The six instruments of monetary policy are the reverse repo rate, the reverse repo rate, open market operations, the bank rate policy (discount rate), the cash reserve ratio (CRR), and the statutory liquidity ratio (SLR).
Which tool for monetary policy is the most crucial?Operations in the open market A monetary policy uses a variety of tools, including open market operations, requirements for bank reserves, and the discount rate, to accomplish macroeconomic objectives.
What are the goals of financial instruments?The Fed utilises monetary policy tools to promote economic growth while regulating the availability of money and total demand for goods and services. By influencing the amount of money available to consumers, businesses, and banks, monetary policy instruments can regulate the overall amount of money in circulation.
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brayden receives some utility from consuming a bottle of store-brand soda, an inferior good. however, he would much rather purchase a name-brand soda, a normal good, if he could afford it. since a bottle of store-brand soda is an inferior good, how would an increase in its price affect the quantity brayden demands?
According to the given statement, Income effect affect the quantity of Brayden demands.
What does the term "income effect" mean?In microeconomics, the income effect is the subsequent shift in demand for a product or service brought on by an increase or reduction in a consumer's actual income or purchasing power. The income impact predicts that people would start to demand more as their income rises (and vice-versa).
What effect does the law of income have?According to the income effect, when a good's price drops, it is as though the buyer's income increased. According to the substitution effect, when a good's price drops, consumers will switch from buying comparably more costly goods to buying cheaper goods.
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a firm's preferred stock pays an annual dividend of $4, and the stock sells for $71. flotation costs for new issuances of preferred stock are 4% of the stock value. what is the after-tax cost of preferred stock if the firm's tax rate is 33%?
The after tax cost of the preferred stock would be 5.86%
How does this occur?
The declared yearly dividend amount paid on each share of preferred stock, divided by the stock's current market value, represents the cost of preferred stock. The cost of preferred stock is always greater than the cost of debt because interest payments on debt are tax deductible while dividends are not.After tax cost of preferred stock = Dividend / (Stock Price * (1 - Flotation Cost)
After tax cost of preferred stock = 4 / (71 * (1 - 4%)
After tax cost of preferred stock = 4 / 68.16
After tax cost of preferred stock = 5.86%
* Tax doesn't effect the Cost of preferred stock
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What do changes in Real GDP reflect?
GDP is significant because it provides data on the size and performance of an economy. The rate of growth in real GDP is frequently utilized as a marker of the economy as a whole.
What does GDP stand for?
GDP, which stands for the gross domestic product, is one of the most common. It is frequently cited in newspaper articles, on television, and in government, central bank, and business reports. It is now widely utilized as a barometer of the wellbeing of national and international economies.
What is a simple example of GDP?
For example, if Country B produced 5 bananas worth $1 each and 5 backrubs worth $6 each in one year, the GDP would've been $35.
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a supplier has received an order from one of its customers. the supplier must complete an order of 750 items in a daytime shift that is 10 hours long. the cycle time for this process is 45 seconds. without changing the current production methods, will the supplier be able to meet the customer's demands?
Equilibrium is the factor where demand for a product equals the quantity supplied. This skill that there is no surplus and no scarcity of goods.
Why is time vital to suppliers to meet demand?Reducing production time lets in agencies to amplify manufacturing in the course of periods of high demand. Quicker manufacturing can amplify sales, consumer satisfaction, and the company's bottom line. Efficient inventory administration is essential to hold manufacturing schedules and meet patron demand.
Demand forecasting supports dependable supply selections primarily based on estimated future income and revenue. Areas of focal point include: Objective setting: Make sure your goal satisfies your product marketing, monetary planning, operations and logistics teams — and be specific.
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https://brainly.com/question/1245771#SPJ4at december 31, amy jo's appliances had account balances in accounts receivable of $330,000 and in allowance for uncollectible accounts of $1,120 (debit) before adjustment. an analysis of amy jo's december 31 accounts receivable suggests that the allowance for uncollectible accounts should be 3% of accounts receivable. bad debt expense for the year should be:
An analysis of amy jo's December 31 accounts receivable suggests that the allowance for uncollectible accounts should be 3% of accounts receivable. bad debt expense for the year should be $7,190.
Response Feedback: ($311,000 × 2%) + $970 = $7,190.
