What is the purpose of direct marketing? a. To use an event without the permission of the event owner b. To establish a relationship with a customer in order to initiate immediate and measurable responses c. To give the exporter's product local favor and increase the overall promotional budget for the product d. To be prepared to utilize the tremendous power of the multinational corporation in a responsible manner and, in the case of pressure, to counter criticisms swiftly

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Answer 1

The purpose of direct marketing is (b) to establish a relationship with a customer in order to initiate immediate and measurable responses.

Direct marketing is a form of advertising that involves communicating directly with potential customers to promote a product or service. The main objective of direct marketing is to establish a direct connection with customers and encourage them to take a specific action, such as making a purchase, signing up for a newsletter, or requesting more information.

Unlike mass marketing, which targets a broad audience, direct marketing focuses on targeting specific individuals or groups based on their demographics, preferences, or previous interactions with the company. By establishing a direct relationship, companies can track and measure the effectiveness of their marketing efforts, allowing them to refine their strategies and improve their return on investment.

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Related Questions

Question 1.
(a) Comment on the limitations of using GDP as a way of measuring economic well-being (10 marks).
(b) Distinguish between GDP deflator and Consumer Price Index (5 marks)

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GDP is a limited measure of economic well-being as it fails to capture income distribution, non-market activities, and negative externalities. The GDP deflator and CPI are both measures of inflation but differ in their focus and scope.

(a) One of the major limitations of using GDP as a measure of economic well-being is that it fails to capture the distribution of income within a country. In other words, a country may have a high GDP, but the benefits of that growth may not be evenly distributed among its citizens. This could result in high levels of income inequality, which can have negative social and economic consequences.
Another limitation is that GDP fails to account for non-market activities such as unpaid housework, volunteer work, and black market transactions. Since these activities are not included in the calculation of GDP, they are not considered in the measurement of economic well-being.
Moreover, GDP fails to account for environmental degradation, resource depletion, and other negative externalities associated with economic growth. As such, a country may have a high GDP but be experiencing negative environmental and social outcomes.
(b) GDP deflator and Consumer Price Index (CPI) are two measures used to track inflation. The GDP deflator is a measure of the price level of all goods and services produced in an economy, including those that are produced for export. In contrast, the CPI is a measure of the price level of a basket of goods and services typically consumed by households. The CPI is used to measure the cost of living for households, while the GDP deflator is used to measure changes in the overall price level of the economy.
The CPI is based on a fixed basket of goods and services, while the GDP deflator includes all goods and services produced in an economy. This means that changes in the composition of production, such as a shift towards more capital-intensive goods or an increase in exports, will affect the GDP deflator but not the CPI.

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Please show all work in excel! will upvote once both answred thank you!
You are offered an annuity that will pay you 10,000 at the end of each year for 20 years, with the first payment being in 10 years from today. If the interest rate is 12% annually, what is this annuity worth to you today?
26,935.56
24,100.55
200,000
64,394.55
74,694.44
Your company is considering a project with the following cash flows.
year cashflow
0 -800
1 5000
2 200
3 -5000
Assuming the cost of capital is 10%, first internal rate of return?
7.46%
7.51%
8.20%
0%
9.54%

Answers

The annuity is worth approximately $26,935.56. The project has a first IRR of approximately 7.46% with cash flows of -$800, $5,000, $200, and -$5,000 over four years at a cost of capital of 10%.

The explanation of the calculations for excel sheet is

Annuity Calculation

To calculate the present value of an annuity, we can use the formula:

PV = C * [(1 - (1 + r)⁻ⁿ) / r],

where PV is the present value, C is the cash flow per period, r is the interest rate per period, and n is the number of periods.

Using the given information:

C = $10,000 (cash flow per year),

r = 12% (interest rate), and

n = 20 (number of years).

Using the formula, we can calculate the present value (annuity worth) as follows:

PV = $10,000 * [(1 - (1 + 0.12)^(-20)) / 0.12]

PV ≈ $26935.56

Therefore, the annuity is worth approximately $26,935.56 today.

Internal Rate of Return (IRR) Calculation

To calculate the internal rate of return (IRR), we need to find the discount rate that makes the net present value (NPV) of the cash flows equal to zero. We can use the IRR function in Excel to find the IRR.

Using the cash flows given:

Year 0: -$800

Year 1: $5,000

Year 2: $200

Year 3: -$5,000

In Excel, you can use the following formula to calculate the IRR:

=IRR(B1:B4),

where B1:B4 represents the range of cash flows.

Using this formula, the first internal rate of return is approximately 7.46%.

Therefore, the first internal rate of return for the project is approximately 7.46%.

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10 of 48 A statement of requirements primarily expresses how to fulfill forecasted system needs. lists alternative options for enacting the goals of the strategic facility plan. primarily expresses vision statement goals that are a type of stretch goal. for design is an internally produced space planning and relocation forecast.

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Statement of requirements include meets system needs; alternative options include address strategic facility goals; vision goals include stretch targets; "for design" has internal space planning and relocation forecast.

A statement of requirements serves as a blueprint for meeting forecasted system needs. It outlines specific criteria and specifications that must be fulfilled to ensure the successful implementation of a system or project. This document helps align the development process with the identified needs, ensuring efficiency and effectiveness in achieving desired outcomes.

When creating a strategic facility plan, alternative options are considered to address the goals and objectives of the plan. These options provide flexibility and allow for the exploration of different approaches, technologies, or methodologies to achieve the desired outcomes. By evaluating and comparing these alternatives, organizations can select the most suitable and cost-effective solutions for their strategic facility planning.

Vision statement goals are often considered as stretch goals because they represent ambitious and aspirational targets that go beyond the current capabilities or performance levels. These goals inspire and challenge organizations to reach new heights, fostering innovation and driving continuous improvement.

