Products that are necessities with no close substitutes tend to have elastic demand curves.
This means that a slight change in price can cause a significant change in the amount of the product demanded. This is because, as there are no substitutes, a price increase will cause consumers to purchase less due to the affordability factor. This causes the demand to become more elastic, with a less-than-one-to-one ratio between price change and quantity change. For example, if the price increases by 10%, the quantity demanded may decrease by more than 10%.
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what is an example of internal secondary data for marketing research?
Examples of common secondary data sources include internal corporate data from the company, such as advertising and marketing research, customer account information, and data on product purchases and consumption.
The careful collection, logging, and assessment of qualitative and quantitative data about problems related to the marketing of goods and services constitutes marketing research. The objective is to detect and evaluate how shifting marketing mix components affect consumer behavior. Companies utilize market research to speak directly with potential customers to assess the viability of a new product or service. Companies may quickly collect input from customers to help them identify their targeted audience through market research. This kind of research can be carried out internally, directly by the business, or through a recognized market research firm.
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What do you think is the main economic reason why businesses grow and fail and why?
MUST BE WRITTEN IN COMPLETE HIGH SCHOOL LEVEL SENTENCES (at least 5 sentences)
Answer:
Businesses grow and fail for a variety of economic reasons, but one of the main reasons why businesses grow is due to economies of scale. As a business grows, it can produce more goods or services at a lower cost per unit, which allows it to be more competitive and profitable. Additionally, businesses may also grow by expanding into new markets, increasing their customer base, and diversifying their products or services.
On the other hand, one of the main reasons why businesses fail is due to a lack of financial management. Businesses need to carefully manage their finances to ensure they have enough cash flow to operate and to invest in growth opportunities. If a business has poor financial management, it may not be able to pay its bills or debts, which can lead to bankruptcy.
Another reason why businesses fail is due to changes in the market or industry. Technology, competition, and consumer preferences can all change quickly, and businesses that fail to adapt may lose market share or become irrelevant. Finally, businesses may also fail due to poor management or leadership, which can result in a lack of strategic direction, low employee morale, and inefficient operations.
Answer:
One of the main economic reasons why businesses grow is the desire for increased profits. As businesses expand, they can take advantage of economies of scale, which allows them to produce goods and services more efficiently and at a lower cost. This can result in higher profits for the business. However, growth can also lead to increased competition, which can make it harder for businesses to maintain their market share and profitability.
On the other hand, businesses can fail due to a variety of factors. One major reason is poor financial management, including overspending, poor cash flow management, and failing to plan for the future. Additionally, businesses can fail if they don't offer a product or service that customers want or need. Finally, external factors such as changes in the economy or regulatory environment can also contribute to business failure.
prezas company's balance sheet showed total current assets of $4,750, all of which were required in operations. its current liabilities consisted of $975 of accounts payable, $600 of 6% short-term notes payable to the bank, and $250 of accrued wages and taxes. what was its net operating working capital? group of answer choices $3,701 $3,878 $3,384 $3,525 $3,842
Net operating working capital is the difference between the current assets used in operations and the current liabilities arising from operations. In the given case, net operating working capital would be $3,525.
Thus, by subtracting the current liabilities of Preza's company from its total current assets, its net operating working capital can be calculated by using concepts of liabilities, assets and capital, it is as follows:
Net operating working capital = Total current assets - Current liabilities= $4,750 - ($975 + $100 + $150)= $3,525. Therefore, the net operating working capital of Preza's company is $3,525.
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the city of lawrence recently was hit by a tornado, leaving many families in need of food, clothing, shelter, and other necessities. betty contributed $500 to a family whose home was completely destroyed by the tornado. jack contributed $700 to the family's church, which gave the money to the family. assume both taxpayers itemize their deductions.
To itemize, taxpayers must keep track of donations throughout the year and provide records.
Taxation is the process by which governments impose a financial charge on individuals or legal entities to fund various public expenditures. Tax deductions reduce the amount of tax that an individual has to pay. Betty and Jack, as taxpayers, have made donations to the family who suffered a loss due to the tornado.
Betty's s donation is entirely deductible, whereas Jack's donation is deductible only if the family's church is qualified by the Internal Revenue Service because the church, as a qualified charitable organization, can claim tax-exempt status.
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unlike the classical economists, keynes asserted that
The Keynes argued that, in contrast to the Classical economists, the economy was intrinsically unstable. While Keynesian Economics (also known as neoclassical economics) is founded on the notion that if demand is insufficient to meet total output.
