what term describes a contractual agreement between two companies in which one company gives the other company, in exchange for a lump sum and royalties, the right to operate a retail outlet using a name and format developed by the first company?

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Answer 1

The contractual agreement described above which is a way of expanding a business venture, is referred to as franchising.

Describe franchising.

In the marketing and distribution process known as franchising, the owner of a business system (the franchisor) offers a single person or group of people (the franchisee) the right to operate a company that sells goods or renders services using the franchisor's business system.

Franchisees are also permitted, under certain conditions, to use the franchisor's branding, trademarks, and identifying markings. Anyone choosing to launch a business by acquiring a franchise must keep in mind that doing so binds the franchisee to a partnership agreement with the franchisor for a specified amount of time (some exceptions do exist).

It is commonly accepted that Isaac Singer invented franchising as we know it today in the 1850s. When Singer released his sewing machine onto the market following its invention, he ran into two significant issues. The first was that before people would purchase the new product, they needed instruction on how to use it. The second was that Singer lacked the funding necessary to produce his equipment in significant quantities.

In response, Singer and his business partners came up with the concept of selling local businesspeople across the nation the rights to sell the sewing machines as well as provide training for those who purchased one.

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barton industries expects that its target capital structure for raising funds in the future for its capital budget will consist of 40% debt, 5% preferred stock, and 55% common equity. note that the firm's marginal tax rate is 25%. assume that the firm's cost of debt, rd, is 9.6%, the firm's cost of preferred stock, rp, is 8.8% and the firm's cost of equity is 12.2% for old equity, rs, and 12.8% for new equity, re. what is the firm's weighted average cost of capital (wacc1) if it uses retained earnings as its source of common equity? do not round intermediate calculations. round your answer to two decimal places.

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WACC = Weight of debt × Pretax cost of debt× (1 - Tax) + Weight of preferred equity×Cost of preferred equity + Weight of ca) For WACC with retained earnings,

WACC = [40% × 9.6%× (1 - 25%)] + [5% × 8.8%] + [55% × 12.2%]

WACC = 0.0288 + 0.0044 + 0.0671

WACC = 0.1003

WACC = 10.03%

b) For WACC with new stock issuance

WACC = [40% * 9.6% × (1 - 25%)] + [5% × 8.8%] + [55%×12.8%]

WACC = 0.028WAC8 + 0.0044 + 0.0704

WACC = 0.10360

WACC = 10.36%

The weighted average value of capital (WACC) is the price that an agency is anticipated to pay on common to all its safety holders to finance its property. The WACC is generally called the firm's price of capital. Importantly, it is dictated through the outside market and no longer by control. The WACC represents the minimum return that a corporation needs to earn on an existing asset base to satisfy its lenders, owners, and other companies of capital, or they may make investments someplace else.

agencies raise money from a number of assets: common stock, favored inventory and associated rights, immediate debt, convertible debt, exchangeable debt, worker stock options, pension liabilities, govt inventory alternatives, governmental subsidies, and so forth. exclusive securities, which constitute extraordinary assets of finance, are predicted to generate different returns. The WACC is calculated by contemplating the relative weights of each thing of the capital structure. The extra complicated the company's capital structure, the more onerous it is to calculate the WACC.

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suppose the risk-free return is 4%. the beta of a managed portfolio is 1.2, the alpha is 1%, and the average return is 14%. based on jensen's measure of portfolio performance, you would calculate the return on the market portfolio as:

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Market Portfolio Return= 11%

A market portfolio is a theoretical collection of investments that includes every asset type available in the investment universe, with each asset weighted in proportion to its overall market presence. The anticipated return for a market portfolio is the same as the anticipated return for the market as a whole.

Alpha = R – Rf – beta (Rm-Rf)

Where:

R denotes the market portfolio return.

Rf is the risk-free rate of return.

A portfolio's systematic risk is represented by beta.

Rm denotes the market return as measured by a benchmark.