"For design" refers to an internally produced space planning and relocation forecast. This indicates that the design process and space planning are handled internally within the organization. The forecast helps assess and anticipate future space requirements and relocation needs, facilitating effective resource allocation and planning for facility changes.

In summary, a statement of requirements addresses forecasted system needs, alternative options are considered for strategic facility planning goals, vision statement goals are stretch goals, and "for design" signifies an internally produced space planning and relocation forecast.

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PART I: BUILD YOUR VOCABULARY Causation, duty of care, intentional tort, negligence, nuisance, tort, tortfeasor, trespass to land, vicarious liability PART II: RESEARCH Create a table consisting of three columns that are… Province, Occupiers’ Liability Act, and Duty of Care to summarize the Occupiers’ Liability Acts of provinces of British Columbia, Alberta, Manitoba, Ontario, Nova Scotia, and Prince Edward Island

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Occupiers’ Liability Acts in different Canadian provinces essentially prescribe a duty of care that occupiers owe to people who enter their premises.

The duty is generally to ensure the reasonable safety of visitors and their property. This duty of care spans provinces like British Columbia, Alberta, Manitoba, Ontario, Nova Scotia, and Prince Edward Island, with slight variations. For instance, while in Alberta, the duty is to ensure visitors will be reasonably safe for the purposes they're invited for, in Manitoba, it's to ensure the safety of people and their property while on the premises. Detailed comprehension would require professional legal consultation or further research.

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examples of business that shifted to cashless method? with
explanation please

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Various industries, including restaurants, retail stores, transportation services, and online marketplaces, have transitioned to cashless methods to enhance convenience, efficiency, security, and data analysis capabilities.

Some examples of businesses that have shifted to cashless methods include:

Restaurants: Many restaurants have implemented cashless payment options such as credit/debit card payments, mobile wallets, or online payment platforms. This shift offers convenience to customers, reduces the need for cash handling and associated security risks, and streamlines the payment process.

Retail Stores: Numerous retail stores, ranging from small businesses to large chains, have embraced cashless transactions. Customers can use credit/debit cards, mobile payment apps, or contactless payment methods like NFC (Near Field Communication) for a quick and secure payment experience.

Transportation Services: Ride-hailing companies, such as Uber and Lyft, operate entirely on cashless transactions. Customers book and pay for rides through mobile apps, eliminating the need for cash exchanges with drivers.

Online Marketplaces: E-commerce platforms like Amazon, eBay, and various online retailers primarily rely on cashless transactions. Customers can pay for their purchases using credit/debit cards, digital wallets, or online payment gateways.

The shift to cashless methods offers several advantages for businesses. Here are a few reasons behind this transition:

Convenience: Cashless payments provide convenience for both customers and businesses. Customers can easily make purchases using their preferred payment method without the need for carrying physical cash. For businesses, it eliminates the need to handle cash, count change, and manage cash registers.

Efficiency: Cashless transactions are typically faster and more efficient than cash transactions. They reduce waiting times during checkout processes, enabling businesses to serve more customers in less time.

Security: Cashless methods offer enhanced security for both businesses and customers. With no physical cash on-site, businesses are less susceptible to theft or robbery. Additionally, customers benefit from secure payment technologies, fraud protection measures, and the ability to track their transactions.

Data Analytics: Cashless transactions generate digital records that businesses can utilize for data analysis and insights. This data helps businesses understand customer spending patterns, preferences, and tailor their marketing strategies accordingly.

The adoption of cashless transactions aligns with evolving consumer preferences and technological advancements, providing benefits for businesses and customers alike.

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A culture exhibiting a high collectivism score would most likely reduce the need for managers to utilize the style of leadership as defined in House's Path-Goal leadership theory. O achievement-oriented consideration of structure O task orientation o supportive O directive

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The type of leadership as defined in House's Path-Goal leadership theory is directive, achievement-oriented, supportive, and task-oriented.

However, a culture that scores high on collectivism would probably decrease the need for managers to use this type of leadership.

Collectivism is a cultural value that emphasizes the interests and needs of the group over those of the individual. Members of collectivist cultures prioritize the values and goals of the group above their own desires and interests.

Therefore, in collectivist cultures, managers would need to emphasize collaboration, teamwork, and shared goals, which would make the need for a directive, task-oriented leadership style less necessary.

In such a culture, it would be more effective to use a supportive leadership style, in which managers focus on building relationships and enhancing the well-being of their employees through empathic communication and listening skills.

This would help promote the sense of belonging and commitment that is highly valued in collectivist cultures.

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Compare Power and Influence in the Workplace for CIBC
Bank and Bank Of Canada (Word limit 100)

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Power and influence are essential concepts in the workplace. In the banking sector, power and influence can manifest in various ways. The Bank of Canada and the Canadian Imperial Bank of Commerce (CIBC) are two organizations with unique workplace power and influence dynamics.

The Bank of Canada is a government-owned central bank that manages the country's monetary policy. The Bank of Canada’s power and influence lie in its ability to affect the supply and demand of the Canadian dollar. By doing so, it helps to regulate the country's economy. The bank has significant power to influence the actions of other banks and financial institutions.CIBC is a private sector bank that focuses on providing financial services to retail and business clients. CIBC’s power and influence come from its ability to lend money and make investment decisions. It has a large market share in the Canadian banking sector, making it a significant player in the economy. As a result, it has the power to influence the borrowing and lending rates of other banks and financial institutions.In conclusion, the Bank of Canada and CIBC both have different types of power and influence. The Bank of Canada's power comes from its control over monetary policy, while CIBC's influence comes from its large market share in the banking sector.