The governments should intervene with fiscal measures, classical economics emphasizes the free market and supply and demand. The long-term state of the economy, in which all workers and resources are employed, is shown by the classical model. The Keynesian Model explains what occurs in the short term during expansions and recessions when the economy is performing above or below its potential.
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The question is incomplete complete question is given below
Unlike the classical economists, keynes asserted that the economy was inherently unstable.
the following information is available for fenton manufacturing company at june 30: cash in bank account $ 6,955 inventory of postage stamps $ 79 bank account balance $ 12,900 petty cash balance $ 400 nsf checks from customers returned by bank $ 917 accounts payable $ 516 cash in register $ 757 a certificate of deposit maturing in five years $ 8,500 based on this information, fenton manufacturing company should report cash and cash equivalents on june 30 of:
The cash balance including cash and cash equivalents that must be reported on June 30 by Fenton Manufacturing Company in the register would be $21,012.
Cash in bank account $6,955, bank account balance $12,900, petty cash balance $400, cash in register $757, NSF checks from customers returned by bank $917.
Cash and cash equivalents are those assets that are readily convertible to cash and have a maturity period of fewer than three months.
The following are considered cash and cash equivalents: Cash in the bank account ($6,955), bank balance ($12,900), petty cash balance ($400), and cash in the register ($757). Cash and cash equivalents = $6,955 + $12,900 + $400 + $757= $21,012.
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workflow structures processes so work proceeds in the most __________ order.
Workflow structures processes so work proceeds in the most efficient order.
The activities in the process and the transitions between them determine the structure of a workflow process. As a result, a workflow is a Graph with activities as vertices. Arcs serve as transitions (the graph that is formed by a workflow can be viewed by using the Visualize Workflow Process feature in the Process Definition Tool).
The graph formed by a process must meet certain criteria in order for the workflow engine to successfully interpret and run it. These criteria are presented in the section under two main headings: Graph Structure and Block Structure.
When creating process definitions, workflow designers should be aware of certain structural rules. When a Cram workflow process is validated, the validations determine whether the process structure conforms to these rules.
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Does the efficient markets hypothesis imply that the average investor will not earn anything by purchasing stock?
A) Yes, the efficient markets hypothesis implies that the best that the average investor can do is break even.
B) Yes, the efficient markets hypothesis implies that stock purchases are extremely risky and that the average investor has no hope of recovering any loss.
C) No, the efficient market hypothesis implies that the average investor should not expect to receive abnormally high returns on a consistent basis.
D) No, the efficient market hypothesis implies that the investor will consistently earn abnormally high returns by purchasing stock.
No, the efficient markets hypothesis does not imply that the average investor will earn anything by purchasing stock.
The efficient markets hypothesis states that the markets are efficient and that asset prices reflect all available information. As a result, stock prices reflect the collective expectations of investors, so it is not possible to consistently earn abnormally high returns by investing in the markets. The hypothesis implies that the best an average investor can do is to break even, as the market prices are usually in line with the investors’ expectations.
However, it is possible for investors to make money by buying stock. By researching the markets and individual companies and evaluating the potential risks, investors can make more informed decisions and possibly earn a return higher than the market average. But to do so requires a great deal of knowledge and understanding of the markets and investing.
In conclusion, the efficient markets hypothesis does not imply that the average investor will earn anything by purchasing stock. While it is possible for investors to make money by researching and making informed decisions, the markets are too efficient to make abnormally high returns consistently.
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Consolidating entries (market value differs from book value)Assume that on January 1, 2013, an investor company acquired 100% of the outstanding voting common stock of an investee company. The following financial statement information was prepared immediately after the acquisition and presents the acquisition-date balance sheet for the pre-consolidation investor company, the investee company and the consolidated financial statements for the investor and investee.Invest Investee ConsolidatedCash & receivables $500,000 $62,500 $562,500Inventory 375,000 156,250 531,250Property & equipment $1,437,500 $500,000 2,000,000Investment in investee $437,500 _ _Identifiable intangible _ _ 68,750Goodwill _ _ 30,000Total assets $2,750,000 $718,750 $3,192,500Current liabilities $250,000 $125,000 $375,000Accrued expenses 187,500 _ 187,500Bonds payable _ $312,500 317,500Common stock 1,043,750 62,500 1,043,750Additional paid-in capital 893,750 78,125 893,750Retained earnings 375,000 140,625 375,000Total liabilities and equity $2,750,000 $718,750 $3,192,500In preparing the consolidated financial statements, what is the amount of the debit or credit made to the "investment in investee" account as part of the [A] consolidating entry? (Recall from the chapter that the [A] consolidating entry reclassifies the acquisition accounting premium from the investment account to the individual net assets that require adjustment from book value to fair value.)A. $30,000B. $161,250C. $156,250D. $437,500
When preparing the consolidated financial statements, the investment in investee account requires a debit of $437,500 as part of the consolidating entry.