0.01 = R - 0.04 - 1.2 (0.14-0.04)

0.01 = R - 0.1

market portfolio return R = 0.01+0.1

market portfolio return R = 0.11

Market Portfolio Return= 11%

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The complete question is:

Suppose the risk-free return is 4%. The beta of a managed portfolio is 1.2, the alpha is 1%, and the average return is 14%. Based on Jensen's measure of portfolio performance, you would calculate the return on the market portfolio as Multiple Choice

16%.

11%.

14%.

15%.

stanley is responsible for performing a variety of human resource activities such as posting job openings and reporting current employees' job satisfaction. he is most likely an

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Stanley is responsible for doing a variety of human resource activities such as reporting current employees' job satisfaction and posting job openings. He is most likely a 'human resource generalist'.

A human resource generalist refers to a professional employee working in the human resource department who is able to perform a large variety of responsibilities and handles all the tasks related to an employee.

Human resource generalists need to be attentive, prompt, and cordial in order to act as liaisons between managers, executives, and workers in measuring employee engagement.

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after several years of trying to develop trading strategies that use past price and volume data to earn superior abnormal returns, you discover that it is possible. you conclude that past data can be used to predict future price movements. based on this analysis alone, you would argue that the stock market is:

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With predict the future price, it can be a based knowledge for us before we decided to investement. Build some strategies using past price and volume data as reference to earn superior abnormal return, it would make the stock market is semi-strong form efficient.

There are a kind of strategy to learn technical analysis. The first step conclude to learn the basics of investing, stocks, markets, and financials. It is can be done with books, online courses, online material, and classes. Once the basics are understood, from there you can use the same various of materials but those that focus particular on technical analysis. Technical Analysis can be used only for Short-Term Trading or Day Trading. It is a general myth that strategy analysis is only appropriate for short-term and computer-driven trading like day trading and high-frequency trades.

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julie's parents' 25th anniversary is in 4 years. she'd like to give her parents a vacation package for their anniversary. she anticipates the vacation package will cost her $3500. an account at her bank pays 3% per year compounded monthly. how much does she need to deposit today in this account, so that she can buy the package deal for her parents' anniversary?

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We must calculate the present value using Present Value with Compound Interest in order to determine the amount to be deposited today.

What is Present value:

The time value of money is used in the present value calculation to discount future cash flows and determine their present-day value. Compound interest-related present value & future value make up the present value formula. The original amount, the amount deposited, the amount lent, the sum borrowed, etc. are all included in the present value, or PV.

In finance, the present value (PV) formula is used to calculate the present value of money that will be received in the future. The present value formula is built on the compound interest formula (PV formula).

When interest on savings is calculated utilizing both the initial principle and interest that has accumulated over time, it is referred to as compound interest. The concept of compound interest, sometimes known as "interest on interest," is thought to have started. It will accelerate the growth of a total more quickly than simple interest, which is solely calculated on the principal sum.

The initial principal plus any interest charges from earlier periods are added together to calculate compound interest. The power of interest compounding is the creation of "interest on interest."

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do additional considerations arise because of the difference between the basis and fair market values of the properties liz and john contributed?

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Yes, additional considerations arise between the basis and fair market values of the properties belonging to Liz and John's contribution. It must be $150,000.

Note that the partnership must distribute the depreciation expense (and any future gain if the property is sold) among the partners in accordance with the 704(c) regulations because John's property has a $150,000 pre-contribution gain.

For taxes purposes, a fixed asset's basis value is its purchase price. To assist businesses in obtaining Internal Revenue Service-approved tax benefits, the valuation of a fixed asset may be modified (IRS). In other words, when an asset is sold, the basis value lowers the tax liability for the selling corporation.

The estimated price that would be given to the owner upon a sale is the fair market value of a company or asset. The value of the firm and the assets in the existing financial markets are included in the formula for calculating fair market value.

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adjusting entries: multiple choice affect only income statement accounts. affect only balance sheet accounts. affect both income statement and balance sheet accounts. affect cash accounts. affect only equity accounts.

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adjusting entries affect both income statement and balance sheet accounts.

