Nielsen ratings are not one of the 4 major techniques advertisers use to target ads based on their behavior.
What exactly do users mean by "advertisers"?
A person or corporation that pays for an product, occasion, or job to also be heavily advertised, in a daily paper, on tv news, or on poster is known as an advertiser. 2. a noun used in names Some local newspapers use the term "advertiser" in their title. A company, institution, or individual who pays for advertising time or space to present a convincing advertisement as well as message to a public is known as an advertiser.
What kinds of advertisers are there?
There are three main types of internet ads available to you:
Display advertising, paid search advertising, and social media advertising are all options.
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the introduction of quantity discounts will cause the optimum order quantity to be: multiple choice greater. smaller or unchanged. smaller. unchanged. unchanged or greater.
The introduction of quantity discounts will cause the optimum order quantity to be unchanged or greater.
What is discount?
When a security is selling for less than its inherent or basic worth, it is said to be trading at a discount in the world of finance and investment.
When a bond's price is trading below its par value, or face value, in the fixed-income market, a discount is present. The extent of the discount is equal to the difference between the price paid for a security and its par value. Bonds may trade at a discount for a variety of reasons, such as rising interest rates, problems with the underlying company's credit, or riskiness when compared to comparable bonds.
The discount rate, an interest rate used to calculate the time worth of money, should not be confused with a discount.
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at a minimum, what do most company policies require that employers have in order to initiate an investigation?
Most company policies require that employers have in order to initiate an investigation at Reasonable suspicion that a law or policy is being violated.
Initiate investigation- A review of internal and external case files, phone conversations or in-person interactions with the alleged victim and the victim's family are just a few of the activities that may be used to kick off an inquiry.
An inquiry must be opened in response to a specific incident with a specific offender, or "case," as opposed to "situation." The only objective of a case's preliminary inquiry is to gather data that will allow decision-makers to determine whether it is reasonable to start an investigation.
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on monday, a manager's operation generated revenue of $1,200. the manager served 100 guests, used 25 total hours of labor, and had a labor cost of $300. what were the manager's sales per labor hour on monday? a. $54.00 b. $52.00 c. $50.00 d. $48.00
The manager's sales per labor hour on Monday was $48.
What are sales?Sales are activities involved in selling or the quantity of products that are sold within a specified time frame. The sale is often executed by the seller rather than the buyer, and it is sometimes done before the buyer needs to make a payment. In the case of an indirect interaction, a person who sells products or services on behalf of the owner is referred to as a salesman, saleswoman, or salesperson. However, this frequently refers to a person who sells products in a store or shop, in which case other terms are also frequently used, such as salesclerk, shop assistant, and retail clerk. Since most jurisdictions in the United States have accepted Article 2 of the Uniform Commercial Code, there is a degree of uniformity in the laws governing the sale of products, despite certain non-uniform variances.
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the study also explains the difference between traditional and digital marketing.
Traditional Marketing is not cost-effective. Digital Marketing is more cost-effective-promoting. It is not so good for Brand building.
What exactly does marketing mean?For the purpose of generating, conveying, delivering, and trading offerings that are valuable to customers, clients, partners, and society at large, marketing refers to a variety of activities, institutions, and procedures.
The importance of marketingThe benefit of marketing to your company is that it informs consumers about your goods and services, engages them, and influences their decision to purchase. A marketing strategy, which should be a component of your business plan, can also aid with demand creation and maintenance as well as relevancy, reputation management, and competitiveness.
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which would not cause gdp to rise? group of answer choices between 1970 and 2000 the number of americans in prison nearly quadrupled, causing government to increase its funding for prisons minimum wage rises from $7.25 to $8.25 a stock market boom in the past decade more people are hiring maids to do the work they used to do themselves
If the minimum wage rises from $7.25 to $8.25, the cost of hiring will rise, unemployment will rise, and consumption will fall. Therefore, it does not lead to an increase in GDP.