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Lakeside Home Furnishings Is Planning Inventory Purchases Of Leather Chairs. Desired Ending Inventory Is 1,000 Units, The Cost Of Goods Sold Is 40,000 Units, And The Beginning Inventory Is 12,000 Units. Compute For Total Purchases? A12,000 Units B29,000 Units C41,000 Units D52,000 Units
Lakeside Home Furnishings is planning inventory purchases of leather chairs. Desired ending inventory is 1,000 units, the cost of goods sold is 40,000 units, and the beginning inventory is 12,000 units.

Compute for total purchases?

A12,000 units

B29,000 units

C41,000 units

D52,000 units

Answers

The total purchase of leather chairs is (B) 29,000 units.

The correct answer is B29,000 units.

The formula used to compute the total purchases is the addition of the cost of goods sold and the desired ending inventory, and then subtracting the beginning inventory.

Cost of goods sold (COGS) = 40,000 unitsDesired ending inventory = 1,000 units

Beginning inventory = 12,000 units

Total purchases = COGS + desired ending inventory - beginning inventory

Total purchases = 40,000 + 1,000 - 12,000

Total purchases = 29,000 units

Therefore, the total purchase of leather chairs is 29,000 units.

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Apple confirms it’s slowing down your old iphone-but for good reason
Discussion of the ethical issues, moral violations with reference to an International ethics document. You are expected to summarize the document and discuss its relevance and importance for business ethics:

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The discussion of ethical issues and moral violations, including an international ethics document's reference, is in regards to the slowing down of old iPhone models by Apple.

In December 2017, Apple admitted to slowing down older iPhone models' performance to prolong battery life. This decision was considered as a betrayal to customers who had not been informed of the company's actions.Apple, however, claimed that it was not intentionally slowing down old iPhones and that it had implemented the feature as a precaution to prevent unexpected shutdowns caused by an aging battery.

According to Apple, it was a safety feature intended to prevent older devices from failing.However, many customers and experts perceived Apple's actions as being unethical and misleading. They argued that Apple failed to disclose this feature to its customers and instead chose to conceal it. Apple was faced with legal action, and the Federal Trade Commission (FTC) opened an investigation to determine whether the company had violated consumer protection laws and regulations.

The Code of Ethics and Professional Conduct is a well-known international ethics document that covers a wide range of ethical principles and values for businesses. It is an essential resource for businesses worldwide to develop a culture of ethical and professional behavior. The case provides an example of how ethical principles, such as honesty and transparency, are essential for business conduct and customer trust.

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Think about a recent situation at work or in school where you applied organizational behavior modification to increase or decrease someone’s motivation regarding a specific behavior. What specifically did you do? What was the result?

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Organizational behavior modification (OBM) is the practice of applying behavioral science knowledge and methods to manage organizational behavior. It is an effective technique for improving the performance and efficiency of employees by modifying their behavior in the workplace.

OBM provides a structure for identifying and managing the antecedents, behaviors, and consequences that are related to employee performance and motivation.In my previous job, I had a colleague who was consistently coming late to the office, which resulted in a decrease in productivity for our team. To improve this behavior, I applied the principles of OBM to increase her motivation regarding punctuality.First, I identified the antecedents of her behavior by analyzing her routine. I found out that she had a habit of staying up late, which resulted in difficulty in waking up early. To address this issue, I suggested that she should follow a fixed sleep routine and set an alarm for the morning.Secondly, I specified the desired behavior by explaining the importance of punctuality in the workplace and how it impacts the team's productivity.

I also provided her with a flexible work schedule that allowed her to come in earlier or later if necessary.Finally, I provided positive consequences by acknowledging her efforts and progress. I praised her when she came to the office on time and gave her small incentives like a coffee or a snack to show my appreciation for her efforts.Over time, these interventions helped her develop a new habit of being on time, which improved her productivity and our team's output. The result of the OBM intervention was a significant increase in her motivation and punctuality.

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the balance sheet is a financial statement measuring the flow of funds into and out of various accounts over time while the income statement measures the progress of the firm at a point in time.

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The balance sheet is a financial statement that reflects the financial position of a company or organization at a specific time, while the income statement is a financial statement that shows a company's performance over a specific time period.

The balance sheet and income statement are both financial statements that companies use to analyze their financial performance. However, they differ in their functions. The balance sheet is a financial statement that displays a company's financial status at a specific time, while the income statement is a financial statement that displays a company's financial performance over a specific period.

Balance Sheet A balance sheet is a financial statement that indicates a company's financial position at a specific time. It reports on the company's assets, liabilities, and equity. Assets are the company's resources that will provide economic benefit in the future.

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CAM Precision Sdn. Bhd. is an advanced manufacturing company listed in Top 100 hi-tech global ranking. This company shows a potential investment with interest return rate of 8% per year. Your family plan to invest RM (L3D x 1,000) + 15,000. Apply the simple interest and compound interest approach to calculate the total investment after FOUR (4) years. Assume that your family do not withdraw the money earned at the end of each year, but instead let it accumulate. Noted that L3D represents the Last Three Digit of student matric number. (3 marks)

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the Simple Interest approach gives us the total investment after four years as [RM (L3D x 1,000) + 15,000] x 1.32 and the Compound Interest approach gives us the total investment after four years as [RM (L3D x 1,000) + 15,000] x 1.3605.

Potential Investment Rate = 8% per year

The amount of investment = RM (L3D x 1,000) + 15,000

Where L3D represents the last three digits of the student matric number.