Altering entries influence at slightest one account from the wage statement and one account from the balance sheet. Adjusting sections make year-end alterations to designate revenue and cost accounts within the period in which they occurred. These revenues and costs accounts are tied to any resource or liability account within the balance sheet. the alteration for interest payable would charge the interest payable account and credit the interest expense account. Consequently, it alters a liability and expense account.  for example, year-end alteration for supplies on hand will include supplies expenses account charge to supplies account credit. Here, an alteration is made to the cost and asset account.

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if the allowance for doubtful accounts has a credit balance prior to recording the adjusting entry for the current period's uncollectible accounts, then the . multiple choice question.

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If the allowance for doubtful accounts has a credit balance prior to recording the adjusting entry for the current period's uncollectible accounts, then the estimated amount of uncollectible was greater than the amounts actually written off.

Accounts Receivable is connected to the contracurrent asset account known as Allowance for Doubtful Accounts. The result is referred to as the net realizable value of the Accounts Receivable when the credit balance of the Allowance for Doubtful Accounts is removed from the debit amount in Accounts Receivable.

The account for doubtful accounts is shown on the asset side of the balance sheet, but since it is a contra asset account rather than a normal asset account, it has a normal credit balance.

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he natural level of output is the amount of real gdp produced a. when the economy is at the natural level of aggregate demand. b. when the economy is at the natural rate of unemployment. c. when the economy is at the natural level of investment.

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The natural level of output is the amount of real GDP produced b. when the economy is at the natural rate of unemployment.

Real GDP is essentially a measure of a country's total economic output, adjusted for changes in prices. The value of real GDP reflects a country's economic statistics at a macro level.

When real GDP produces natural output, that is, the output level is in line with the equilibrium of the labour market when the real price level is equal to the expected price level. Then the economy makes the most of its productivity, including fully utilized labour, which means that the economy is at the natural rate of unemployment.

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in the largest of cities the presence of multiple industries tends to create special resources, both private and governmental, used by all of the industries, resulting in efficiency or cost advantages benefiting all the industries. this phenomenon is called

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The concept in which both private and governmental, is used by all of industries, resulting in efficiency or cost advantages benefiting all industries, this phenomenon is called agglomeration economies.

What are agglomeration economies?An agglomeration economy describes the mechanism by which workers and firms come together geographically. An agglomeration economy occurs when many firms that produce similar or complementary goods move into close proximity, resulting in positive externalities for those firms. Many industries are merging to take advantage of urban centers known as agglomeration economies.Urbanization has to do with agglomeration across industry boundaries. The idea is that the presence of companies in one industry attracts companies in other industries. The economy of urbanization has led to the development of large, diverse cities with abundant jobs and facilities that attract a skilled workforce.

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By the 1960s, many economists talked about___ the ___
a term used to suggest that only a ___amount of government spending was needed initiate a bigger round of overall spending.

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By the 1960s, many Economists talked about the stagflation, a term used to suggest that only an large amount of government spending was needed initiate a bigger round of overall spending.

Stagflation is considered to be an economic cycle which is characterized by the slow growth and a high unemployment rate accompanied by inflation. However, here the policymakers find this combination particularly difficult to handle.

Keynesian Economists tend to justify that the government intervention through the public policies which thus aim in order to achieve full employment and price stability in the economy.

Hence, stagflation happens when the prices are rising.

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Based on the decision in mcnabb v. U. S. , the standard maximum time by which a first appearance should be held has been set at ________ hours after arrest.

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Based on the decision in mcnabb v. U. S. , the standard maximum time by which a first appearance should be held has been set at 48 hours after arrest.

In a different set of rulings, the Supreme Court held that confessions obtained after "unreasonable delay" in bringing suspects to court for arraignment could not be used as evidence in a federal court.

These rulings were not based on constitutional principles, but rather on the Supreme Court's general authority to supervise the federal judicial system.

This criterion was first stated by the court in McNabb v. United States (1943), which overturned two convictions for second-degree murder because they were almost completely based on confessions given after the prisoners underwent three days of questioning by the police without the presence of a lawyer.