GDP rises when:
An growth in real GDP is often regarded as an indication that the economy is doing well because it occurs when the total value of goods and services sold by domestic producers to foreign countries exceeds the total value of foreign goods and services purchased by domestic consumers. With more workers needed for industries and more money in people's pockets, employment is expected to rise while real GDP is expanding rapidly.
What increases real GDP?Real GDP is a measure of a nation's annual economic production that takes inflation into account. The spending approach is used to measure the U.S. GDP, which is then calculated using the formula GDP = C + G + I + NX.
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under the single audit act, the auditor must apply procedures to test for compliance and test the effectiveness of controls for:
Under the single audit act, the auditor must apply procedures to test for compliance and test the effectiveness of controls for: Major Programs Non-Major Programs.
What is auditor ?An auditor refer to an individual hired by a company to conduct an audit of its financial statements. To practice as a certified public accountant, one must be licensed by the Auditing and Auditing Regulatory Authority or obtain specific qualifications. The role of the auditor or investigator is to provide a professional and independent opinion on these financial statements. An audit or audit of the association's financial statements can ensure greater accountability to members and ensure that all funds received by the organization are properly accounted for. Audits are mainly of her three types: External Audits, Internal Audits, and Internal Revenue Service (IRS) Audits. External audits are typically conducted by a Certified Public Accountant (CPA) firm and produce an audit report included in the audit report.To learn more about auditor from the given link :
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Pressure in a liquid depends on the __________.
A) depth of the measuring point.
B) volume of the liquid.
C) mass of the liquid.
D) density of the liquid.
E) both A and D
Pressure in a liquid depends on option E) both A) the depth of the measuring point and D) the density of the liquid.
The physical force applied to an object is referred to as pressure. Per unit area, a perpendicular force is delivered to the surface of the objects. F/A is the fundamental formula for pressure (Force per unit area). Pascals are a unit of pressure (Pa).
The density and depth of a liquid determine the pressure it applies to the container's bottom and sides. At various depths, a liquid has a variable pressure. As the depth deepens, pressure rises. The weight of the water column above contributes to the pressure in a liquid. This pressure works in all directions because a liquid's particles are closely packed.
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discuss the effect on an instrument of: (a) contradictory amounts between the numerals and amount written in words on a check; (b) the interest rate left blank on a promissory note; and (c) contradictory terms that are typed or printed onto a promissory note and terms that are handwritten.
Each time a take a look at contradictory amounts, it is excellent to apply a one-of-a-kind check. It might be a non-issue if you use the check as written, however, it is no longer worth managing disputes and delays.
You need to notify the bank of the error as quickly as feasible. If they take look becomes altered, the bank may additionally require you to finish a testimony to officially report the hassle. If this became an encoding error, the financial institution must correct the account and notify the paying bank.
It's easy to jot down a check for more money than you have in your financial institution account, but doing so has effects. you'll possibly pay charges, and you can lose the capacity to write checks in the destiny and get into the legal hassle. To keep away from problems, monitor your financial institution account carefully and use strategies to keep away from bounced tests.
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which government agency is placed in charge of prohibiting false and misleading
The FTC is primarily responsible for establishing whether a particular piece of advertising is fraudulent or deceptive and for prosecuting the sponsors of such content. The FTC accepts reports of consumer fraud.
What method has the Supreme Court used to extend some clauses of the Bill of Rights to shield citizens against state government actions?Through the Due Process clause of the Fourteenth Amendment, certain provisions of the first ten amendments of the United States Constitution, also known as the Bill of Rights, are made applicable to the states under the incorporation concept. Both administratively and substantively, incorporation is applicable.
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Suppose the required reserve ratio is 20%. If banks are conservative and choose not to loan all of their excess reserves, the real-world deposit multiplier is
The deposit multiplier will be less than 5 if the bank decides not to loan out all that the reserve requirements would permit.
What is required reserve ratio?
