyn's name on the check and names herself as the indorsee. she cashes the check at a liquor store. under which rule of forged instruments is maria accountable?

Answers

The fictitious payee rule of forged instruments makes Maria accountable in situations where she endorses Carolyn's name on the check and names herself as the endorsee and she cashes the check at a liquor store

The fictitious payee rule is a principle of commercial law in which one is not chartered or is not authorized. The drawer or maker according to the fictitious payee rule is responsible for indorsement which is fake and forged and unauthorized, if the person signing as or on behalf of a drawer or maker intends the named payee to have no interest in the instrument or when the person identified as the payee is a fabricated person. Hence the person who draws the check is not liable for a document that is false or unauthorized. Sometimes also known in different textbooks as the padded-payroll rule. The rule was introduced with the intent to place the loss on the drawer instead of the drawee as the drawer plays an important role in avoiding authority.

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the way that u.s. corporate boards of directors are presently structured, they have little influence on the unethical behavior of top management. a. true b. false

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Given statement is True. Corporate governance is the mechanism by which companies are directed and controlled.

What is Corporate governance?Corporate governance is crucial because it establishes a set of guidelines and procedures that govern how an organization functions and how it balances the interests of all of its stakeholders. Financial viability is a result of ethical business practices, which are a result of good corporate governance. That may then draw investors.Accountability, transparency, fairness, responsibility, and risk management are the fundamental tenets of corporate governance.To ensure corporate accountability, corporate governance is built on a collection of rules, bylaws, policies, and procedures. When done properly, it creates a framework for achieving a company's goals across all managerial domains. Furthermore, it acknowledges the significance of shareholders.

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the allowance method of estimating uncollectible accounts receivable based on an analysis of receivables shows that $877 of accounts receivable are uncollectible. allowance for doubtful accounts has a debit balance of $174. the adjusting entry at the end of the year will include a credit to allowance for doubtful accounts in the amount of

Answers

The receivable balance in each of the aging categories is multiplied by a reserve rate to determine the allowance for uncollectible accounts (see table below). Older receivables have a greater reserve rate since there is a lower likelihood that they will be recovered.

Which two techniques are used to estimate the provision for uncollectible receivables?

The two most popular methods for estimating uncollectible accounts are the accounts receivable aging approach and the percentage of sales method.

How does writing down uncollectible accounts receivables when utilizing the allowance approach effect the accounts on the?

According to the allowance approach, a written-off account will cause the allowance for doubtful accounts to increase and the net accounts receivable to fall. The net accounts receivable will therefore stay the same.

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which of the following events shifts the short-run aggregate-supply curve to the right? a. an increase in government spending on military equipment b. an increase in price expectations c. a drop in oil prices d. a decrease in the money supply e. none of the above

Answers

A drop in oil prices shifts the short-run aggregate-supply curve to the right. Due to  drop of oil price this raised.

The spot price of a barrel (159 liters) of benchmark crude oil—a reference price for buyers and sellers of crude oil such as West Texas Intermediate (WTI), Brent Crude, Dubai Crude, OPEC Reference Basket, Tapis crude, Bonny Light, Urals oil, Isthmus, and Western Canadian Select. Oil prices are determined by global supply and demand, not by the volume of domestic production in any given country.

During the nineteenth and early twentieth centuries, the worldwide price of crude oil was largely stable. This changed in the 1970s, when the worldwide price of oil rose dramatically.

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A company has just purchased a new delivery van. Now it is trying to decide whether to sell its old delivery van or donate it to a non-profit organization that delivers meals to the elderly. In estimating the incremental free cash flows for this decision, for which of the following should we adjust? Do not include factors that are only indirectly used to calculate other factors – only choose factors that should be directly considered, for their own sake, in the cash flow calculations (rather than in the calculation of another factor). For this particular problem, circle the letters of all of the answers that apply (i.e., you may choose to circle more than just one answer). a. The cost of the new van. b. The interest expense on the loan to buy the new van. c. Any reputation effect/goodwill resulting from donating the van to a worthy charity. d. The price that the company originally paid for the old van. e. The book value of the old van. f. The tax effect of donating the old van. g. The current market value of the old van. h. The tax effect of selling the old van.

Answers

A company has simply purchased a brand-new shipping van. Now it is attempting to decide whether to promote its antique transport van or donate it to a non-profit organization that provides food to the elderly. C. Any reputation impact/goodwill as a consequence of donating the van to a worthy charity.

Company is a musical with tracks and lyrics by Stephen Sondheim and an e-book by George Furth. The authentic 1970 manufacturing changed into being nominated for a document-placing 14 Tony Awards, prevailing six. the organization was written in a fashion without a chronological linear path.

A corporation is a prison entity formed through a set of individuals to engage in and operate an enterprise—commercial or business—agency. A business enterprise can be organized in diverse methods for tax and economic legal responsibility purposes depending on the corporate regulation of its jurisdiction. There are three not-unusual varieties of businesses—sole proprietorship, partnership, and corporation—and each comes with its very own set of benefits and downsides.

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while acme lawn mowers makes a profit on all of its products, it sells mowers to retailers at different prices, depending on whether they are independent stores or members of a national chain. it uses:

Answers

Acme Lawn Mowers uses price discrimination to make profit by selling mowers to retailers at different prices, depending on whether they are independent stores or members of a national chain.

