A firm's producer surplus equals its economic profit when marginal costs equal marginal revenue. Hence, B. Marginal Costs Equal Marginal Revenue. is the correct answer.
Producer surplus is the difference between the market price of a good or service and the minimum price the firm is willing to accept for it. When marginal costs equal marginal revenue, the firm is able to maximize its profits, and producer surplus is equal to economic profit.
Marginal cost is the expense incurred for selling that one unit, whereas marginal revenue is the income obtained by selling one more unit. Each measures the incremental change in dollars between various sales levels to ascertain the level at which a business is manufacturing and selling things most efficiently.
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calista works as an it manager for an engineering firm. when it comes time to replace the company's computers, the firm's president gives calista a budget and tells her to pick computers that will best suit the company's needs. this is an example of making a decision through group of answer choices
This is an example of decentralized decision-making. It can promote efficiency, innovation, and accountability within an organization.
Decentralized decision-making refers to the process of delegating decision-making authority to lower-level employees or departments within an organization. In this scenario, the firm's president has given Calista, the IT manager, the responsibility to select computers that best suit the company's needs within the allocated budget. By delegating this decision to Calista, the president is allowing her to use her expertise and knowledge to make the most suitable choice for the company.
Decentralized decision-making can empower employees, like Calista, to make decisions that align with their expertise and the specific needs of their department or area of responsibility. It can promote efficiency, innovation, and accountability within an organization.
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beginning work-in-process is 6,400 units; 63,300 units completed, and ending work-in-process is 7,450 units, which are 100% complete for direct materials and 50% complete for conversion costs. the beginning wip inventory is 100% complete for direct materials and 50% complete for conversion.
The equivalent units of production for direct materials are 69,150, and for conversion costs are 65,925.The total equivalent units of production for direct materials are 69,150 (6,400 + 63,300), and for conversion costs, it is 65,925 (6,400 + 63,300 + 3,725).
Equivalent units of production are a measure used in process costing to account for partially completed units. In this scenario, we have three components to consider: beginning work-in-process (WIP), completed units, and ending WIP.
For direct materials, both the beginning WIP (6,400) and completed units (63,300) are fully processed, so they are counted as equivalent units.
For conversion costs, the beginning WIP (6,400) is 50% complete, so 50% of those units (3,200) are counted as equivalent units. The completed units (63,300) are fully processed. The ending WIP (7,450) is 50% complete, resulting in 3,725 equivalent units.
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true or false Resource owners must feel that their incomes are large enough so that they will continue to supply resources
Answer:
True.
Explanation:
The collection of traits associated with a product as if it were a person is known as A. trait theory B. introversion C. personality dimensions D. extroversion E. brand personality Which approach acknowledges that consumers want to be active participants in the story by "filling in the blanks," instead of just passively listening to a manufactured set of details? A. Underdog brand biography B. Anthropomorphism C. Reader-response theory D. Psychographics E. Enculturation Marketers try to achieve brand resonance, bonds with consumers that are hard to break. Which type of resonance evokes a "hot" meaning that defines a major trend in popular culture? A. Cultural bedrock B. Role resonance C. Intimacy D. Currency value E. Interdependency What is a Doppelga nger brand image? A. A brand with consumers interact to fill in the blanks of its story B. A brand to which consumers attribute human characteristics C. A brand with humble beginnings that has defied odds to succeed D. A brand that is perceived to have more feminine than masculine traits E. A brand that looks like the original but is in fact a critique of it
1. Brand personality is the collection of traits associated with a product as if it were a person.
2. Reader-response theory acknowledges that consumers want to be active participants in the story by "filling in the blanks."
3. Cultural bedrock resonance evokes a "hot" meaning that defines a major trend in popular culture.
4. A Doppelgänger brand image is a brand that looks like the original but is in fact a critique of it.
1. A. Brand personality
The collection of traits associated with a product as if it were a person is known as brand personality. Brand personality is a marketing concept that aims to humanize a brand and create a unique identity for it. By attributing human characteristics to a brand, marketers can shape consumers' perceptions and create emotional connections.