The percentage of deposits that a commercial bank must retain in reserve is known as the required reserve ratio. Money that is being held in reserve cannot be borrowed or invested. The reserve requirement and reserve deposit ratio are other names for the needed reserve ratio. All American commercial banks' required reserve ratios must be established by the Federal Reserve. The statutory reserve ratio aids in ensuring that commercial banks have sufficient reserves to satisfy obligations and consumer withdrawals. Additionally, it encourages a reliable banking system.
One of the various tools the Federal Reserve employs to carry out monetary policy is the required reserve ratio. The necessary reserve ratio is a tool that the Federal Reserve can use to affect the money supply and interest rates. The required reserve ratio may be lowered by the Federal Reserve in order to expand the money supply. As a result, the money supply would expand and commercial banks would be able to loan out more money. The required reserve ratio can be increased by the Federal Reserve in order to reduce the amount of money in circulation. As a result, commercial banks would be able to lend out less money, which would lead to a fall in the money supply.
The amount lent out if the bank lends the maximum amount that a reserve ratio will permit is:
Multiplier= [tex]1/0.20=5\\[/tex]
The deposit multiplier will be less than 5 if the bank decides not to loan out all that the reserve requirements would permit.
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assume that a property's cam expense is $30,000 per year and 60.0% fixed. the occupancy of the property is 70.0% and reimbursable expenses are grossed up to 100.0% what is the operating expense amount that will appear
The operating expense amount that will appear is $30,000.
Common Area Maintenance (CAM) expenses are fees paid by tenants to landlords to assist cowl prices related to overhead and operational expenses for common areas. CAM expenses are the price that a property owner pays to control and run an advert property. It stands for common space maintenance and is sometimes interchangeable with the term operational expenses.
A reimbursable expense is an expense that a business incurs on behalf of the client whereas conducting their business. These expenses could embrace travel, delivery fees, currency conversion fees, workplace expenses, and business phone calls.
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a 10 year bond with a par value of 100,000 and semi-annual coupons 2500 is bought at a discount to yield 6% convertible semi-annually. (a) calculate the book value immediately after the 5th coupon. (b) calculate the flat price 4 months after the 5th coupon using the theoret- ical method. (c) calculate the accrued coupon 4 months after the 5th coupon using the theoretical method. (d) calculate the market price 4 months after the 5th coupon using the the- oretical method. (e) calculate (b)-(d) using the practical method. (f) calculate (b)-(d) using the semi-theoretical method
Book value after the 9th coupon payment = 23,139.80.
Present value of a bond
= Semi-annual coupon * for 20 periods at 3%
= 2500 * 14.88 = 37200
Amortization Schedule
No opening balance interest at 3% Coupon paid the closing balance
1 37200.00 1116.00 2500.00 35816.00
2 35816.00 1074.48 2500.00 34390.48
3 34390.48 1031.71 2500.00 32922.19
4 32922.19 987.67 2500.00 31409.86
5 31409.86 942.30 2500.00 29852.16
6 29852.16 895.56 2500.00 28247.72
7 28247.72 847.43 2500.00 26595.15
8 26595.15 797.85 2500.00 24893.01
9 24893.01 746.79 2500.00 23139.80
Book value after 9th coupon payment = 23,139.80
A stock market, fairness market, or share market is the aggregation of consumers and dealers of shares, which represent possession claims on businesses; these may include securities listed on a public stock.
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bishan is risk averse. this means he would consider only one of the following options, immediately rejecting all of the others. which one would bishan consider? a 50% chance of a 20% return and a 50% chance of a 20% loss a 40% chance of a 20% return and a 60% chance of a 10% loss a 40% chance of a 20% return and a 60% chance of a 15% loss a 50% chance of a 20% return and a 50% chance of a 30% loss
Bishan has a 40% chance of a 20% return and a 60% chance of a 10% loss.
What is risk averse?