A consolidation elimination journal is a journal specially created by a company to eliminate or eliminate all reciprocal account balances between its headquarters and subsidiaries or branches. A consolidated report is a report that allows multiple investors to get a complete picture of the parent company.
This debit reclassifies the acquisition accounting premium from the investment account to the individual net assets that require adjustment from book value to fair value. Therefore the correct answer is D. $437,500.
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the acme paper company lowers its price of envelopes (1,000 count) from $6 to $5.40. if its sales increase by 20 percent following the price decrease, what is the elasticity coefficient?
The elasticity coefficient for the price decrease is 2.0.
How to calculateThe elasticity coefficient for the Acme Paper Company's price decrease from $6 to $5.40 for 1,000 count envelopes can be calculated using the following formula:
Elasticity = (% Change in Quantity / % Change in Price) = (20% / 10%) = 2.0.
Therefore, the elasticity coefficient for the price decrease is 2.0.
Price elasticity is simply percentage change in quantity demanded divided by percentage change in price of goods and service.
The formula for calculating price elasticity is as following;
Ep= % change in quantity demanded(Q) / % change in price(P)
Example: Price Elasticity Where Ep represents elasticity coefficient, %Q shows change in quantity demanded, and %P represents change in price of particular goods and services.
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ms. ray is age 46 and single. this year, mr. ray's retirement savings included a $2,720 employer contribution to a qualified profit-sharing plan account, and a contribution by ms. ray to a traditional ira. mr. ray contributed the maximum allowed. required:
a. compute ms. ray's ira deduction if current year income includes $57,100 salary. b. compute ms. ray's ira deduction if current year income includes $71,350 salary. c. compute ms. ray's ira deduction if current year income includes $71,350 salary and $7,630 dividend income.
Compute Ms. Ray's IRA deduction if the current year income includes $57,100 salary.The maximum IRA contribution allowed for tax deduction in 2020 for those under the age of 50 was $6,000. The maximum amount deductible was phased out between certain income limits.
Ms. Ray's income from salary: $57,100Ms. Ray contributed the maximum allowed to a traditional IRA: $6,000Ms. Ray's MAGI (Modified Adjusted Gross Income) for this deduction is:$57,100 − $6,000 = $51,100The maximum amount of Ms. Ray's deduction is: $6,000.Ms. Ray's deduction is gradually phased out between $32,000 and $42,000. Since her income of $51,100 exceeds this range, her maximum contribution is phased out by $9,100 ($51,100 - $32,000).The amount of Ms. Ray's allowable IRA deduction is: $6,000 - ($9,100/15,000) × $6,000= $6,000 - $3,660= $2,340.b) Compute Ms. Ray's IRA deduction if the current year income includes $71,350 salary. For this scenario, Ms. Ray's income is over the threshold and she is not qualified for the traditional IRA deduction. Therefore, Ms. Ray's IRA deduction is zero.c) Compute Ms. Ray's IRA deduction if the current year income includes $71,350 salary and $7,630 dividend income.Ms. Ray's total income is: $71,350 + $7,630= $79,980. Her contribution of $6,000 is greater than her maximum allowable deduction of $2,340 as her income exceeds the $65,000 phase-out limit.The amount of Ms. Ray's allowable IRA deduction is:$2,340 - (($79,980 - $65,000)/$10,000) × ($2,340)= $2,340 - ($1,498 / $10,000) × ($2,340)= $2,340 - $0.35 × $2,340= $2,340 - $819= $1,521. Therefore, Ms. Ray's IRA deduction if the current year income includes $71,350 salary and $7,630 dividend income is $1,521.
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When there is a technological advance in the pork industry, consumer surplus in that market will a. increase b. decrease c. not change, since technology affects producers and not consumers. d. not change, since consumers' willingness to pay is unaffected by the technological advance.