Number of years = 4

Simple Interest:Simple Interest formula can be represented as follows;

I = PrtWhere;

I = Simple Interest

P = Principal amount

R = Rate of interest

T = Time or duration of the loanSubstituting the values in the formula, we have;

Principal amount = RM (L3D x 1,000) + 15,000

Rate of Interest = 8% per yearTime duration = 4 yearsSimple Interest = P x R x T= [RM (L3D x 1,000) + 15,000] x 8/100 x 4= [RM (L3D x 1,000) + 15,000] x 0.32

Total Investment after 4 years using the Simple Interest approach = Principal amount + Simple Interest= [RM (L3D x 1,000) + 15,000] + [RM (L3D x 1,000) + 15,000] x 0.32= [RM (L3D x 1,000) + 15,000] x 1.32

Compound Interest:Compound Interest formula can be represented as follows;

A = P (1 + r/n)ntWhere;A = Final amount earned

P = Principal amount

r = Rate of interest

n = Number of times interest is compounded

t = Time or duration of the investment

Substituting the values in the formula, we have;Principal amount = RM (L3D x 1,000) + 15,000

Rate of Interest = 8% per year

Number of times interest is compounded = 1 per year

Time duration = 4 years

Total Investment after 4 years using the Compound Interest approach = A= P (1 + r/n)nt= [RM (L3D x 1,000) + 15,000] (1 + 8/100 x 1)4= [RM (L3D x 1,000) + 15,000] x 1.3605

Therefore, the Simple Interest approach gives us the total investment after four years as [RM (L3D x 1,000) + 15,000] x 1.32 and the Compound Interest approach gives us the total investment after four years as [RM (L3D x 1,000) + 15,000] x 1.3605.

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what+is+the+standard+deviation+of+stock+a’s+returns?+a.+14.45%+b.+12.80%+c.+14.10%+d.+12.60%

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The standard deviation of Stock A's returns is 14.10% ( c).

Standard deviation measures the variability or dispersion of a set of values from their mean.

the context of stock returns, it is used to assess the volatility of the stock's performance. Option c, 14.10%, represents the standard deviation of Stock A's returns. This value indicates the average amount by which the returns of Stock A deviate from its mean return. A higher standard deviation suggests higher volatility and greater potential risks associated with the stock. It is important for investors to consider standard deviation when evaluating investment s and managing their portfolio risk.

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A company that cuts and packages paper for photocopiers and printers that merges with a paper mill to reduce the risk of paper shortages is using a Select one:
a. friendly takeover bid.
b. enterprise merger.
c. hostile takeover.
d. poison pill merger.
e. vertical merger.

Answers

Option e. vertical merger is the correct option. The company that cuts and packages paper for photocopiers and printers merging with a paper mill to reduce the risk of paper shortages is using a vertical merger.

A vertical merger is a type of merger where two companies operating at different stages of the supply chain, but in the same industry, combine their operations. In this case, the company involved in cutting and packaging paper for photocopiers and printers is merging with a paper mill, which is involved in the production of paper. By merging with the paper mill, the company aims to secure a reliable supply of paper and reduce the risk of paper shortages.

Vertical mergers are often pursued to achieve greater efficiency, cost savings, and control over the supply chain. By integrating upstream with the paper mill, the company can have better control over its input materials and potentially achieve economies of scale. It also reduces the reliance on external suppliers and streamlines the production process. Overall, a vertical merger allows the company to vertically integrate its operations and strengthen its position in the market by securing a consistent supply of paper and reducing the risk of disruptions due to paper shortages.

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How does (i) supply elasticity and (ii) demand elasticity impact taxation decisions. In both cases, give an example of a specific good and use those examples to answer this question with diagrams
PLEASE ANSWER WITH YOUR OWN EXAMPLE AND IN YOUR OWN WORDS! I AM REALLY APPRECIATING IT, I WILL DEFINETLY GIVE YOU 5 STARS FOR IT

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Supply elasticity refers to the responsiveness of the amount of supply of a specific good to a change in the price of that good. On the other hand, demand elasticity refers to the responsiveness of the amount of demand of a specific good to a change in the price of that good.

Both supply elasticity and demand elasticity impact taxation decisions. Taxation decisions are influenced by the elasticity of demand and supply. When demand for a good is more elastic, taxes levied on the good will affect the quantity of the good consumed more than when demand is inelastic.

Example of the impact of supply elasticity on taxation decisions: Suppose the price of sugar decreases due to a bumper crop. Since the supply of sugar is more elastic, the decrease in price will cause a proportionally larger increase in the amount supplied, which means that there will be a proportionally larger increase in the amount of sugar available for consumers to purchase. Thus, the effect of the tax on sugar will be lower.

Example of the impact of demand elasticity on taxation decisions: Suppose that the government increases the tax on cigarettes.

Since the demand for cigarettes is inelastic, smokers will continue to purchase cigarettes despite the increased price. Thus, the effect of the tax on cigarettes will be higher. If the demand for cigarettes is more elastic, a higher tax on cigarettes will cause a proportionally larger decrease in the quantity demanded.

The diagram below shows the relationship between tax revenue and the elasticity of demand and supply. As the demand becomes more elastic (flatter curve) or supply becomes more elastic (steeper curve), the tax revenue decreases. On the other hand, as demand becomes more inelastic (steeper curve) or supply becomes more inelastic (flatter curve), the tax revenue increases.

[tex]\large\text{Tax Revenue = Tax per unit * Quantity sold}[/tex]Therefore, the government can use the concepts of supply elasticity and demand elasticity to make decisions on how much tax to place on certain goods.

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If Telecom Net Inc. management plans to increase both sales revenue and net marketing contribution 30% and 20% respectively by next year, what would be the marketing and sales expenses?

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Telecom Net Inc. is planning to boost both sales revenue and net marketing contribution by 30% and 20% respectively next year.

The current year's sales revenue is $100, and the net marketing contribution is 10%. Therefore, the current net marketing contribution will be $10.The management plans to increase sales revenue and net marketing contribution by 30% and 20% respectively.