Risk aversion is the tendency to avoid danger. A risk-averse investor is one who prioritizes money preservation over the potential for a higher-than-average return. Price volatility and investment risk are the same. A hazardous investment has the potential to increase your capital by two or three times. A conservative investment will grow gradually and steadily over time.
Greater stability results from fewer threats. A low-risk investment almost eliminates the potential of losing any of the initial investment and guarantees a solid but unspectacular return. Over time, a low-risk investment will frequently produce a return that is equal to or just over inflation. A high-risk investment can result in significant gains or losses.
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which principle of operational excellence refers to ongoing improvement of the operations based on the experience of front line employees?
Total Quality Management (TQM) is an operational excellence management strategy that actively engages all staff members in ongoing improvement.
What is Total Quality Management (TQM)?Total quality management's (TQM) objective is to "create and sustain a culture where employees continuously enhance their capacity to deliver on-demand goods and services that customers will find to be extremely advantageous." "Management" emphasizes that executives must actively manage quality through budgeting, hiring, setting objectives, and training. "Total" emphasizes that departments other than production (such as sales and marketing, accounting and finance, engineering and design), are also required to improve their operations. Although there isn't a method that is universally accepted, TQM initiatives frequently rely significantly on the tools and methods of quality control that have already been created. Before being eclipsed by ISO 9000, Lean manufacturing, and Six Sigma, TQM attracted considerable attention in the late 1980s and early 1990s.
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Moretown, Inc. had the following transactions in 2017, its first year of operations:
1. Issued 35,000 shares of common stock. Stock has par value of $1.00 per share and was issued at $23.00per share.
2. Earned net income of $75,000.
3. Paid no dividends.
At the end of 2017, what is total stockholders' equity?
A. $880,000
B. $35,000
C. $805,000
D. $ 75,000
Moretown, Inc. had the following transactions in 2017, its first year of operations at the end of 2017 $880,000 would be the total stockholder's equity.
Total Stock holder's equity = (35,000*$23) + $75,000
Total Stock holder's equity = $805,000 + $75,000 = $880,000
Equity held by stockholders refers to the sum that a company's founders have contributed to the enterprise. This includes both the money they have directly invested and all of the earnings the company has made and reinvested since it was founded.
Equity is distinct from shareholders' equity. While the term "equity" usually refers to a public company's ownership, "shareholders' equity" refers to the difference between a company's total assets and total liabilities as shown on its balance sheet.
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poppy's gumball co. is planning to invest in a new marketing campaign that requires an initial investment of $85,000. the project is expected to generate net income of $27,200 and net cash flow of $40,000 per year. the accounting rate of return on the project is
The accounting rate of return on the project is 1.26%.
An initial investment is that the beginning quantity of cash that it takes to either open an account or establish a buy-in relationship. The term “initial investment” is primarily utilized in 2 distinct however connected sectors: banking and future investment brokering.
Net income (NI), additionally known as web earnings, is calculated as sales minus value of products sold , selling, general and body expenses, in operation expenses, depreciation, interest, taxes, and alternative expenses. it's a helpful variety for investors to assess what quantity revenue exceeds the expenses of a company.
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the balance sheet for crutcher corporation reported 200,000 shares outstanding, 300,000 shares authorized, and 20,000 shares in treasury stock. compute the maximum number of new shares that crutcher could issue.
Answer:
20,000 shares in treasury stock.
Explanation:
assume you are the marketing director for a health food manufacturer specializing in gluten-free baked goods. you have been charged with gathering market intelligence for your company and so you decide to look at the clickstream data. your boss discovers what you are doing and becomes very upset. why?
There have been reports throughout the years that ISPs are selling user clickstream data to other businesses. The majority of customers automatically perceive this as a privacy invasion. Additionally, the corporation might suffer financial losses as a result of this, endangering its brand.
What exactly is Clickstream?Every time a user clicks on a link, an image, or any object on the website, the information is logged and saved and is known as a "clickstream." While it is possible to learn about a single person's habits, it is more beneficial to record thousands of clickstreams and analyze the patterns and preferences of your users.