2. C. Reader-response theory
The approach that acknowledges that consumers want to be active participants in the story by "filling in the blanks" is reader-response theory. This theory suggests that consumers engage with marketing messages by interpreting and adding their own meanings to them.
It recognizes that consumers play an active role in shaping their understanding of a brand's story, rather than passively receiving information.
3. A. Cultural bedrock
The type of resonance that evokes a "hot" meaning that defines a major trend in popular culture is cultural bedrock. Cultural bedrock refers to a resonance that is deeply rooted in the cultural fabric of society. It taps into current cultural trends, interests, and values to create a strong connection between the brand and its target audience.
4. E. A brand that looks like the original but is in fact a critique of it
A Doppelgänger brand image refers to a brand that looks like the original but is, in fact, a critique of it. It is a parody or imitation that aims to highlight flaws or criticize the original brand.
Doppelgänger brand images can be used by competitors or as a form of social commentary. They mimic the original brand's visual elements but often have a different message or purpose.
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A wedding party hired a sole proprietorship to cater their wedding. In this situation the sole proprietorship is a corporation and the employee who handled the job is a partner. If the sole proprietorship is a corporation and its employee poisons the cake, then who is liable?
Only the employee who poisoned the cake is liable.
Only the employee who poisoned the cake is liable.
Only the sole proprietorship is liable.
Only the sole proprietorship is liable.
The corporation is liable.
The corporation is liable.
Only the partner is liable.
If the sole proprietorship is a corporation and its employee poisons the cake, then only the sole proprietorship is liable. The second option is correct.
A sole proprietorship, also known as a sole tradership, individual entrepreneurship, or proprietorship, is a type of business owned and operated by a single person with no legal distinction between the owner and the business organisation. A sole trader does not always work alone and may hire others.
The solo trader receives all profits and is personally liable for any losses and debts. Every asset of the business is owned by the proprietor, as are all obligations of the business; the business is not a separate legal entity.
Thus, the sole trader is the only owner of the business he is liable for any action of his employees.
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The fixed costs of a business are $300,000 per
year and variable costs are $2.00 per unit. The
business sells 200,000 units per year at a selling
price of $5.00. The profit made per year is:
O $300,000
O $1,000,000
O $600,000
O $1,500,000
Answer:
$300,000
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Combination of a 40-45 call bull spread, and a 50-55 call bear spread results in a a condor a box spread a butterfly Oratio spread
The correct answer is that the combination of a 40-45 call bull spread and a 50-55 call bear spread results in an iron condor.
The combination of a 40-45 call bull spread and a 50-55 call bear spread results in a type of options strategy called an iron condor.
An iron condor involves selling an out-of-the-money call spread and an out-of-the-money put spread on the same underlying asset, with the spreads having the same expiration date. In this case, the call spread is the 40-45 bull spread, and the put spread is the 50-55 bear spread.
The goal of the iron condor is to profit from a sideways or range-bound market, where the underlying asset stays between the two strike prices of the call and put spreads. The maximum profit is earned if the asset price remains between the two strikes at expiration, and the maximum loss is limited to the net premium received for selling the spreads.
Therefore, the correct answer is that the combination of a 40-45 call bull spread and a 50-55 call bear spread results in an iron condor. It is not a box spread, a butterfly spread, or an Oratio spread.
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The following are affected by the business structure you choose when you start your
business.
O a.
day-to-day operations, personal liability, and business name.
O b.
day-to-day operations, business location, and taxes.
О с.
profitability, personal liability, and taxes
O d.
day-to-day operations, personal liability, and taxes.
1
When you start business, the business structure you choose can affect your day-to-day operations, personal liability, and taxes.