A debt fee is identified when a receivable is not collectible because a purchaser is not able to satisfy their responsibility to pay a superb debt because of financial ruin or different monetary problems. To document the awful debt costs, you have to debit awful debt fees and a credit allowance for dubious money owed. With the write-off method, there may be no contra-asset account to record bad debt costs. consequently, the complete stability in accounts receivable can be stated as a contemporary asset at the balance sheet. bad debt rate is a fee that a commercial enterprise incurs once the reimbursement of a credit score formerly extended to a consumer is predicted to be uncollectible. An allowance for dubious bills is a contra-asset account that reduces the entire receivables mentioned to reflect most effectively the amounts expected to be paid.
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which of the following is true of negotiation? a. all parties will feel like they lost. b. its simplest form is negotiations between labor unions and the management of a firm. c. it is used when agreement must be reached. d. it takes place between parties who have the same preferences regarding an issue. e. it is a process that is limited to two parties.
Its simplest form is negotiations between labor unions and the management of a firm.
Negotiation is a talk between or extra people or events to attain the favored final results regarding one or greater problems of battle. it's miles an interplay among entities who aspire to agree on subjects of mutual interest.[1] The settlement may be useful for all or some of the parties involved. The negotiators need to establish their personal needs and wants even as also looking for to understand the wants and needs of others worried to boom their chances of last deals, keeping off conflicts, forming relationships with different events, or maximizing mutual gains.[1]
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All of the following are characteristics of cooperative federalism EXCEPT
O National and state agencies typically undertake government functions jointly rather than exclusively
O Decision-making power is distributed across multiple entities and at multiple levels of government.
O Multiple levels of government providing similar services can sometimes be confusing to citizens. 5 8
O The functions and responsibilities of the national and state governments are clearly separate.
O The nation and states outinely share power.
d. The functions and responsibilities of the national and state governments are clearly separate..
All the given options are characterstics of cooperative federalism except the functions and responsibilities of the national and state governments are clearly seperate Because under cooperative federalism, there is horizontal relationship between union and States
Because national and state agencies typically undertake government functions jointly rather than exclusively, decision making power is distributed across multiple entities and at multiple levels of government are the features of cooperative federalism.
Cooperative federalism, also known as marble-cake federalism, is defined as a flexible relationship between the federal and state governments in which both work together on a variety of issues and programs.
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review the currency pair charts for the barbadian dollar against the jamaican dollar, the Czech koruna against the Polish zloty, the Nigerian naira against the Ghanaian cedi, and the Hong kong dollar against the Macanese pataca. Which pair is pegged?
a) The Barbadian dollar against the Jamaican dollar
b) The Czech koruna against the Polish zloty
c) The Nigerian naira against the Ghanaian cedi
d) The Hong kong dollar against the Macanese pataca
The Macanese pataca and the Hong Kong dollar are pegged. The right response, in this case, is option D.
On the chart, pegged currencies remain stationary. The last figure shows that the coins vary within a relatively small range. On each side of the middle line, there is minimal variation and they remain constant.
Contrary to other currencies, the pataca is not governed by a central bank. Instead, it is run by two commercial banks, the Bank of China and Banco Nacional Ultramarino. The exchange rate is maintained at 1.03 Macanese patacas for every Hong Kong dollar (HKD).
The de facto central bank, the Hong Kong Monetary Authority, is mandated to maintain currency trading between HK$7.75 and HK$7.85 per US dollar. Since its establishment in 2005, the present band has never been altered.
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the risk free rate and the expected market rate of return are 0.056 and 0.125, respectively. according to the capital asset pricing model (capm), the expected rate of return on a security with a beta of 1.25 is equal to
The risk-free rate and the expected market rate of return are 0.056 and 0.125, respectively. According to the capital asset pricing model (CAPM), the expected rate of return on a security with a beta of 1.25 is equal to 0.142.
The risk-free rate refers to the rate of return offered by a risk-free investment. Every investment asset needs to carry some level of risk, no matter how minor, so the risk-free rate is a purely theoretical concept. In practise, it is regarded as the interest rate on short-term government debt.
The expected return is indeed the amount of money an investor anticipates to earn on an investment based on the investment's historical return as well as expected rates of return under different scenarios. The annual return rates of a major indexes provide a reasonable estimate of future market performance for investors who do not employ a portfolio manager to obtain this historical data.
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Which of the following activities at a commercial bank is NOT an operations activity?
a.) auditing
b.) check clearing
c.) security
d.) maintenance
In a Central bank, auditing is an activities that is not an operations activity. The Option A is correct.
What role do Central banks plays?The central bank is mainly described as "lender of last resort", that is, it is responsible for providing its nation's economy with funds when commercial banks cannot cover a supply shortage.