Write a short note on price discrimination.

Price discrimination is a microeconomic pricing strategy when a single provider provides identical or very comparable goods or services in many markets at various rates. Product differentiation differs from price discrimination because of the larger difference in production costs for the variously priced products involved.

The variety in customers' willingness to pay and the elasticity of their demand are the main factors that determine price differentiation. For price discrimination to be effective, a corporation must have market power, which might take the form of a dominant market share, a unique product, exclusive pricing power, etc. All prices that are subject to price discrimination in a market with perfect competition are higher than the equilibrium price.

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the forecasting method that pools the opinions of high-level executives, often in a round-table group discussion, is called

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The forecasting method that pools the opinions of high-level executives (such as experts or managers), often in a round-table group discussion, is called the jury of executive opinion.

The jury of executive opinion is a method of forecasting using a composite forecast made by a group of individual experts. The experts form their own opinions and view initially from the data given and revise their opinions and view according to the opinions of others. Finally, the final opinions of individuals are combined. The jury of executive opinion is one of the frequently used and the most familiar of all forecasting techniques which is based on qualitative sales forecasting.

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those who disclaim liability and are not secondarily liable on instruments they endorse are referred to as . group of answer choices unqualified indorsers accommodation parties qualified indorsers agents

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Unqualified indorsers are those who disclaim liability and are not secondarily liable for the instruments they endorse.

Unqualified is an American advice podcast hosted by actress Anna Faris that features interviews with celebrities and cultural figures, followed by personal phone calls from listeners seeking relationship and other advice. Until 2019, it was co-hosted by Faris' producer Sim Sarna. Faris released a memoir with the same title as the podcast in 2017.

The second half of the show had Faris and former producer Sim Sarna, as well as the guest, making a phone call to a listener who is having a romantic or personal problem and wants "unqualified" counsel. Since her departure, this segment has been mostly carried out by Anna and guests.

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nventory records for dunbar incorporated revealed the following: date transaction number of units unit cost apr. 1 beginning inventory 490 $ 2.40 apr. 20 purchase 370 2.68 dunbar sold 610 units of inventory during the month. ending inventory assuming fifo would be: (do not round your intermediate calculations. round your answer to the nearest dollar amount.)

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Inventory records for Dunbar incorporated revealed the following: date transaction number of units unit cost Apr. 1 beginning inventory 490 $ 2.40 apr. 20 purchase 370 2.68 Dunbar sold 610 units of inventory during the month. ending inventory assuming FIFO would be $500.

The thought of inventory, stock, or work in process (or add progress) has been extended from manufacturing systems to service businesses  and projects, by generalizing the definition to be "all work among the method of production - all work that's or has occurred before the completion of production".

within the context of a producing production system, inventory refers to all or any work that has occurred – raw materials, partly finished products, and finished products prior to sale, and departure from the manufacturing system. within the context of services, inventory refers to all work done prior to sale, as well as partially process information.

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ana no longer makes out checks to her utility company because she has arranged for her monthly utility charge to be automatically debited from her bank account on the due date. ana is experiencing an example of automation known as .

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Ana is experiencing an example of automation called customer-billing .

What is customer billing ?

The step-by-step procedure of requesting payment from clients through sending invoices is referred to as billing. The commercial document used by businesses to request payment and keep track of sales is an invoice.

An invoice explicitly contains the name of the thing a customer purchases, the product's cost and payment conditions, and the contact details for both the buyer and the seller.

How is  customer billing  useful ?

Client billing is the process of creating an invoice for the sales made to a client. For every company to manage cash flow and maintain a healthy financial position, billing is a crucial duty. Any business must have a good cash flow throughout the year. It's also advantageous when it comes time to paying taxes to the government because efficient billing streamlines the process, makes it quick and simple, and prevents time drain from creating and monitoring invoices.

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would an employer find benefit in using an understanding of crystallized and fluid intelligence in a hiring practice?

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The employer's understanding of crystallized and fluid intelligence in a hiring practice would benefit him.

It uses both types of intelligence. If you've ever faced a new difficulty and solved it by looking back on an experience, your fluid and crystalline intelligence has combined to your advantage.

Fluid intelligence is the ability to recognize, assess, and respond to unfamiliar situations. The term "crystallized intelligence" refers to the capacity to recall learned information. Both bits of intelligence is necessary to solve challenges.

Both fluid intelligence and crystallized intelligence, despite their distinctions, are equally important and even related.

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the debt coverage ratio is used to indicate how much the noi can decline before it will not cover the debt service on the property. lenders usually seek a minimum dcr of

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The debt coverage ratio is used to show the NOI can drop before it stops paying the property's debts. Typically, lenders look for a minimum DCR of 1.20.

The ratio of operational revenue available for debt servicing for interest, principal, and lease payments is called the debt service coverage ratio (DSCR), also referred to as the "debt coverage ratio" (DCR). It is a widely used yardstick for evaluating how well-equipped a person or business is to generate enough cash flow to pay off its debt (including lease) obligations.

The easier it is to get a loan, the greater this ratio is. The expression can be used to represent a minimal ratio that is acceptable to a lender or a loan requirement in commercial banking. In some situations, breaking a DSCR covenant qualifies as a default.

In general, it is calculated by:

DSCR = Net Operating Income/Debt Service

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