What is a liability?Liability refers to the legal responsibility for one's actions or debts. It is an obligation to pay or perform something to another party. Liability can arise from various sources, such as contractual agreements, statutory laws, or common law. For instance, when a person borrows money from a bank, they have a liability to repay the loan amount to the bank within a certain period, according to the terms and conditions of the loan agreement. Liability can also arise from a person's actions or omissions that result in harm or damage to others. In such cases, the person may be held liable for the damages caused and may have to compensate the affected parties for their losses.
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Analyzing and Interpreting Pension Disclosures-Plan Assets and Cash Flow YUM! Brands Inc. discloses the following pension footnote in its 10-K report. Pension Plan Assets ($ millions) 2018 $864 Fair value of plan assets at beginning of year Actual return on plan assets (49) Employer contributions. 13 Benefits paid.. (73) Fair value of plan assets at end of year DOKODI $755 MINIDIKI a. How does the "actual return on plan assets" of $(49) million affect YUM!'s reported profits for 2018? b. YUM! Brands contributed $13 million cash to the pension plan investment account (asset) during the year. Which of the following is true? i. YUM! recognized the $13 million cash payment as a pension expense in 2018. ii. YUM! did not recognize the $13 million cash payment as a pension expense in 2018 because it is not tax deductible. iii. YUM! did not recognize the 13 million cash payment as a pension expense in 2018 because it relates to employees' service in prior periods. iv. YUM! did not recognize the $13 million cash payment as a pension expense in 2018 be- cause benefits of $73 million were paid to employees and that amount represents the pension expense. v. None of the above. c. YUM!'s pension plan paid out $73 million in benefits during 2018. How is this payment reported?
a. The "actual return on plan assets" of $(49) million decreases YUM!'s reported profits for 2018.
b. YUM! did not recognize the $13 million cash payment as a pension expense in 2018 because it relates to employees' service in prior periods.
c. The payment of $73 million in benefits is reported as a reduction in the fair value of plan assets.
a. The "actual return on plan assets" of $(49) million represents the change in the fair value of the pension plan assets during the year due to investment performance. A negative return decreases the value of plan assets, resulting in a decrease in reported profits for the year.
b. YUM! Brands contributed $13 million cash to the pension plan investment account during the year. In this case, YUM! did not recognize the $13 million cash payment as a pension expense in 2018 because it relates to employees' service in prior periods. Pension expenses are recognized based on the benefits earned by employees during the current period, not on the timing of cash contributions.
c. The payment of $73 million in benefits represents the amount paid out from the pension plan to retired or eligible employees. This payment is reported as a reduction in the fair value of plan assets. As benefits are paid to employees, the plan assets decrease, reflecting the distribution of pension benefits.
The "actual return on plan assets" affects the reported profits for the year, with a negative return decreasing the reported profits. Cash contributions to the pension plan are not recognized as a pension expense in the year of contribution but rather allocated to periods when employees earned the benefits. The payment of pension benefits is reported as a reduction in the fair value of plan assets.
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1. Who is an Antagonist?
Answer:
It's the person in the story who is kind of the 'bad guy'
Explanation:
They oppose the main character
Answer:
Hope it helps
Explanation:
a person who actively opposes or is hostile to someone or something; an adversary.
Identify what concept is represented in the following scenario, and explain why.
A California company, American Apparel, has three knitting facilities in Southern California that knit spools of yarn into fabric and dye the fabric. Then, three factories in Southern California cut, sew, and package T-shirts. At the same time, the creative team markets the T-shirts, and the shipping and retail departments handle the distribution of T-shirts to more than 280 stores.
This scenario describes a supply chain. A supply chain can be described as a complex sequence of commercial activities with the end goal of providing products and services for consumers. The aforementioned scenario demonstrates exactly this: a sequence starting at early T-shirt production and ending at the T-shirt being ready for sale.
how many tasks does quickbooks online allow you to assign to a project?
QuickBooks Online allows you to assign up to 40 tasks to a project. However, it's important to note that this limit may vary depending on the subscription plan you have.