Consumer surplus in that market will rise as the pork industry makes a technological advancement..
When customers pay less than they'd normally be ready to for a good or service, there is a consumer surplus.. The foundation for the notion of consumer surplus is the economic concept of marginal product additional satisfaction that a customer receives from purchasing one more unit of a good or service. A constant, consumer surplus grows when prices are lowering and decreases when prices are rising. Economists conceptualize it as the triangle-shaped region beneath the demand curve that is between its market cost and the cost that buyers are willing to pay.
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bao is a member of a project team that is responsible for conceiving, designing, and implementing an innovative new product for her company. the team includes specialists from various divisions, such as the technology division, marketing division, and sales division. this project team is an example of a
As the team includes specialists from various divisions, such as the technology division, marketing division, and sales division. This project team is an example of a product-development team.
What is the role of product-development team?The entire process of transforming an idea into a lovable product is referred to as product development. It includes capturing raw concepts, prioritizing what to build, iterating, and measuring success.
Product development teams are in charge of understanding customer needs, developing new products, and bringing them to market. Aside from deciding what to build, they must communicate the benefits and measure the product's performance — both of which are critical responsibilities in any business. The ultimate goal is to provide value to customers while also supporting the business.
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Question
Company Z factors $200,000 of accounts receivable with Company A. The finance charge is 2% of accounts receivable. Company A retains an amount equal to 3% of accounts receivable. Record the journal entries for both Company Z and Company A if the sale was on a (1) without recourse basis and again on a (2) with recourse basis. Assume that Company Z estimates a recourse obligation with a fair value of $2,000.
In the following question, among the given options and various parts to solve on journal entries, the statement is said to be 1) Debit: Cash $194,000 2) Debit: Cash $194,000
the record journal entries for Company Z and Company A if Company Z factors $200,000 of accounts receivable with Company A, with a finance charge of 2% and Company A retains an amount equal to 3%
1) Without Recourse Basis:
Company Z
Debit: Accounts Receivable $200,000
Credit: Cash $194,000
Credit: Finance Charge $6,000
Company A
Debit: Cash $194,000
Credit: Factor's Receivable $200,000
2) With Recourse Basis:
Company Z
Debit: Accounts Receivable $200,000
Credit: Cash $194,000
Credit: Finance Charge $6,000
Company A
Debit: Cash $194,000
Debit: Reserve for Recourse Obligations $2,000
Credit: Factor's Receivable $200,000
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Which of the following statements best distinguishes the difference between real and financial assets?
a. Real assets have less value than financial assets.
b. Real assets are tangible; financial assets are not.
c. Financial assets represent claims to income that is generated by real assets.
d. Financial assets appreciate in value; real assets depreciate in value.
The correct option is C. The statement that best distinguishes the difference between real and financial assets is "Financial assets represent claims to income that is generated by real assets."
Real assets: Real assets refer to tangible physical properties, such as land, property, and equipment, that a company holds to operate and earn money. The actual value of real assets changes with market conditions and the economy.
Financial assets: Financial assets are monetary instruments such as stocks, bonds, and bank deposits that have a future monetary benefit. Financial assets cannot be physically touched or seen, but they are an essential component of an individual or company's investment portfolio because they generate income and growth opportunities.
Thus, the correct option that best distinguishes the difference between real and financial assets is option C. Financial assets represent claims to income that is generated by real assets.
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ctivity Rates and Product Costs using Activity-Based Costing Lonsdale Inc. manufactures entry and dining room lighting fixtures. Five activities are used in manufacturing the fixtures. These activities and their associated budgeted activity costs and activity bases are as follows:
Activity BudgetedCost Activity Base Activity Casting 570,000 Machine hours Assembly 80,000 Direct labor hours
Inspecting 42,000 Number of inspections
setup 38,000 Number of setups
material handling 23,750 Number of loads
Corporate records were obtained to estimate the amount of activity to be used by the two products. The estimated activity-base usage quantities and units produced follow: Activity Base Entry Dining Total Machine hours 6000 13000 19000
Direct labor hours 3000 2000 5000
Number of inspections 600 400 1000
Number of setups 300 200 500
Number of loads 450 500 950
Units produced 6000 3000 9000
a. Determine the activity rate for each activity. b. Use the activity rates in (a) to determine the total and per-unit activity costs associated with each product. Round the per unit amounts to the nearest cent.
a. To determine the activity rate for each activity, divide the budgeted cost by the total activity base.