Therefore, the sales revenue for the following year would be $130, and the net marketing contribution would be 12% of sales revenue, or $15.6.If the following year's net marketing contribution is $15.6, the current year's net marketing contribution is $10, and the management wants to increase the net marketing contribution by 20%, the increase in net marketing contribution will be $1.6.

Therefore, the marketing expense for the following year would be $1.6.If the sales revenue for the following year is $130, and the current year's sales revenue is $100, the sales revenue increase would be $30. Therefore, the sales expense for the following year would be $30 multiplied by the sales expense ratio.

The marketing and sales expenses for the following year are:$30 multiplied by the sales expense ratio + $1.6 = the total marketing and sales expenses.The solution is provided in 200 words.

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Question 12 For each of the following pairs of goods, tell me which of the two goods you predict would have more elastic demand. Briefly explain why. (a) Required textbooks OR Romance novels (b) All movie tickets OR Tickets to movies in 3D (c) One of many Chinese restaurants in a city OR the only Indian restaurant in town

Answers

Required textbooks OR Romance novelsThe demand for textbooks will be more elastic than for romance novels. Because there are fewer alternatives to a required textbook, the price elasticity of demand will be higher for it.

If the price of a romance novel is too high, people who read for pleasure can easily switch to another book genre or medium, such as e-books, audiobooks, or even television, to satisfy their leisure needs.

On the other hand, required textbooks are essential for students, and they have no choice but to purchase them, resulting in a more elastic demand for textbooks.

All movie tickets OR Tickets to movies in 3DTickets to 3D movies will have more elastic demand than all movie tickets. 3D movies have other substitutes such as regular movie tickets or watching movies at home.

Due to the increased price of 3D tickets, customers may opt for the more affordable movie ticket or watch the movie at home.

For instance, one may watch movies on Netflix or Amazon Prime rather than purchasing an expensive 3D ticket.(c) One of many Chinese restaurants in a city OR the only Indian restaurant in townThe Indian restaurant will have more elastic demand.

A customer is more likely to prefer Chinese food over Indian cuisine because it is more popular and diverse. People may not be willing to pay more for a certain cuisine when they have so many other options to choose from.

Thus, Indian restaurants have more competition, and the Indian restaurant in town will have more elastic demand because if the price increases, people may choose to eat at another Chinese restaurant.

Therefore, the demand for Chinese restaurants will be more inelastic than Indian restaurants.

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Which of the following is true about the product line administrative services and transactions?

A. It emphasizes the knowledge of HR and of the business and competition.

B. It deals with functions such as compensation, hiring, and staffing.

C. It deals with implementation of business plans and talent management.

D. It emphasizes knowing the business and exercising influence.

E. It contributes to the business strategy based on considerations of business capabilities.

Answers

The following is true about the product line administrative services and transactions is option (B) it deals with functions such as compensation, hiring, and staffing.        

What is product line administrative services and transactions?The Product line administrative services and transactions are a HR department's routine functions, which have a direct impact on employees. The administrative functions are typically the ones that keep the business running, while the transactional functions are the ones that deal with employees. They can be delegated to outsourcing or automated programs to save time and resources. HR policies and regulations are enforced via the administrative component of HR management, which includes the essential duties that HR management must undertake to run the business and safeguard its employees.Option A refers to the business knowledge and HR and competitive understanding, while option B is the correct answer.Option C refers to the execution of business strategies and talent management, while option D emphasizes the importance of understanding the business and exercising influence. Option E emphasizes the contribution to business strategy through an understanding of the company's capabilities.  

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Problem 2-2 Building an Income Statement [LO1] Nataro, Incorporated, has sales of $664,000, costs of $326,000, depreciation expense of $70,000, interest expense of $45,000, and a tax rate of 22 percen

Answers

Nataro, Incorporated has a net income of $173,940.

To build an income statement for Nataro, Incorporated, we start with the sales revenue of $664,000 and subtract the cost of goods sold of $326,000, giving us a gross profit of $338,000.

Next, we deduct the operating expenses, which include the depreciation expense of $70,000 and the interest expense of $45,000, resulting in operating income (earnings before taxes) of $223,000.

To calculate the income tax expense, we multiply the operating income by the tax rate of 22%, giving us a tax expense of $49,060.

Finally, we subtract the tax expense from the operating income to get the net income, which is $173,940.

The income statement for Nataro, Incorporated would be as follows:

Sales revenue: $664,000

Cost of goods sold: $326,000

Gross profit: $338,000

Operating expenses:

Depreciation expense: $70,000

Interest expense: $45,000

Operating income: $223,000

Income tax expense: $49,060

Net income: $173,940

Therefore, Nataro, Incorporated has a net income of $173,940 based on the given information.

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(Word limit: 400) Read a short news article below. (1) Which of the three motivations for global expansion described in the chapter do you think best explains the Costco's decision? (2) List and give examples of each of the general environment sectors (using Costco). News Article AMERICAN GIANT COSTCO OPENS IN SWEDEN in 2022 Next autumn, the US-based chain Costco will open its first Swedish store in Arninge, Täby, north of Stockholm. A contract with the property owner Trophi for premises of 13,000 square meters is ready, confirms CEO Jan Björk "We are very proud to welcome the world's third largest retail chain to their first establishment in Scandinavia," says CEO Jan Björk from Trophi Fastigheter AB. "Costco is very happy to be able to offer our concept with membership to Täby and the wider market in the entire Stockholm region in the near future. We will offer consumers a wide range of quality products and services at low prices," says Costco's spokesperson. Arninge Station is part of the shopping centre in Arninge about half an hour from Stockholm's city centre, where a new travel centre for trains and buses will open shortly -The End-

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Costco's decision to expand into Sweden appears to be driven by market seeking. It sees the potential for a profitable market for its membership-based retail model in the Stockholm region.