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you have been hired to conduct a job analysis at a local fast food chain. after completing your analysis, you conclude that the job requires employees to have knowledge of the menu, interpersonal skills, and customer service skills. what type of job analysis have you performed?

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As a job analyst, after completing the job analysis, it can be understood that it was a skills-based analysis.

In a skill-based job analysis, the person's skills are measured and put to the test. For example, here, it can be seen that the job requires the employees to have good knowledge of the menu, interpersonal skills, and customer service skills. Conducting an analysis based on these factors will result in an employee who is well-skilled in these fields. As a job analyst, the major area of focus is the skills the employee has for the job.

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what is the connection, if any, between comparative advantage (ca) and foreign direct investment (fdi)?

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CA has nothing to do with FDI. Countries often engage in FDI in industries where the country they invest in has a comparative disadvantage.

When a nation's businesses make investments abroad, it promotes comparative advantage CA in the same sector at home.

What is comparative advantage -

The ability to create goods and services at a lower opportunity cost, not necessarily at a higher volume or quality, is referred to as having a comparative advantage.

What is FDI-

An entity based in another country makes an investment in the form of controlling ownership in a company in another country. This investment is known as a foreign direct investment (FDI).

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When the national economy goes from bad to better, market research shows changes in sales at various types of restaurants. Projected 2011 sales at quick-service restaurants are $164. 8 billion, which was 3% better than in 2010. Projected 2011 sales at full-service restaurants are $184. 2 billion, which was 1. 2% better than in 2010. How will the dollar growth in quick-service restaurants sales compare to the dollar growth for full-service places?

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The dollar growth in quick-service restaurants sales compare to dollar growth for full-service places is that it will be greater by $2.6 billion.

What are quick-service restaurants?

In the industry, a fast-food restaurant, or quick-service restaurant (QSR), is a particular kind of eatery that specializes in serving fast-food fare and offers little in the way of table service. Fast-food restaurants typically offer a limited menu, cooked in bulk in advance and kept hot, finished and packaged to order, and usually available for takeout, though seating may be offered. The food is typically part of a "meat-sweet diet" and is typically served from a drive-through window. Fast-food establishments are frequently a part of a restaurant chain or franchise that distributes standardized ingredients and/or partially prepared foods and supplies to each location through carefully controlled supply channels. In 1951, Merriam-Webster added the definition of "fast food" to their dictionary.

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which of the following is not a determinant of the long-run level of real gdp? a. available technology b. the price level c. available stock of human capital d. the amount of capital used by firms

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The option that is not a determinant of the long-run level of real GDP  is  option b. the price level.

How does real GDP work?

Real GDP is a metric that takes inflation into account and examines the rate at which all goods and services produced in a nation for a specific year. It is referred to as a fixed cost price and is indicated in foundation year prices.

Hence, the elements that influence real GDP are:

Household wealth and income.fiscal management.Exchange rate, monetary policy.Global economic expansionBusiness self-assurance.confidence among consumers

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which strategy would a marketing manager most likely use to increase the sales of a high-involvement product?

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Make commercials and advertisements that provide consumers with all the information they need to decide what to buy. A marketing manager would most likely employ this tactic to boost sales of a product with a high level of involvement.

How can you increase sales of a high-involvement product?

Giving customers all the information they require to choose your brand as their preferred option when making a purchase is the greatest strategy to sell high involvement products. Included in this information, which should set your brand apart from rivals, are the advantages of using and owning your goods.

High Involvement Management Practices (HIMPs) are rules and guidelines that aim to involve employees more in management decisions and provide them the freedom and skills to suggest ways to streamline business strategies.

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The country of Xenia has a small segment of electronics firms that have been building up their expertise over the last two years. This year the country began to have cheap electronic goods from its neighboring country Caladonia, flood over its borders. Xenia's congress is in session and about to vote on implementing new protectionist policies to restrict electronic imported from Caladonia. Which of these reasons would most deftly support Xenia's congressional actions? Xenia needs to protect itself and protect its infant electronics industry. O Xenia needs to protect itself and build its national defense. . Xenia needs to protect itself and promote its electronics exports. Previous Next Together, intra-industry trade and economies of scale provide o competition between producers specialization through machinery ono variety to consumers

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Based on the situation described and the available options, the reason that would most deftly support Xenia's congressional actions is that "Xenia needs to protect itself and protect its infant electronics industry"

What are protectionist policies?