Activity Budgeted Cost Activity Base Activity Rate
Casting 570,000 Machine hours 30.53
Assembly 80,000 Direct labor hours 16
Inspecting 42,000 Number of inspections 42
Setup 38,000 Number of setups 76
Material Handling 23,750 Number of loads 25
b. To determine the total and per-unit activity costs associated with each product, multiply the activity rate by the activity base for each product.
Entry Dining Total
Machine hours 30.53 x 6000 = 183,180 30.53 x 13,000 = 396,890 579,070
Direct labor hours 16 x 3000 = 48,000 16 x 2000 = 32,000 80,000
Number of inspections 42 x 600 = 25,200 42 x 400 = 16,800 42,000
Number of setups 76 x 300 = 22,800 76 x 200 = 15,200 38,000
Number of loads 25 x 450 = 11,250 25 x 500 = 12,500 23,750
Total Activity Cost 307,430 297,190 604,620
Per-unit Activity Cost Entry Dining
Machine hours 30.53 x 6000 = 30.53 30.53 x 13,000 = 30.53
Direct labor hours 16 x 3000 = 8 16 x 2000 = 8
Number of inspections 42 x 600 = 4.2 42 x 400 = 4.2
Number of setups 76 x 300 = 3.8 76 x 200 = 3.8
Number of loads 25 x 450 = 2.5 25 x 500 = 2.5
Total Activity Cost 51.03 49.03
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A customer views an ad on April 1st, clicks the ad on April 4th, views the ad again on April 7th, and purchases the product on April 9th. Which of the following receives the credit for conversion?a. April 1st impressionb. April 7th impressionc. April 9th purchased. April 4th click
The following receives the credit for conversion in the case given in the question is April 4th click. Hence option D. is correct.
What is meant by conversion?Conversion is the point at which a receiver of a marketing message performs a desired activity or a set of actions that a company wants them to perform. A marketer can take the conversion rate as a percentage of viewers who finish a desired goal.
It may refer to the percentage of visitors to a website that complete a desired action such as filling out a form or making a purchase. In the case given in the question, the following are the details provided:
Hence option D. April 4th click is correct.
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this process provides covered entities and business associates with the structural framework upon which ot build their hipaa security plan (T/F)
The given statement "Security Risk Analysis is a process that provides covered entities and business associates with the structural framework upon which to build their HIPAA security plan" is true.
Security risk analysis is a process that involves discovering, identifying, and recording potential security hazards and risks to computer systems, networks, and facilities that handle protected health information (PHI). Risk analysis is the initial step in a Covered Entity's security management process, as well as the initial step in complying with the HIPAA Security Rule. Covered Entities and Business Associates must execute and keep an accurate and thorough risk analysis to comply with the HIPAA Security Rule.
Requirements for HIPAA Security Rule include the following:
Risk Analysis (Required)Risk Management (Required)Sanction Policy (Required)Information System Activity Review (Required)Assigned Security Responsibility (Required)Workforce Security (Required)Information Access Management (Required)Security Awareness and Training (Required)Security Incident Procedures (Required)Contingency Plan (Required)Evaluation (Required)Business Associate Contracts and Other Arrangements (Required)Physical Safeguards (Addressable)Technical Safeguards (Addressable)Policy and Procedure Documentation (Addressable)Device and Media Controls (Addressable)Note: The question is incomplete. The complete question probably is: Security Risk Analysis is a process that provides covered entities and business associates with the structural framework upon which to build their HIPAA security plan. True or False.
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The table below shows monetary assets for a banking sector at the end of a year.Monetary AssetsValue (in millions)Monetary Base$4,000$4,000Currency in Circulation$1,500$1,500M1$6,500$6,500Based on the data provided, what is the value of total reserves held by depository institutions?A. $500 millionB. $1,500 millionC. $2,500 millionD. $5,500 millionE. $8,000 million
Depository institutions currently hold reserves of $2,500,000,000. The correct response is (C) $2,5 billion.
The opportunity cost of keeping currency is measured by which of the following?The interest rate is a metric for evaluating the potential of retaining currency. Hence the benefit lost by choosing one alternative over others is known as the opportunity cost.
The difference between the monetary base and the amount of money in circulation can be used to determine the value of the total reserves held by depository institutions:Total Reserves = Monetary Base - Currency in Circulation
Total Reserves = $4,000 million - $1,500 million
Total Reserves = $2,500 million
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suppose charlie encountered resistance to his plans to improve contingency planning. what appeals could he use to sway opinions toward improved business contingency planning?