Both a user's personal web browser and the server that hosts a website have the ability to store clickstreams. Additionally, clickstream data can be recorded and stored by internet service providers and online advertising networks.
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suppose a commercial banking system has $100,000 of checkable deposits and actual total reserves of $35,o00. if the reserve ratio is 20%, the banking system can potentially expand the money supply by the maximum amount of:
The banking system may be able to increase the money supply by up to 75,000.
What causes the money supply to grow?Each dollar placed into an account results in an increase in the overall amount of reserves maintained by a bank. While retaining part of the required reserves on hand, the bank will give out just the additional reserves. When such a loan is made, the financial sector is boosted. Banks "generate" money in this way to expand the available supply.
Briefing:
Actual reserves less necessary reserves equal 35000 - (0.20 * 100000) = 15000.
Expanding the money supply is calculated as 15000 divided by 0.20 equals 75000.
When you think about that, banks have a big impact on a lot of our daily activities. We open savings accounts, request for loans, and deposit our paychecks at banks. So what do banks actually do. In order to find solutions to these issues, let's first look into the many bank types that comprise a banking system.
A network or collection of businesses that provide us with financial services is known as a banking system. These agencies are in charge of managing the financial system, providing investment advice, and disbursing loans and deposits.
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An account that is not closed at the end of the period is called a(n) temporary account expense account revenue account permanent account /1 pts
The correct answer is Revenue and Expenses accounts are closed to income summary. Income summary is a temporary account which will be closed to retained earnings.
Accounts that remain open at the conclusion of your accounting cycle are known as permanent accounts. You carry over the balances of your permanent accounts from period to period rather than making closing entries. Permanent accounts will essentially always have a cumulative balance that will continue over. A general ledger account that has a zero balance at the start of each accounting year is referred to as a temporary account. The money is then transferred to another account at the end of the year to eliminate the account's balance. Closing entries does this. Nominal accounts is another name for temporary accounts.
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partners a, b, and c share profits and losses equally and have capital balances of $20,000, $25,000, and $35,000 respectively. partner a withdraws from the partnership by selling her interest to partner b for $32,000 in a private transaction. what is the new capital balance of partner b in the partnership books after the withdrawal of partner a.
The new capital balance of partner b in the partnership books after the withdrawal of the partner.
In macroeconomics and international finance, capital accounts, also called capital and financial accounts, record the net flow of investment transactions into the economy. It is one of the two main components of the balance of payments, the other being the current account balance.
Equity Balance means, in relation to each Mortgage Loan, at any time, the principal balance of a Mortgage Loan to which Seller applies the relevant interest rate applicable to each Mortgage Loan.
Capital account balance = net non-produced asset surplus or deficit + non-financial assets + net asset transfers. Financial balance = net direct investment + net portfolio investment + asset lending + errors and omissions.
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A monopolistically competitive firm's choice of output level is virtually identical to the choice made by
The production level that a firm with monopolistically competitive behavior chooses is almost comparable to that of a monopolist. A monopolistically competitive corporation... choose its quantity & pricing, exactly as a monopoly does, to maximize its profit.
Monopolistic competition is a sort of imperfect competition when numerous manufacturers compete with one another yet sell various items that are not exact substitutes for one another. In monopolistic competition, a corporation accepts the prices set by its competitors as given and pays no attention to how its own prices affect those of its rivals. Monopolistic competition will turn into a government-granted monopoly if this occurs in the face of a coercive government. In contrast to ideal competition, the business keeps extra capacity. Industry models frequently adopt monopolistic competition models. Restaurants, cereals, apparel, shoes, and service sectors in big cities are a few examples of industries with market systems resembling monopolistic rivalry from textbooks.
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Question 1 / 11 Owner distribution is a(n) account. O iability O asset O expense O equity
Owner distribution is Equity account. Owner distribution is an equity account as it is capital in nature and comes under equity head.