Protectionist policies are policies legislated by a country to preserve its domestic industries from foreign competition.

Usually, various methods or tools can be used to legislate protectionist policies. These include the following:tariffs,customs dutiessubsidiesimport quotas, etc.

For example, if an import quota is ratified, there would be a limit on the number of foreign electronics that would be imported into Xenia. This would enhance the competitive power of firms in Xenia. However, without protective policies, local firms might not be able to withstand foreign competition.

Hence, in this case, it is concluded that the correct answer is "Xenia needs to protect itself and protect its infant electronics industry"

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adam miller is a general partner in a venture capital firm that just funded gold coast software, a software firm in santa barbara, california. gold coast software is incorporated, and adam has taken a seat on the firm's board of directors. in board of directors terminology, keith is a(n) director.

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adam miller is a general partner in a venture capital firm that just funded gold coast software, a software firm in santa barbara, california. gold coast software is incorporated, and adam has taken a seat on the firm's board of directors. in board of directors terminology, keith is a(n) outside director.

a person who works for oneself, manages their own time and resources, uses their own tools and equipment, and provides services to a variety of clientele.

One of the most reliable indicators of future entrepreneurial achievement is prior entrepreneurial experience. The complexity of starting a new business makes it advantageous for entrepreneurs to have past start-up expertise.

You will increase your employability by developing and using your critical thinking, teamwork, professionalism, work ethic, oral and written communication, and leadership abilities.

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carver inc. purchased a building and the land on which the building is situated for a total cost of $813,900 cash. the land was appraised at $177,837 and the building at $758,148. required what is the accounting term for this type of acquisition? determine the amount of the purchase cost to allocate to the land and the amount to allocate to the building. would the company recognize a gain on the purchase? record the purchase in a horizontal statements model.

Answers

The company recognize a gain on the purchase of 77% to record the purchase in a horizontal statements model .

Land and buildings refer to all properties located inside an economy, with the exception of those controlled by foreign governments (such as embassies), which are customarily regarded as inhabitants' properties.

When numerous assets are purchased for a single cost, this is known as a lump-sum buy. Each asset must be documented separately as a fixed asset in the accounting records; to do this, the purchase price is divided among the numerous acquired assets based on their fair market values.

Computation:

Land $231147/1004985 * 873900

Building $773838/1004985 * 873900

Allocation cost

$200,997

$672903

Calculate the percentage of each component as follows:

Percentage of Land = Cost of land/Total appraised value x100

= $231,147/ ($231.147+$773.838)

= 23%

= Percentage of Building = Cost of Building/Total appraised value x100

= $773,838/ ($231,147+$773,838)

= 77%

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jamie deposits $10,000 in an account earning 3% interest, compounded quarterly. how much will the account balance be in seven years? select one. question 5 options: a. $10,176.32 b. $10,724.14 c. $12,327.12 d. $22,879.28

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The account balance be in seven years will be (a) $10,176.32

What is interest?

The Price you pay to borrow money or the Price you charge to lend money is called interest. The most common way to represent interest is as a yearly percentage of the loan amount. The interest rate on the loan is known as this percentage.

The simple interest formula:

Interest = P x R x T.

P = Principal amount (the beginning balance).

R = Interest rate (usually per year, expressed as a decimal).

T = Number of time periods (generally one-year time periods).

What are the two main type of interest?

Simplecompound interest

Simple interest is calculated at a predetermined rate on the loaned borrower's principal. Both the interest paid on the principal sum and the compounding interest are referred to as compound interest. Depending on the type of interest rate, an interest rate may be simple or compound.

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he contra revenue account that normally has a debit balance is a. purchase discounts b. sales returns and allowances c. freight out d. purchase returns and allowances

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He contra revenue account that normally has a debit balance is a Purchase returns and allowances. The Revenue Accounts are those that report the business's income and thus have credit balances.