Charlie can use several appeals to sway opinions toward improved business contingency planning. The appeals he can use include appeals to self-interest, appeals to ethics, appeals to authority, appeals to emotion, and appeals to logic.
Appeals to sway opinionsAppeals to self-interest: Charlie can persuade people to support improved business contingency planning by convincing them that it will benefit them in the long run. He can argue that it will help the company save money, reduce downtime, and prevent losses due to unexpected events. Charlie can also highlight how improved contingency planning can increase job security and stability.
Appeals to ethics: Charlie can make a moral argument that improved business contingency planning is the right thing to do. He can appeal to the company's values and ethics, arguing that it is the company's responsibility to be prepared for unexpected events that may harm the business. He can also emphasize the impact that a lack of contingency planning can have on customers, employees, and other stakeholders.
Appeals to authority: Charlie can appeal to authority by using examples of other companies or industry leaders who have implemented successful contingency plans. He can also cite industry standards, regulations, or guidelines that support the need for improved contingency planning. By doing this, he can show that contingency planning is not only important but also a standard practice in the industry.
Appeals to emotion: Charlie can appeal to the emotions of the people he is trying to persuade. He can use stories, examples, or images that evoke feelings of fear, uncertainty, or loss to show the importance of contingency planning. He can also appeal to their sense of pride or accomplishment by highlighting how their contribution to contingency planning can make a difference.
Appeals to logic: Charlie can appeal to the logic of the people he is trying to persuade by presenting data, facts, and evidence that support the need for improved contingency planning. He can use statistics, case studies, and other analytical tools to show the potential costs and benefits of contingency planning.
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the net present value method of capital budgeting analysis does all of the following except: group of answer choices incorporate risk into the analysis. provide a specific anticipated rate of return. consider all relevant cash flow information. discount all future cash flows to their current value. consider the initial cost of the project.
The net present value method of capital budgeting analysis does not incorporate risk into the analysis.
This method considers all relevant cash flow information, discounts all future cash flows to their current value, and takes into account the initial cost of the project.
However, the net present value method does not provide a specific anticipated rate of return.
The net present value method uses the discount rate to adjust for risk in a project by comparing the current value of future cash flows to the present cost of the investment.
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2. What does a SWOT analysis of Panera Bread reveal about the overall attractiveness of its situation? Doesthe company have any core competencies or distinctive competencies?3. What are the primary components of Panera Bread
In the following question, among the various parts to solve- 2- Panera Bread does have core competencies in providing fresh, high-quality food, and its distinctive competencies include its efficient online ordering system and strong customer loyalty. 3- its menu items.
2. A SWOT analysis of Panera Bread reveals that its strengths include its reputation as a high-quality provider of healthy, freshly-prepared meals; its efficient online ordering system; and its strong brand loyalty. Its weaknesses include its limited product offerings, its small store footprint, and its low-value pricing strategy. Its opportunities include growth through expansion, developing new products and services, and improving its customer service. Its threats include rising costs of raw materials and competition from fast food restaurants. Panera Bread does have core competencies in providing fresh, high-quality food, and its distinctive competencies include its efficient online ordering system and strong customer loyalty.
3. The primary components of Panera Bread are its menu items, which include breads, pastries, salads, soups, sandwiches, and beverages; its online ordering system; its store footprint; its customer service; and its pricing strategy.
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margot's organization encourages its members to be proud of their affiliation with the organization and to work together to achieve its goals. this shows the globe project's cultural dimension of
Margot's organization encourages its members to be proud of their affiliation with the organization and to work together to achieve its goals.
This is an example of the cultural dimension of the Globe Project, which seeks to promote a sense of collective identity, social responsibility, and collaboration amongst its members.
It emphasizes the importance of valuing cultural diversity and understanding the impact of cultural differences on organizational performance.
This helps to create a cohesive and unified culture that can drive the organization towards its desired outcomes.
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compliance with the affirmative action requirement for contractors: a. affects only federal construction contractors and subcontractors. b. is the same for construction and nonconstruction contractors. c. means that federal contractors need only implement affirmative action in promoting employees, not in recruiting .
Compliance with the affirmative action requirement for contractors affects all types of federal contractors and subcontractors, not just construction. It means that contractors must take affirmative action steps both in recruiting and promoting employees.