QuickBooks Online is a project management tool that helps you track the progress of your projects. It allows you to create projects and add tasks to them, which can be assigned to different team members. The limit of 40 tasks per project is set to ensure that the tool is efficient and can handle the workload. If you need to assign more tasks to a project, you may need to upgrade your subscription plan to accommodate your needs.
QuickBooks Online is a versatile accounting software that enables users to manage projects with ease. There is no specific limit to the number of tasks you can assign to a project, which allows for flexibility in organizing and tracking various aspects of your business.
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An example of an asset is:
Answer:here
Explanation: A company lists its assets with a dollar amount on balance sheets. Assets are made up of liabilities and equity on the balance sheet.
Explain what it means to diversify across investments ?
Answer:
true
Explanation:
diversification isna technique that reduces risk by allocating investment across various financial instrument across various fiancial instrument industries and other categories . it aims to maximize returns by investing in different areas that would each react differently to the same event
Q1. Choose two accounting principles and two accounting assumptions and explain them in your word. Answer: Q2. Explain the concept of double entry system and its relationship with accounting equation. Q3. A1-Ahmad Accounting Services completed these transactions in July: a. Purchased office supplies on account, SAR 450 b. Completed work for a client on credit, SAR 1,500 c. Paid cash for the office supplies purchased in (a) d. Completed work for a client and received SAR 800 cash e. Received SAR 1,500 cash for the work described in (b). f. Received SAR 3,000 in advance from a client for accounting services to be performed in September. Prepare journal entries to record the above transactions. Explanations are not necessary.
The concept of the double-entry system is a fundamental accounting principle that ensures accurate recording of financial transactions. It is closely related to the accounting equation, which states that assets equal liabilities plus equity.
In the double-entry system, every transaction is recorded in at least two accounts: a debit entry and a corresponding credit entry. This system follows the principle that for every debit entry made, there must be an equal and opposite credit entry. By doing so, the system maintains the balance of the accounting equation.
For example, if a company purchases office supplies on account for SAR 450, the transaction would be recorded with a debit of SAR 450 in the office supplies account (increasing the asset) and a credit of SAR 450 in the accounts payable account (increasing the liability). This ensures that the equation (Assets = Liabilities + Equity) remains balanced.
Similarly, all the other transactions listed can be recorded using the double-entry system and linked to the accounting equation. Each transaction will have appropriate debit and credit entries in different accounts to accurately represent the impact on assets, liabilities, and equity.
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The average life expectancy of which type of economy is generally very high?
A.
economies with a high HDI and GDP
B.
economies with a low HDI and GDP
C.
economies with a high GDP
D.
economies with a low GDP
E.
economies with a high PPP only
Answer:
c
Explanation:
im not 100% sure but i think c is the one
which trade sanction (embargo or subsidy) would be more effective in protecting domestic jobs? EXPLAIN WHY!!!
Answer:
International trade increases the number of goods that domestic consumers can choose from, decreases the cost of those goods through increased competition, and allows domestic industries to ship their products abroad. While all of these effects seem beneficial, free trade isn't widely accepted as completely beneficial to all parties
In simplest terms, a tariff is a tax. It adds to the cost borne by consumers of imported goods and is one of several trade policies that a country can enact. Tariffs are paid to the customs authority of the country imposing the tariff. Tariffs on imports coming into the United States, for example, are collected by Customs and Border Protection, acting on behalf of the Commerce Department.6 7 In the U.K., it's HM Revenue & Customs (HMRC) that collects the money.
if a company has $75,000 in net income and pays out $17,000 in dividends, then the rounded plow-back ratio will be: group of answer choices 77% 23% 17% 75%
The rounded plow-back ratio is 77%. Therefore, the correct option is A.
We are required to calculate the plow-back ratio for a company with $75,000 in net income and $17,000 in dividends.