Also, the Central banks are responsible for overseeing the monetary system for a nation (or group of nations), along with a wide range of other responsibilities, from overseeing monetary policy to implementing specific goals such as currency stability, low inflation, and full employment.
In current economies, to ensure stability of a country's currency, the central bank should be the regulator and authority in the banking and monetary systems.
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what is your company's strategy for exercising social responsibility and being a good corporate citizen? would your company pursue a corporate social responsibility strategy if there was no payoff in the form of a higher image rating? why or why not?
CSR strategy is the comprehensive plan companies and funders use to design, execute, and analyze their corporate social responsibility initiatives. It includes specific focus areas, program design, promotion and communication approaches, and evaluation procedures.
Good corporate citizen:Being a good corporate citizen involves upholding high moral and ethical standards in all of your dealings with clients, shareholders, and staff. That entails always taking into account the environmental impact of business operations and carefully balancing the requirements of shareholders with those of the community.
Why Is CSR Important:Several fields have seen an impact from the CSR movement. As an illustration, numerous businesses have implemented strategies to increase the environmental sustainability of their operations, such as adding renewable energy sources or buying carbon offsets. As part of controlling supply chains, initiatives have been made to end the use of unethical labor practices like child labor and slavery.
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The marketers of a line of luxury watches should be most concerned with a prospective customer's:
A. Discretionary Income
B. Real Income
C. Selective Income
D. After-tax Income
E. Disposable Income
The following factors should be of the utmost importance to luxury watch line marketers: Disposable Income.
Disposable personal income is the term used in national accounts to describe personal income less personal current taxes. Disposable income is the amount of money that is still available after all taxes have been paid after personal savings and personal expenses have been subtracted. Rephrased, consumer spending plus savings = disposable income after deductions for things like payments for children's school-related costs or housing and care for aging parents. The marginal propensity to spend is the portion of a change in disposable income that is spent. For instance, if disposable income rises by $100 and $65 of that $100 is spent, the MPC is 65%. Restated, the marginal propensity to save is 35%.
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gupta industries received a $380,000 prepayment from packard associates for the sale of new equipment. gupta will bill packard an additional $108,000 upon delivery of the equipment. upon receipt of the $380,000 prepayment, how much should gupta recognize for a contract asset, a contract liability, and accounts receivable?
The amount of contract asset and the account receivable is zero
Received pre payment = $350,000
Additional billed amount = $105,000
An element's right to consideration in return for labor and products that the substance has moved to a client when that right is molded on some different option from the progression of time (for instance, the element's future presentation) is called Contract Asset.
So by considering the above information, the contract asset and the account receivable are zero while the contract liability is $350,000 because it is advanced from the customer so it would be treated as a current liability. Therefore, the amount of contract asset and the account receivable is zero
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What business practice is most helped by free trade practices?
• A. Standardization
O B. Preserving economic resources
• c. Increasing import revenues
• D. Competition
Competition is the business practice is most helped by free trade practices. Thus, option B is correct.
What is the Competition?A Competition is defined as any case in which two or more persons or organizations are attempting to attain, get, etc. the same item or to outperform one another
A Competition occurs when two or more parties compete for a common objective that cannot be shared: one's success is the other's loss. Entities such as persons, creatures, economic and social organizations, and so on can compete.
Therefore, option D is correct, that Free trade practices are most beneficial to competition in business.
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Which of the following is not a major cause of the Bullwhip Effect?
Product defects
Price fluctuations
Rationing and shortage gaming
Demand forecast updating
Order batching
Product defects cannot be considered as a major cause of the Bullwhip Effect. Therefore, the option A holds true.
The defects found in the products are the consequences of a condition, wherein the products may not function normally, or might have irregularities in its normal functioning. This may take place due to manufacturing errors, and other such external factors. The defects found in the products, however, are not a result of the Bullwhip Effect, which normally takes place. All the other factors mentioned above are the causes of this effect taking place.
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he circular flow model illustrates multiple choice how natural and other resources are created. the interdependence of businesses and consumers. the importance of having a central plan for the economy. how money is created by the banking system.
The interplay between two sets of economic decision-makers—households and businesses—as well as two different categories of economic markets—the market for resources and the market for products and services—is depicted by the circular flow model.
What is illustrated by the circular flow model quizlet?It demonstrates the flow of resources, goods, and money in a market economy.