Compliance with the affirmative action requirement for contractors is the same for construction and non-construction contractors.
Affirmative action is the act of developing initiatives to promote equal treatment and opportunities in the workplace for historically marginalized groups, particularly minorities, and women. This policy aims to increase diversity in the workforce and mitigate the effects of past discriminatory practices.
Federal contractors are required to implement affirmative action policies in recruiting, hiring, promoting, and training employees, as well as ensuring equal pay, regardless of race, ethnicity, gender, or other protected characteristics. The rule of compliance with affirmative action laws has to be taken very seriously.
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the four basic financial statements are the income statement, statement of retained earnings, balance sheet, and statement of cash flows. group of answer choices true false
True, the four basic financial statements are the income statement, statement of retained earnings, balance sheet, and statement of cash flows. These documents provide a comprehensive picture of a company's financial position, activities, and profitability.
What are financial statements?Financial statements are critical files that offer perception right into a company's economic performance. It includes four key types of financial statements: income statement, statement of retained earnings, balance sheet, and statement of cash flows.
An income statement reports a company's revenue and expenses over a particular period of time. The income statement reveals how much money the company generated and how much it spent on a specific activity.
The income statement helps stakeholders assess a company's profitability and ability to pay dividends.
A balance sheet provides a company's financial position at a particular point in time. The balance sheet provides information about a company's assets, liabilities, and equity.
The statement of cash flows reports a company's cash flow over a particular period. It provides information about the cash generated and spent by the company during a specific period. The statement of cash flows helps stakeholders assess a company's liquidity and ability to generate cash flow.
Hence the statement is true.
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Direct labor was used in production; to be paid next month. Which of the following entries would be used to record this event?
a. Debit Work in Process and credit Salaries and Wages Payable.
b. Debit Work in Process, debit Manufacturing Overhead, and credit Direct Labor.
c. Debit Work in Process, debit Manufacturing Overhead, and credit Salaries and Wages Payable.
d. Debit Manufacturing Overhead and credit Salaries and Wages Payable.
c. Debit Work in Process, debit Manufacturing
Option C would be used to record the event of direct labor being used in production, as it involves "debiting Work in Process and Manufacturing Overhead while crediting Salaries and Wages Payable."
All are used to account for the cost of labor to be paid next month.
This entry recognizes the cost of labor as a component of the cost of goods produced, which is recorded in the Work in Process account, while also accounting for the indirect costs associated with production in the Manufacturing Overhead account.
The Salaries and Wages Payable account is credited to indicate that payment for the labor will be made in the future, as it has not yet been incurred.
Option C is the most appropriate choice as it correctly recognizes the use of direct labor in production and accounts for it in the appropriate accounts. Debiting the Work in Process account reflects the cost of labor as a component of the cost of goods produced, while debiting the Manufacturing Overhead account accounts for indirect costs associated with production.
Finally, crediting the Salaries and Wages Payable account indicates that payment for the labor will be made in the future, and that the cost has not yet been incurred.
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Use the accompanying list to answer the 4 questions below. a. Improvements in technology. b. Increases in the supply (stock) of capital goods. c. Purchases of expanding output. d. Obtaining the optimal combination of goods, each at least-cost production e. Increases in the quantity and quality of natural resources. f. Increases in the quantity and quality of human resources. 1. As distinct from the demand and efficiency factors of economic growth, the supply factors of economic growth are: ____, ____, _____, and ____ only.
Increases creases in the supply of capital goods, improvements in technology, increases in the quantity and quality of natural resources, and increases in the quantity and quality of human resources only.
The supply factors of economic growth are improvements in technology, increases in the supply of capital goods, increases in the quantity and quality of natural resources, and increases in the quantity and quality of human resources.
Economic groth refers to a situation where an economy's output is growing in size or capacity. There are two primary factors that contribute to economic growth: supply and demand factors.
Therefore, the answer is Improvements in technology, Increases in the supply (stock) of capital goods, Increases in the quantity and quality of natural resources, and Increases in the quantity and quality of human resources.
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The recent reduced demand for unskilled workers relative to skilled workers has led to _____ for unskilled workers in Europe compared to _____ for unskilled workers in the United States.a) unemployment; lower wages,b) lower wages; unemployment,c) more unionization; efficiency wages,d) efficiency wages; more unionization
Option (a), Due to the recent fall in demand for unskilled workers relative to competent ones, unskilled workers are currently more likely to be unemployed and earn lower wages in Europe than they would in the United States.