The financial representation of a company's ownership is represented by equity accounts. Equity can be obtained from residual earnings or payments made to a business by its owners. Equity is held in a variety of accounts because of the various sources of equity funds.
Natural credit balances exist in all equity accounts, with the exception of the Treasury Stock Account. If the retained earnings account has a debit balance, it means that the company has either been losing money or has paid out more dividends than it had in retained earnings. Corporations frequently make use of the following equity accounts-
Common StockPreferred StockAdditional Paid-In CapitalRetained EarningsTreasury StockTo know more about equity account visit
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the rx drug company has just purchased a capsuling machine for $85,000. the plant engineer estimates the machine has a useful life of 5 years and no salvage value. compute the depreciation at the end of year 4 using double declining balance (ddb) depreciation.
A method for calculating accelerated depreciation used in business accounting is the double-declining balance (DDB) method. Particularly, the DDB technique depreciates assets twice as quickly as the conventional declining balance method.
In the given question,
Cost of machine = $85,000
Useful Life = 5 years
Salvage Value = 0
According to straight line depreciation method,
Depreciation = (Cost of the Machine - Salvage Value)/
Useful Life
= (76000 - 0)/5
= $15,200
Therefore, We know that, according to double declining method of Depreciation,
Depreciation rate (calculate with the use of SLM depreciation)
= Annual depreciation as SLM/Cost of the Machine after
adjustment for Salvage value
= 15200/76000 = 20%
Also,
Depreciation rate as per double declining method = 20%*2
= 40%
Now,
Depreciation (Year 1) = 76000*.40
= 30400
Depreciation (Year 2) = (76000 - 30400)*.40
= 18240
Depreciation (Year 3) = (76000 - 30400 - 18240)*.40
= 10944
Depreciation (Year 4) = (76000 - 30400 - 18240 - 10944)*.40
= 6566.40
Depreciation (Year 5) = 76000 - 30400 - 18240 - 10944 - 6566.40
= 9849.60
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A method for calculating accelerated depreciation used in business accounting is the double-declining balance (DDB) method. Particularly, the DDB technique depreciates assets twice as quickly as the conventional declining balance method.
In the given question,
Cost of machine = $85,000
Useful Life = 5 years
Salvage Value = 0
According to straight line depreciation method,
Depreciation = (Cost of the Machine - Salvage Value)/
Useful Life
= (76000 - 0)/5
= $15,200
Therefore, We know that, according to double declining method of Depreciation,
Depreciation rate (calculate with the use of SLM depreciation)
= Annual depreciation as SLM/Cost of the Machine after
adjustment for Salvage value
= 15200/76000 = 20%
Also,
Depreciation rate as per double declining method = 20%*2
= 40%
Now,
Depreciation (Year 1) = 76000*.40
= 30400
Depreciation (Year 2) = (76000 - 30400)*.40
= 18240
Depreciation (Year 3) = (76000 - 30400 - 18240)*.40
= 10944
Depreciation (Year 4) = (76000 - 30400 - 18240 - 10944)*.40
= 6566.40
Depreciation (Year 5) = 76000 - 30400 - 18240 - 10944 - 6566.40
= 9849.60
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the prime rate is select an answer and submit. for keyboard navigation, use the up/down arrow keys to select an answer. a the rate that they fed pays when it borrows money from the us treasury. b the overnight lending rate that they fed charges a member bank. c the rate that banks charge their most preferred customers. d none of the above.
The Prime Rate is the interest charge that banks use as a basis to set charges for unique sorts of loans, deposit cards and traces of credit.
Certain loan rates, like variable price mortgages, domestic equity loans and domestic equity lines of credit, may also additionally be affected by the published rate.
How do you locate the prime rate?Traditionally, the top price is equal to the Federal Funds Target Rate plus 3%. So, if the contemporary fed dollars fee is 1.00%, then the prime charge is 4.00%.