Examples include revenue from sales, the revenue from rental income, revenue from interest income, and so on. Revenue accounts are credited when services are performed/billed, and thus have debit balances. Revenue (also known as Sales or Income) is the first line of a company's income statement and is often referred to as the "Top Line" of a business. Profit or Net Income is calculated by subtracting expenses from revenue.

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what should have been the initial inventory in units of demand, if the production requirement in units of product is 900, demand forecast is 1,000, and the necessary safety stock is 20 percent of the demand forecast? multiple choice 100 cannot find it 1,900 300 500

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300 will be the initial inventory in units of demand, if the production requirement in units of product is 900 demand forecast is 1,000, and the necessary safety stock is 20 percent.

given data,

units of product = 900

demand forecast = 1,000

necessary safety stock = 20%

the difference in demand and the units of product ,

= 1000 - 900

= 100

And 20% of the demand = 200

safety stock = 20% of the demand + difference in demand and units of product

                           =200 + 100

                           = 300

300 be the initial inventory in units of demand

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g the market price of a stock is $53.24 and it just paid $5.08 dividend. the dividend is expected to grow at 4.18% forever. what is the required rate of return for the stock?

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The shareholder's needed rate of return will be 8.36% if the dividend growth is predicted to be constant at 4.18

The least return an investor will accept for owning a company's stock, in exchange for a specific amount of stock-holding risk, is known as needed rate of return. In corporate finance, the RRR is also used to evaluate the profitability of new investment projects.

Return to Shareholders Required = (D1/P0 * 100) + G

D1 is the anticipated dividend for the following year.

P0 = Share's Current Market Price

Growth Rate, G

Required Return for Shareholders

= (5.08/53.24* 100) + 4.18%

= 4.180 + 4.18 = 8.36%

Consequently, if a company's stock is currently trading at Rs. 53.24 and its expected dividend per share for the following year is Rs. 5.08 The shareholder's needed rate of return will be 8.36% if the dividend growth is predicted to be constant at 4.18%.

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Harry just bought a new four-wheel-drive jeep cherokee for his lumber business. the price of the vehicle was $35,000, of which he made a $5,000 down payment and took out an amortized loan for the rest. his local bank made the loan at 12% interest for five years. he is to pay back the principal and interest in five equal annual installments beginning one year from now. determine the amount of harry's annual payment.

Answers

He has to pay back $8322 annually

The down payment is a percentage of the price paid by the buyer to the seller when entering the installment purchase system. The amount of the down payment is usually determined by the buyer and seller's mutual understanding.

Loan Amount = Vehicle Purchase Price

Down Payment =

$ 35, 000 - $ 5 000

= $ 30 000

The interest rate (r) = 10%.

The number of years (n) = 5.

EMI = ?

An equated monthly installment (EMI) is a monthly payment made by borrowers to lenders in a fixed amount. Interest and principal are both included in EMIs. The loan will be fully paid off after a certain number of EMIs are made.

EMI = (P x R x(1+R)^N / [(1+R)^N - 1]

= 30000 / 3.6

= $8322

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the law requiring that toys and infant products be tested before sale is called the: group of answer choices child safety act. strong product safety bill. consumer product safety improvement act. uniform safety testing bill.

Answers

The law requiring that toys and infant products be tested before sale is called the uniform safety testing bill. By providing a discount to a product that is priced "high," buyers are more inclined to purchase the goods because customers believe it is a good deal.

In essence, the initial high price establishes the product's bill value to customers. Major shops such as Macy's and Nordstrom, as well as niche brands such as Adidas and Nike, use high-low pricing widely. They set high pricing but then provide lower rates to customers on a regular basis through specials, promotions, or the coupons.

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a company's unadjusted trial balance shows a debit balance of $30,000 in the allowance for doubtful accounts. this means that

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An employer's unadjusted trial balance indicates debit stability of $30,000 in the allowance for dubious debts. which means:  The organization has made an accounting mistake.