What does an economics circular flow diagram mean?In an easy to understand economic model, the organization of an economy is represented by a circular flow diagram. Households, businesses, markets for inputs to production, as well as marketplaces for goods and services, are all shown in this diagram. both inputs and outputs are flowing.
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when anticipated raises and promotions are not forthcoming or the costs of being away from family and friends are greater than expected, what may occur? multiple choice question. greater returns on human capital reduced immigration major backflows increased immigration
Major backflows of increasing immigration occur when projected raises and promotions do not materialize or when the costs of being distant from family and friends are more than anticipated.
Tell us about immigration.Immigration refers to the transnational movement of people to a destination country where they are neither natives nor citizens in order to become permanent residents or naturalized citizens. Travelers who are only passing through, commuters, and other short-term visitors do not fall within the concept of immigration or migration, while seasonal labor immigration is occasionally covered.
Citizens, residents, non-immigrants, and undocumented persons are the four categories of immigration status that are recognized. Below is a list of each status' attributes. These individuals either acquired their citizenship by birth or a three- or five-year "naturalization" process.
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it is difficult for accountants to have a role beyond auditing the financial statements of governments and not-for-profits. true false
False. It is not difficult for accountants to have a role beyond auditing the financial statements of governments and not-for-profits.
What is accounting?
Accounting is the process of documenting a business's financial transactions. These transactions are collected, examined, and reported to oversight organisations, regulatory bodies, and tax collection organisations as part of the accounting process. A company's operations, financial condition, and cash flows are summarised in the financial statements that are used in accounting. They provide a succinct summary of financial transactions across an accounting period.
Accounting is a crucial task for decision-making, budgeting, and measuring economic success in any size of firm.
Cost accounting and managerial accounting are two crucial categories of accounting for firms. Cost accounting assists business owners in determining how much a product should cost, whereas managerial accounting assists management teams in making business decisions.
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which of the following activities comes second in the direct marketing process? a) record is added to database b) customer is assigned to a product, channel or profitability segment c) most appealing direct marketing campaign is designed to promote most
b) customer is assigned to a product, channel or profitability segment in direct marketing process.
A marketing tactic known as "direct marketing" involves communicating with or even distributing products directly to consumers. That indicates that no outside parties are involved in the process.
Email, mail, texts, social media, and direct calls are just a few of the frequent methods used in direct marketing.
The method is described as "direct" if there is no middleman present. In contrast to conventional marketing strategies, this one emphasizes on reaching out to potential or interested clients directly.
One of the most effective methods to increase sales is internet marketing, commonly referred to as digital marketing. Undoubtedly, the internet has a wider audience than any other direct marketing instrument. There are billions of internet users worldwide, and a company may reach the greatest number of users by using effective online marketing tactics.
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bartoletti fabrication corporation has a standard cost system in which it applies manufacturing overhead to products on the basis of standard machine-hours (mhs) at $9.70 per mh. the company had budgeted its fixed manufacturing overhead cost at $67,000 for the month. during the month, the actual total variable manufacturing overhead was $66,660 and the actual total fixed manufacturing overhead was $70,000. the actual level of activity for the period was 6,600 mhs. what was the total of the variable overhead rate and fixed manufacturing overhead budget variances for the month? garrison 17e rechecks 2021-12-03 multiple choice $2,640 unfavorable $2,640 favorable $5,640 unfavorable $5,640 favorable
Budget variations for fixed manufacturing overhead and variable overhead rate for the month total $5640, which is unfavorable.
Explain the mechanism of variable overhead rate and fixed manufacturing overhead budget?Actually realized variable overhead rate = [tex]\frac{Actual\\variable\\coverhead}{Actualhours}[/tex]=[tex]\frac{66660}{6600}= 10.1[/tex]
Variance from the budgeted standard variable overhead therefore = (Standard Overhead rate - Actual overhead rate) Realized Hours
= ($9.70 - $10.1) 6,600 = -$2640
Additionally, Fixed Overhead Variance is calculated as Standard Fixed Overhead - Actual Fixed Overhead = $67,000 - $70,000 = -$3,000
Budget variations for the month's variable overhead rate and fixed manufacturing overhead = -$2640 + -$3000 = -$5640
Since the variance's value is negative, it indicates that both variable and fixed expenses are being absorbed excessively, which makes it unfavorable.
Budget variations for fixed manufacturing overhead and variable overhead rate for the month total $5640, which is unfavorable.