Why is it referred to as high rate?The top pastime rate, also recognised as the “prime rate,” is the interest price business banks charge their most credit-worthy business customers. It is a baseline price upon which all floating fee loans are negotiated (for example, top + 3%). The top fee is set through monetary institutions in a competitive fashion.
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https://brainly.com/question/1420581#SPJ4a firm practices a chase strategy. production last quarter was 800. demand over the next four quarters is estimated to be 1000, 1000, 800, and 700. hiring cost is $25 per unit, and layoff cost is $15 per unit. over the next year, what will be the sum of hiring and layoff costs?
Costs associated with recruiting and firing total 7,500.
Describe the Chase Strategy.One tactic businesses employ to keep inventories at a constant level while meeting demand is the chase strategy. Because the chase method alters production to satisfy demand, it is occasionally referred to as demand matching.
Benefits
(A) Lower inventory levels are the primary advantages of a chasing strategy (free capital resources).
Reduced carrying costs are (B).
Example
When you order meals at a restaurant, the staff often makes the order by drawing supplies from a "stable inventory" level, or in other words, "chasing the demand."
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how do leagues support franchise relocation rules that clearly restrain the ability of their teams to move to other cities?
The leagues contend that these regulations safeguard both the league's overall product and individual owners from financial losses brought on by the relocation of a rival team.
It typically occurs between municipalities within the same conurbation when a team owner moves a professional sports team, though it can occasionally occur between separate metropolitan areas. The strategy is most common in North America, where a league franchise system is used and teams are primarily privately owned. North America lacks complete governing bodies whose power spans from the amateur to the highest levels of a given sport, in contrast to the bulk of professional sport systems globally. Owners who move a team frequently do so in quest of increased revenue, better facilities, stronger fan support, or a combination of these factors. In North American sports, the promotion and relegation system, where underperforming teams are replaced with teams who perform well in lower-level divisions, is not frequently implemented.
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You own a restaurant. You
have a beginning balance of
$2,500, $57,250 in total cash
sales, $5,300 for utilities,
$7,500 in loan payments, and
$3,200 for marketing costs.
What is your ending cash
balance for the year?
Answer:
43,750
Explanation:
2,500+57,250= 59,750 in total cash. $5,300 + 7500+3200= 16,000 in total cost. Lauren's ending cash balance is 43,750 because $59,750-1600= 43,750.
At this point I'm doing your homework for you
one of the potential deals to bail out lehman brothers was for a merger with barclays and lehman brothers non-real estate holdings. what was the proposed solution for dealing with the real estate assets owned by lehman brothers?
The stock market dropped dramatically.
Why did Lehman Brothers collapse?Incorporated in the United States in 1847, Lehman Brothers Holding Company provides international financial services. Global financial organization Lehman Brothers offered brokerage, trading, investment banking, and other services. In terms of size, it was the fourth-largest commercial bank in the country. One of the turning points in the 2008 financial crisis, its failure is seen as worsening the catastrophe.
The subprime lending crisis reached its peak on September 15, 2008, with Lehman Brothers' collapse. The Federal Reserve called a number of to discuss financing for the financial services company's restructuring after the firm was informed of an impending rating downgrading because of its significant holdings in subprime mortgages.
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the electricity expense for a firm was budgeted as $2,100 but observed figures showed that the establishment spent $3,000 as an electricity expense. calculate the relative variance of the electricity expense for this firm by indicating the variance condition (favorable or unfavorable). group of answer choices 42.86% (u) 42.00% (u) 42.86% (f) 41.13% (f)
The relative variance of the electricity expense for this firm by indicating the variance condition is 42.86% option b.
Budgeted electricity expense- $2100
Actually spent- $3000
Change in electricity expenses= $900
$900 spent more than the budget (unfavorable) percentage of variance is
= $900/2100×100
= 42.86%
Variance condition- A conditional variance is the variance of a random variable determined by the value of one or more other variables in probability theory and statistics. The conditional variance is often referred to as the scedastic function or skedastic function, particularly in econometrics.
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