What Are Payments?The monetary compensation that employers offer their employees in return for the output they produce is known as a wage. Depending on the ability levels of the employees, they change. It can be due to the imbalance in demand between skilled and unskilled labour.
Unskilled workers are currently in lesser demand than skilled workers, which has led to both unemployment for unskilled workers in Europe and lower wages for them in the United States.
It is thus because technological improvements in Europe have increased the need for highly skilled people, who are more likely to find employment than less qualified workers. The job situation in the area worsens as fewer employers are willing to recruit an unskilled worker. Although the United States has been on a growth trajectory for many years, the majority of the workforce is already skilled.
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Question 1Share ValuationThe board of Santova Ltd is exploring ways to expand the number of shares outstanding in an effort to reduce themarket price per share to a level that the firm considers more appealing to investors.
The options under consideration are a 20% stock dividend and, alternatively, a 5-for-4 stock split. At the same time, the firm’s equity account and other per-share information are as follows:
Preferred stock0Common stock ( 100,000 shares at R1 par)100000Paid-in capital in excess of par900000
Retained earnings700000Total stockholders' equity1700000Share priceR30EPSR3,60DPSR1,08P/ER8,33a)
Show the effects on the equity account, EPS and P/E ratio of a 20% of a stock dividend.
After stock 20% dividendPreferred stockCommon stock ( )[2]Paid-in capital in excess of par[2]Retained earnings[2]Total stockholders' equity0[2]Change in price[1]Net Income[1]Change in EPS[1]b) Show the effect on the equity accounts, EPS and P/E ratio of a 5-for-4 stock split.
After 5-for-4 stock splitPreferred stockCommon stock ( )[2]Paid-in capital in excess of par[2]Retained earnings[2]Total stockholders' equity0[2]Change in price[1]Change in EPS[1]Change in the number of Outstanding shares.
The effects on the equity account, EPS and P/E ratio of a 20% of a stock dividend is represented
common stock = 120,000. Paid-in capital in excess of par account after the dividend
= 580,000. Revised balance = 1480,000.
Total stockholders’ equity is equals to 17,000,000.
Change in price is decrease by $ 5.
The earnings per share (EPS) after the dividend is equals to the 3.
Change in EPS = Decrease by 0.6.
Change in number of outstanding shares is equals to the increase by 20,000 shares.
Dividends means the distribution of company's profit into it's shareholders and stock dividend is defined as percentage increase in number of shares held. The number of shares of common stock after the dividend is shares = 100,000 x (1 + 20%) = 120,000
The balance in the common stock account after the dividend is = 120,000 x $ 1 = 120,000
The balance in the paid-in capital in excess of par account after the dividend is $ = 20,000 x (Current price - par value) = 20,000 x (30 - 1) = 580,000
Revised balance = 580,000 +900,000
= 1480,000
The balance in the retained earnings account after the dividend is = Current balance - new number of shares x current share price = 700,000 - (120,000 - 100,000) x 30 = 100,000
Total stockholders’ equity = 120,000 + 1480,000 + 100,000 = 17,000,000
The price per share of common stock after the dividend is total wealth remain the same. Hence, the price per share of common stock after the dividend is
= Share price before dividend / (1 + % dividend) = 30 / (1 + 20%) = $ 25
Change in price = decrease by $ 5
The earnings per share (EPS) after the dividend is = 3.6 / (1 + 20%) = 3
Change in EPS = Decrease by 0.6. Hence, the change in number of outstanding shares is increase by 20,000 shares.
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an agent is not required to keep which of the following information confidential? a. customer lists b. business plans c. unique business methods d. information that his or her principal is engaged in criminal activity
Answer: The answer is D. Information that his or her principal is engaged in criminal activity. Agents are not obligated to keep information confidential if it is related to criminal activity.
Explanation: An agent is an individual who has been appointed to act on behalf of someone else in business transactions or other legal matters. They are sometimes referred to as power-of-attorney or attorney-in-fact, and they are normally required to maintain the confidentiality of the principal's affairs.
It is the agent's responsibility to ensure that any confidential data shared with them by their principal or client is kept private and is only shared with people who are authorized to receive it.
Agents, on the other hand, do not have a duty of confidentiality with regards to information that their principal is engaged in criminal activity, as this information may be reported to the authorities if necessary.
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