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a business that provides custom toys and play furniture for individual consumers. jennifer does not make any products until she receives an order from the customer. what type of marketing strategy does this represent? group of answer choices pull strategy supply strategy supply strategy demand strategy forecast strategy
Pull strategy is the type of marketing strategy that does not make any products until received an order from the customer. (Option A)
What is meant by pull strategy?Increase the number of consumers who desire to purchase a specific product is the main goal of the pull marketing strategy. For a product to be stocked by stores, it frequently involves persuading a buyer to actively seek it out. Direct marketing campaigns are one way that pull marketing brands connect with their target audience.
To increase consumer demand for a good or service, a pull promotional strategy involves advertising. An illustration of a pull tactic is the promotion of kids' toys on kids' television programs.
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which of the following statements is false? question 16 options: marginal cost equals average total cost when the average total cost is at its minimum marginal cost equals average variable cost when the average variable cost is at its minimum marginal cost equals average fixed cost when the average fixed cost is at its minimum
The correct option is c) Marginal cost equals average fixed cost when the average fixed cost is at its minimum
Marginal cost intersects the average variable and average total cost at their minimum points.
What is marginal cost?The difference in overall cost caused by an increase in output, or the price of producing more, is known as the marginal cost. It may refer to a rise in the output of a single unit in some settings, but it may also refer to the rate of change of the total cost as output increases somewhat. The marginal cost is the slope of the total cost, or the rate at which it rises with output, and is measured in dollars per unit while total cost is shown to be in dollars. Marginal cost is the distinction between average cost, which is the total cost divided by the number of units produced.
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the cloud kicks online and intake form was recenlty updated to allow for new choices on some older picklist fields. the leads are all being created properly in salesforce but reps are getting errors as they try to work the leads.
what tool should the administrator use to evaluate what is causing the errors?
a.setup audit log
b. debud log
c. login history
d. record history
Recently, new options were added to several of the older picklist sections on the Cloud Kicks online lead intake form.
Which two actions can an administrator perform with case escalation rules?Under an escalation rule, the case may be moved to another support agent (user) or support queue (queue). An escalation rule has the ability to email the new assignee, the current case owner, and other recipients.
The timing and effects of the case's escalation are described in the escalation actions. Under an escalation rule, the case may be moved to another support agent (user) or support queue (queue). An escalation rule has the ability to email the new assignee, the current case owner, and other recipients.
Escalation criteria specify the circumstances in which a case escalates. Your requirements are stored in a rule entry.
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Which of the following are likely to increase measured GDP, and which are likely to reduce it? a. The fraction of women working outside the home increases. b. There is a sharp increase in the crime rate. c. Higher tax rates cause some people to hide more of the income they earn.
The following circumstances will either cause the GDP to rise or fall:
Rises: (A) The proportion of women who hold jobs outside the house increases.
Reduced: (C) As a result of rising tax rates, some persons conceal more of their income.
What is GDP?The market worth of all final products and services produced and sold (not resold) in a certain time period by countries is measured in dollars using the term "gross domestic product" (GDP).
To try comparing the standard of living between countries, using a basis of GDP per capita at purchasing power parity (PPP) may be more useful, whereas nominal GDP is more useful when comparing national economies on the global market.
GDP (present value) per capita does not, however, reflect differences in the price of living and the inflation of the countries.
So, the situation which will increase and decrease the GDP is:
Increases: The percentage of women who work outside the home rises.
Decreases: Some people hide more of their income as a result of higher tax rates.
Therefore, the following circumstances will either cause the GDP to rise or fall:
Rises: (A) The proportion of women who hold jobs outside the house increases.
Reduced: (C)As a result of rising tax rates, some persons conceal more of their income.
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suppose velocity is 3, real output is 9000, and the price level is 1.5. what is the level of real money balances in this economy?
The level of real money balances in this real output economy is $4500.
Quantity theory of money :
QTM states that the general price level of goods and services is directly proportional to the amount of money in circulation, or the money supply. The quantity theory of money states that there is a direct relationship between the money supply and the price level in an economy. When the money supply changes, the price level changes proportionally, and vice versa.
Calculating money balance :Using the quantity theory of money
M × V = P × Y
M = (P × Y) ÷ V
M = (1.5 × 9000) ÷ 3
M = 4500
So money balance = $4500
Why is the quantity theory of money important?
The point is that the quantity theory of money states that the quantity of money determines the value of money. Therefore, in order to stop inflation, the economy must control the money supply. This theory assumes constant production and rate of goods.
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Why launch an ART using the quick start approach?