A trial balance is a list of all the general ledger bills contained inside the ledger of an enterprise. This listing will include the name of each nominal ledger account and the price of that nominal ledger stability. each nominal ledger account will keep either a debit balance or a credit score stability.

A tribulation balance is used in bookkeeping to list all the balances on your business's standard ledger debts. It consists of two columns: one for debit balances, and one for credit score balances. To hold the books balanced, the overall of every column should be equal. tribulation stability may be used to hit upon any mathematical errors that have occurred in a double-access accounting machine. If the overall debits same as the total credits, the trial stability is considered to be balanced, and there must be no mathematical mistakes in the ledgers.

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ticket price of an item is $15, but at the cash register the purchase price is $12.00. this is an example of a:

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An item has a $15 ticket price, yet the purchase price at the register is only $12.00. An illustration of a discount is this.

A mechanical or electronic instrument for recording and computing transactions at a point of sale is a cash register, often known as a till or an automated money-handling system. It is typically attached to a drawer where valuables like cash are kept. Nowadays, most cash registers come with a printer that can print receipts for your records.

James Ritty and John Birch created the first mechanical cash register after the American Civil War. James, the proprietor of a tavern in Dayton, Ohio, sought to prevent staff members from stealing his money. In 1879, the Ritty Model I was created because of observing a device that tracked a steamship's propeller's rotations. They were able to patent it in 1883 with the aid of James Ritty's brother, John. It was developed to prevent employee theft and embezzlement and to stop cashiers from stealing. It was known as Ritty's Incorruptible Cashier.

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second link services granted restricted stock units (rsus) representing 16 million of its $1 par common shares to executives, subject to forfeiture if employment is terminated within four years. after the recipients of the rsus satisfy the vesting requirement, the company will distribute the shares. the common shares had a market price of $10 per share on the grant date. 1. ignoring taxes, what is the total compensation cost pertaining to the restricted stock units? 2. ignoring taxes, what is the effect on earnings in the year after the rsus are granted to executives?

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Compensation Expenses = 6 Million Shares X $29 per share (Fair Value per Share)= $174 Millions and Compensation Expenses deducted from Income = $174 Millions / 4 Years= $43.50 Millions

An expense is a thing that requires paying money, or fortune in general, to someone else or a group of people in exchange for a good, a service, or another kind of cost. Rent is an outlay for a tenant. Tuition costs money, whether for students or parents. The operating costs incurred by a business in order to produce revenue are referred to as expenses. It can be summed up by saying that the price one must pay to acquire something. To make money, as the adage goes, requires investment. The money spent and the expenses incurred by a business in pursuit of revenue are referred to as expenses in accounting. Account expenses, to put it simply, are the costs associated with operating a business that collectively support the actions necessary to produce profit.

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The difference between quantitative and qualitative analyses is that: Group of answer choices quantitative analysis employs member checking. The data used in qualitative analyses is numerical in nature. Quantitative analysis tends to be ongoing and iterative. Qualitative data quantifies the magnitude of variables. Qualitative data analysis is largely inductive

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The difference between quantitative and qualitative analysis is that: Qualitative data analysis is largely inductive (D).

Quantitative analysis is mainly used numbers and graphs. It is used to test or confirm hypothesists and assumptions. Quantitative data quantifies the magnitude of variables. Quantitative analysis is used to test the relationship between variables.

When gathering data, quantitative analysis will need big number of respondents and asked question in closed question. Mostly, survey and multiple choices questions will be used in this analysis. Graphs and statistical analysis will be used to explain the finding of the analysis.

Qualitative analysis is done to understand concepts and ideas. This analysis usually held to gather in-depth ideas of a topic. Qualitative analysis tends to be ongoing and iterative. Qualitative analysis is largely inductive.

When gathering data, qualitative analysis will spend more time to a smaller number of respondents than quantitative analysis. Summarizing, categorizing, and interpreting are the main steps in doing qualitative analysis. Open ended question will be used to get in-depth insight of the respondents. The data gathering could be done by interviewing or group discussion.

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