Market seeking is one of the main motivations for global expansion. It refers to a company's decision to enter new markets where they see potential for growth and profit. In the case of Costco, the company is leveraging its successful membership-based business model to serve the Swedish market. Given that Sweden has a robust economy with a high purchasing power per capita, it seems likely that Costco sees significant potential for profitable operation in the region.When analysing Costco's general environment sectors in Sweden, examples include economic, sociocultural, political/legal, and technological sectors. Economically, Sweden's strong economy presents Costco with potential customers with disposable income. Socioculturally, Costco's low-price, bulk item model may appeal to Swedish consumers' value for practicality and frugality. Politically, Sweden's stable political environment and friendly international business laws favor Costco's entry. Technologically, the upcoming travel center in Arninge can facilitate easy access to Costco's store, encouraging customer visits. The general environment sectors are crucial aspects that a company must assess when expanding internationally. In this case, the economic sector refers to the overall financial health and economic trends of Sweden, which appears favorable for Costco's business model. The sociocultural sector pertains to the values, beliefs, and lifestyles of the Swedish people which influence consumer behavior. The political/legal sector involves the laws and regulations affecting businesses, and Sweden has a stable and favorable political environment for international businesses.

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Describe what the Consumer Product Safety Commission (CPSC) did to Maxfield & Oberton that caused them to go out of business. (While your answer can be in either a narrative or bulleted list format, it still must be in complete sentences).

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The Consumer Product Safety Commission (CPSC) played a significant role in the closure of Maxfield & Oberton, the company that produced Buckyballs, a popular magnetic toy.

The CPSC took the following actions that ultimately led to the company's demise:

1. Safety concerns: The CPSC raised concerns about the safety hazards associated with Buckyballs, specifically the risk of ingestion and injury caused by the powerful magnets. The commission argued that the product posed a significant danger to children if swallowed.

2. Lawsuit: The CPSC filed a lawsuit against Maxfield & Oberton, seeking to halt the production and distribution of Buckyballs. The lawsuit alleged that the company's marketing and labeling did not adequately address the risks and failed to meet safety standards.

3. Product recall: The CPSC initiated a recall of Buckyballs, urging consumers to stop using the product and return it for a refund. The recall had a significant impact on the company's reputation and sales.

4. Financial burden: The legal costs associated with the lawsuit, combined with the expenses related to the recall and compliance with safety regulations, put a substantial financial strain on Maxfield & Oberton. These financial burdens contributed to the company's eventual closure.

The actions taken by the CPSC, including safety concerns, a lawsuit, product recall, and the resulting financial burden, collectively led to Maxfield & Oberton going out of business. The regulatory scrutiny and associated costs ultimately proved too challenging for the company to sustain its operations.

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Consider an economy that is characterized by the Solow growth model in which the production function is given by
Y = 3K^0.5 L^0.5
where K = Stock of capital
L = Number of workers
In this economy, the population growth rate and the depreciation rate are 3% and 12% respectively.
a) Households consume 90% of income and save the remaining 10% of income. What are the steady states values of capital per capita, output per capita, consumption per capita, and investment per capita?
b) Suppose that the country wants to increase its steady-state value of output per worker. What steady-state value of the capital-labour ratio is needed to double the steady-state value of output per capita? What fraction of income would households have to save to achieve a steady-state level of output per worker that is twice as high as in part (a)?

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The question pertains to the Solow growth model in an economy with a specific production function, population growth rate, and depreciation rate. In part (a), we need to determine the steady-state values of capital per capita, output per capita, consumption per capita, and investment per capita. In part (b), we are asked to find the steady-state value of the capital-labor ratio needed to double output per capita and the fraction of income households must save to achieve this.

In the Solow growth model, the steady state represents a balanced equilibrium where the capital-labor ratio remains constant over time. To solve part (a), we need to find the values of capital per capita (K/L), output per capita (Y/L), consumption per capita (C/L), and investment per capita (I/L) at the steady state.

To determine the steady-state values, we first calculate the savings rate (s) by subtracting the consumption rate (c) from 1. In this case, since households save 10% of income (s = 0.10), the consumption rate is 90% (c = 0.90).

In the steady state, investment per capita is equal to the depreciation rate, so I/L = δ = 0.12. With the given production function and steady state conditions, we can calculate the values of capital per capita (K/L), output per capita (Y/L), and consumption per capita (C/L).

In part (b), we are asked to find the steady-state value of the capital-labor ratio that would double output per capita. To achieve this, we can use the formula for output per capita (Y/L) and double its value. By rearranging the production function, we can solve for the required capital-labor ratio.

To calculate the fraction of income that households must save to achieve the desired steady-state level of output per worker, we can use the savings rate formula (s) and solve for the required savings rate.

In summary, part (a) involves calculating steady-state values for capital per capita, output per capita, consumption per capita, and investment per capita. In part (b), we determine the steady-state capital-labor ratio needed to double output per capita and the fraction of income households must save to achieve this goal.

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On January 2, 2021, Cullumber Leasing Company leases equipment to Foley Co. with 5 equal annual payments of $149000 each, payable beginning January 2, 2021. Foley Co. agrees to guarantee the $89000 residual value of the asset at the end of the lease term. The expected value of the residual is $0. Foley's incremental borrowing rate is 10%, however it knows that Cullumber's implicit interest rate is 8%. The journal entry Foley makes at January 2, 2021 includes a debit to right-of-use asset for?
PV Annuity. Due PV Ordinary Annuity PV Single Sum
8%, 5 periods 4.31213 3.99271 0.68058
10%, 5 periods 4.16987 3.79079 0.62092

a. $978693
b. $703079
c. $676573
d. $697769

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To determine the debit amount to the right-of-use asset on January 2, 2021, we need to calculate the present value of the lease payments.