· It makes it much clearer to stakeholder that waterfall is not a good investment
· It increases engagement and focuses everyone all at once and with purpose and intent
· It reduces the number of scrum masters required to support SAFe teams
· It allows the teams to being with PI planning and then reinforcing the knowledge by learning SAFe for teams the next day
Option D is correct, it allows the teams to being with PI planning and then reinforce the knowledge by learning SAFe for teams the next day.
PI planning assists in creating the teams' backlogs during the Quickstart based on current priorities. Additionally, it strengthens the instruction they just got. The success of the first PI depends heavily on how well the PI planning is executed in the beginning. It shows a dedication to the new working method for all the teams and stakeholders.
A successful session will: Increase enthusiasm and confidence in the new method of working and Teach the teams how they may take ownership of planning and delivery. Begin to develop the ART as a team of Agile teams and the social network that it depends on. Therefore, the first planning meeting is a crucial occasion for SPCs, other leaders, and change agents.
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The information a buyer discovers while researching a product can greatly influence their purchasing decisions.
a. True
b. False
True, a buyer's decision to acquire a product might be significantly influenced by the information they learn while doing their research.
What are the variables influencing a buyer's purchase decision?The products, the pricing, the promotion, and the sales channel are the four crucial factors that influence a customer's decision to buy. Shopping online, using a smartphone app, or at a physical store is not the same as doing so in a physical store.
In what ways does marketing influence a consumer's purchase decision?Because consumers watched the first brand's commercial more frequently, they choose that one over the competition. Simply having better blogs, more visually appealing content, and opinion leaders on staff seems to make some businesses more trustworthy than others in the eyes of the public.
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if a company wanted to import materials duty-free, for use in the production of their end items, and then export them to other countries, they would most likely utilize? if a company wanted to import materials duty-free, for use in the production of their end items, and then export them to other countries, they would most likely utilize? international cross docking zone international processing center duty-free territory foreign trade zone
If a company wanted to import materials duty-free, for use in the production of their end items, and then export them to other countries, they would most likely utilize foreign trade zone. Hence, option D is correct.
When activated, Foreign-Trade Zones (FTZs), which are controlled by U.S. Customs and Border Protection (CBP), are typically seen as being beyond CBP territory. They are the American equivalent of what are referred to as free-trade zones overseas, and are situated in or close to CBP ports of entry.
A physical, guarded enclave within the US known as a Foreign Trade Zone, or FTZ, is frequently situated in or close to a Port of Entry. Since an FTZ is not regarded to be part of US customs territory, goods stored there are not charged customs fees while they are there.
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Peter and Olga live near a lake with open fishing, and both have fishing boats there. They are the only two providers of fish to their local fish market. What is likely to happen if the local fish market maintains a Nash equilibrium? Fish prices will fall due to competitive pressures. The supply of fish will dwindle due to overfishing. The supply of fish will flourish due to underfishing. Peter and Olga will obtain the maximum possible profits.
If the local fish market maintains a Nash equilibrium it is likely that Peter and Olga will obtain maximum possible profits .
Option D is correct .
What is Nash Equilibrium?The Nash Equilibrium is a decision theorem in game theory that states that players can achieve their desired outcome by not deviating from their initial strategy. In a Nash equilibrium, each player's strategy is optimal given the other players' decisions.
Why is the Nash equilibrium stable?A Nash equilibrium in a mixed strategy game is stable if a small change (especially a very small change) in a player's probability leads to a situation where two conditions are met. Players who didn't switch don't have a better strategy in the new situation
What is the best definition of profit?Profit is the term used to describe the monetary profit that is generated when the income from a commercial activity exceeds the costs, expenses and taxes of maintaining that activity. Economic profit from the use of capital in each transaction. Compare gross profit and net profit.
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tightening monetary policy causes interest rates to ____ and aggregate ____ to _______.
The Answer is option C. rise; demand; decrease, Tightening monetary policy causes interest rates to rise and aggregate demand to decrease
Tightening monetary policy means reducing the money supply, which causes interest rates to rise, causing investment to fall and aggregate demand to fall in the economy. Treasury Open Market Sales A reduction in the money supply is a factor that can significantly help to slow or keep the domestic currency from inflating in a tightening monetary policy environment. During periods of strong economic growth, the Fed frequently considers tightening monetary policy.
Tightening monetary policy causes interest rates to _____ and aggregate _____ to _____.?
A. fall; demand; increase
B. rise; supply; decrease
C. rise; demand; decrease
D. fall; supply; increase
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