The lease payments are $149,000 each, payable annually for 5 years. The incremental borrowing rate for Foley Co. is 10%, but Cullumber Leasing Company's implicit interest rate is 8%.

Using the table provided, we can find the present value of an ordinary annuity for 5 periods at 8% to be 3.99271.

Present value of lease payments = Lease payments * Present value of ordinary annuity

Present value of lease payments = $149,000 * 3.99271

Present value of lease payments = $596,000.79

Next, we need to add the guaranteed residual value of $89,000 to the present value of the lease payments.

Total debit to the right-of-use asset = Present value of lease payments + Guaranteed residual value

Total debit to the right-of-use asset = $596,000.79 + $89,000

Total debit to the right-of-use asset = $685,000.79

Therefore, the correct answer is option c. $676,573.

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To determine the debit amount to the right-of-use asset on January 2, 2021, we need to calculate the present value of the lease payments.

The lease payments are $149,000 each, payable annually for 5 years. The incremental borrowing rate for Foley Co. is 10%, but Cullumber Leasing Company's implicit interest rate is 8%.

Using the table provided, we can find the present value of an ordinary annuity for 5 periods at 8% to be 3.99271.

Present value of lease payments = Lease payments * Present value of ordinary annuity

Present value of lease payments = $149,000 * 3.99271

Present value of lease payments = $596,000.79

Next, we need to add the guaranteed residual value of $89,000 to the present value of the lease payments.

Total debit to the right-of-use asset = Present value of lease payments + Guaranteed residual value

Total debit to the right-of-use asset = $596,000.79 + $89,000

Total debit to the right-of-use asset = $685,000.79

Therefore, the correct answer is option c. $676,573.

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What are the differences between
goods and service producers? You
started your own business in
Canada. Now as an Operations
Manager what will be your strategies
and logistics to run your business
successfully. The real challenge is to
keep your business ahead from your
competitors. Write a report of your
roles, strategies, and logistics as a
successful operations manager.
Please, acknowledge all the outside
resources you use. [60]

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The difference between goods and service producers is that goods producers are companies that manufacture physical products, while service providers are organizations that provide intangible offerings. Goods producers manufacture physical items and are often categorized into different categories based on the type of product they make.

Producers' primary focus is on the quality of their products, pricing, and the satisfaction of their customers. Services producers offer services that people can use to make their lives easier, such as cleaning, plumbing, or health care services.An operations manager is responsible for ensuring that a company's operations are running smoothly. To run a successful business, the operations manager should have a range of skills, including the ability to manage logistics, schedule production, and maintain quality control. Additionally, a successful operations manager should have excellent communication and leadership abilities.

Strategies for running a successful business would include maximizing production efficiency, minimizing waste, controlling costs, and improving the quality of goods or services offered. It is also important to keep up with industry trends and technological developments that could improve production and efficiency. Logistics should be taken into account, including shipping and receiving goods, as well as inventory management. The following are the strategies and logistics an operations manager can use to run a successful business: Ensuring production efficiency: Efficient production is a critical factor in the success of any business. A good operations manager will be responsible for analyzing production processes and identifying ways to improve efficiency, including eliminating waste, streamlining processes, and automating tasks. Inventory management: Effective inventory management is crucial in the success of any business. A good operations manager will need to monitor inventory levels closely and ensure that stock is ordered in a timely fashion to keep up with demand. Cost Control: A good operations manager should be able to identify and control costs effectively to ensure that the business is profitable. This includes identifying areas where costs can be reduced, such as negotiating with suppliers or finding more efficient ways to produce products. Quality control: Quality control is important in maintaining the company's reputation and customer satisfaction. The operations manager should have a system in place for quality control that includes testing products regularly, identifying areas where quality can be improved, and implementing new measures to improve quality as needed. Technology and Innovation: The operations manager should stay up-to-date with technological advancements in the industry to identify ways to improve the production process and efficiency. This includes investing in new machinery, using new software, or implementing automation systems.

The resources used to complete this report include books, articles, online resources, and interviews with industry experts. These resources have been acknowledged appropriately in the report.

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.Required: Record all transactions in appropriate T-accounts using cost by nature. Close all accounts and prepare the income statement. Thank you!

a) The company recorded an invoice for use of water in the office, value 5400
b) The company recorded bank fees; value 320
c) The company purchased petrol for company car fleet; value 8000
d) The company sold goods worth 2000 for 3500 on deferred payment
e) The company delivered the goods from part d) incurring additional costs paid by cash in bank: 550 for transport expense, 150 for insurance expense.

Answers

Here are the transactions recorded in appropriate T-accounts using cost by nature, and the resulting income statement:

T-Accounts:

1. Water Expense:

  Debit: $5,400

  Credit: $5,400

2. Bank Fees Expense:

  Debit: $320

  Credit: $320

3. Petrol Expense:

  Debit: $8,000

  Credit: $8,000

4. Accounts Receivable:

  Debit: $3,500

  Credit: $3,500

5. Sales Revenue:

  Debit: $2,000

  Credit: $2,000

6. Transport Expense:

  Debit: $550

  Credit: $550

7. Insurance Expense:

  Debit: $150

  Credit: $150

8. Cash in Bank:

  Debit: $550

  Credit: $550

Income Statement:

Sales Revenue: $2,000

Cost of Goods Sold:

 Water Expense: $5,400

 Bank Fees Expense: $320

 Petrol Expense: $8,000

 Transport Expense: $550

 Insurance Expense: $150

Total Cost of Goods Sold: $14,420

Gross Profit: ($12,420) [(Sales Revenue - Cost of Goods Sold)]

Please note that the income statement only includes the transactions provided in the question. If there were other revenue or expense transactions not mentioned, they would need to be included for a complete income statement.

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Brown Shoe Company is trying to determine which new accounts receivable system they should select. They have developed a grid containing the characteristics they need along with a weight for each item to indicate its importance. This is an example of a(n):

Group of answer choices

Project charter

Project plan

Statement of work

Scoring model

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The given scenario of Brown Shoe Company, developing a grid that contains the characteristics they need along with a weight for each item to indicate its importance for selecting a new accounts receivable system is an example of a Scoring model.

Option D is correct

A Scoring Model is a quantitative method that helps in ranking various options. Scoring models are employed when there is a need to assess options or criteria that vary in importance.

To assign scores, a set of relevant criteria are determined and each criterion is assigned a score based on its degree of importance. The total score is computed by multiplying each criterion score by the importance weight of each criterion.

Option D is correct

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View Policies Current Attempt in Progress Long-term liabilities are significant to users for all of the following reasons, except it affects the company for many year into the future. it has an impact on the firm's liquidity. it provides information on potential litigation and contractual obligations. It provides information about the health of employee pension plans.

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Long-term liabilities are significant to users for all of the following reasons, except it affects the company for many years into the future. The statement - "it affects the company for many years into the future" is incorrect.

The correct reason should be that "it affects the company's ability to view policies current attempt in progress."

Long-term liabilities are significant to users for the following reasons:

It has an impact on the firm's liquidity:

A high volume of long-term liabilities can impact a firm's liquidity, making it difficult to access cash for operations and investments.

It provides information on potential litigation and contractual obligations:

The company's long-term liabilities provide an indication of its potential litigation and contractual obligations in the future.

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Julie Lane, Sara Miles, and Amber Noll have capital balances of $50,000, $40,000, and Record withdrawal of par $30,000, respectively. The income ratio is 5.3.2. Assume Noll withdraws from the partnership on (SO 5) AP December 31 of the current year under each of the following independent conditions: 1. Lane and Miles agree to purchase Noll's equity by paying $17,000 each from their personal as- sets. Each purchaser receives 50% of Noll's equity. 2. Miles agrees to purchase all of Noll's equity by paying $35,000 cash from her personal assets. 3. Lane agrees to purchase all of Noll's equity by paying $25,000 cash from her personal assets. Instructions : Journalize the withdrawal of Noll under each of the above assumptions.

Answers

1. **Journal entry for Noll's withdrawal assuming Lane and Miles purchase Noll's equity:**

Withdrawal of Amber Noll:

  Cash (To pay Noll's equity)          $34,000

  Julie Lane, Capital                    $17,000

  Sara Miles, Capital                    $17,000

Explanation: In this scenario, Lane and Miles agree to purchase Noll's equity. Each purchaser pays $17,000 from their personal assets. The total cash paid to Noll is $34,000, with $17,000 contributed by each partner (Lane and Miles). As a result, Noll is withdrawn from the partnership.

2. **Journal entry for Noll's withdrawal assuming Miles purchases all of Noll's equity:**

Withdrawal of Amber Noll:

  Cash (To pay Noll's equity)          $35,000

  Sara Miles, Capital                    $30,000

  Gain on Withdrawal                     $5,000

Explanation: In this scenario, Miles agrees to purchase all of Noll's equity by paying $35,000 in cash from her personal assets. As a result, Noll is withdrawn from the partnership, and Miles' capital increases by the amount of Noll's equity. There is a gain on the withdrawal of $5,000, which represents the excess of the purchase price over Noll's capital balance.

3. **Journal entry for Noll's withdrawal assuming Lane purchases all of Noll's equity:**

Withdrawal of Amber Noll:

  Cash (To pay Noll's equity)          $25,000

  Julie Lane, Capital                    $30,000

  Loss on Withdrawal                      $5,000

Explanation: In this scenario, Lane agrees to purchase all of Noll's equity by paying $25,000 in cash from her personal assets. As a result, Noll is withdrawn from the partnership, and Lane's capital increases by the amount of Noll's equity. There is a loss on the withdrawal of $5,000, which represents the difference between Noll's capital balance and the purchase price paid by Lane.

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barter is primarily used with trading partners who are not creditworthy or trustworthy.

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True Barter is defined as a direct exchange of goods and services without the involvement of money. It is a transaction where goods or services are directly exchanged for other goods or services without the use of money.

Bartering was primarily used in the past when money was not invented yet and has since then, played a significant role in the world economy.Barter is used for a number of reasons, one of which is when trading partners are not creditworthy or trustworthy. This is because barter can be utilized to reduce risks when doing business with other parties.

The lack of trust between trading partners can be because they are located in different countries or because there are language barriers. In these cases, the barter system can be used as a means of exchange. In a barter economy, the parties involved do not need to trust one another since the transaction is not conducted using money.However, it's worth mentioning that this is just one of the reasons why bartering can be used. It can also be used for other reasons such as the lack of hard currency or when there are trade restrictions.

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When accounting for treasury stock under the cost method, which of the following statements is inaccurate? A) Treasury stock is deducted in the stockholders' equity section of the balance sheet. B) A cost flow assumption is applied when a company has multiple purchases of treasury stock C) When treasury stock is sold for more than its acquisition cost, the difference is credited to either Retained Earnings or Paid-in Capital - Treasury Stock D) When treasury stock is sold for less than its acquisition cost, the difference is credited to either Retained Earnings or Paid-in Capital - Treasury Stock

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C) When treasury stock is sold for more than its acquisition cost, the difference is credited to either Retained Earnings or Paid-in Capital - Treasury Stock.

Under the cost method of accounting for treasury stock, when treasury stock is sold for more than its acquisition cost, the difference is not credited to Retained Earnings or Paid-in Capital - Treasury Stock.

Instead, it is recorded as a gain on the sale of treasury stock, which is reported in the income statement. The gain increases net income but does not impact the stockholders' equity accounts directly. Therefore, statement C is inaccurate.

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