Follow these steps to determine the plow-back ratio:1. Calculate the retained earnings by subtracting the dividends from the net income:
Retained earnings = Net income - Dividends
Retained earnings = $75,000 - $17,000
Retained earnings = $58,000
2. Calculate the plow-back ratio by dividing the retained earnings by the net income and multiplying by 100 to get the percentage:
Plow-back ratio = (Retained earnings / Net income) * 100
Plow-back ratio = ($58,000 / $75,000) * 100
Plow-back ratio ≈ 77.33%
Based on the given answer choices, the rounded plow-back ratio for the company is 77%.
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For the data given below, What would the naive forecast be for the next period?
Period Demand
1 60
2 58
3 56
4 54
a. 58
b. 62
c. 59.5
d. 52
e. cannot tell from the data given
Option d, As the demand for the fourth period is 54, not 52, the naïve forecast for the following period is not 52, and it is also the incorrect response.
We just assume that the demand for the upcoming period will be the same as the demand for the present period in order to compute a naïve estimate for that period. As a result, the demand for the most recent period would be the same as the naïve projection for the following period.
The most recent demand figure in this instance is 54. (for period 4). Hence, 54 would be the naïve prediction for the next time.
As a result, option d would be the right response. 52 is not the right response because demand for the fourth period is 54.
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Technically, a supply chain stretches from raw materials and parts all the way to customer delivery.
Technically, a supply chain stretches from raw materials and parts all the way to customer delivery.
The statement is true.
Supply chain management (SCM) is the control of the glide of products and offerings among businesses and locations. this may encompass the motion and storage of uncooked substances, work-in-process stock, completed items, and quit to cease order fulfillment from the point of beginning to the point of intake.
Interconnected, interrelated, or interlinked networks, channels, and node corporations integrate inside the provision of products and services required via quit clients in a supply chain.
Supply-chain control has been described because of the "layout, planning, execution, control, and tracking of deliver chain activities with the goal of creating internet fees, building a competitive infrastructure, leveraging global logistics, synchronizing deliver with a call for and measuring overall performance globally".
Your question is incomplete. Please read below to find the missing content.
Technically, a supply chain stretches from raw materials and parts all the way to customer delivery.
a. True
b. False
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R. E. Lee recently took his company public through an initial public offering. He is expanding the business quickly to take advantage of an otherwise unexploited market. Growth for his company is expected to be 40 percent for the first three years and then he expects it to slow down to a constant 15 percent. The most recent dividend was $0.75. Based on the most recent returns, the beta for his company is approximately 1.5. The risk-free rate is 8 percent and the market risk premium is 6 percent. What is the current price of Lee's stock
Answer: $77.13
Explanation:
Based on the information given in the question, the current price of Lee's stock will be calculated thus:
First, the required rate of return will be:
= 8% + (1.5 × 6%) = 8% + 9% = 17%
Year 1:
Cash flow: 1.05
Present value: 0.90
Year 2:
Cash flow: 1.47
Present value: 1.07
Year 3:
Cash flow: 2.06
Present value: 1.28
Year 4:
Cash flow: 118.34
Present value: 73.88
The current price of Lee's stock will be:
= 0.90 + 1.07 + 1.28 + 73.88
= 77.13
The current price of Lee's stock is $77.13.
Consider the businesses that began in the founders garages? What were the benefits of starting in there garage for these companies ? Would you ever consider starting your business in your garage why or why not
Some of the benefits of starting their companies in their garage to the businesses were:
Low costs of operations Allows for work at odd hours Comfortable and familiar environmentFor the benefits above given, I would consider starting my business in my garage.
What are the benefits of starting a business in a garage?When you have your business in your own garage, you won't have to pay for things like rent and utilities for the business alone which would save you from costs of operating.
You can also work at the garage in odd hours like the early mornings and late nights without worrying about safety or being too far from home.
Also, you can dress as comfortably as you like because you'll still be home. This will help with creativity.
These are good reasons why I would start my business from my garage.
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The Investment Services business area at Global Banking Inc. is preparing a proposal for a new contract to develop a new internet banking program. The internet banking program must Help four releases to be built 10 months apart beginning 12 months after contract award. The customer requires the product to be fully tested and installed three months before the official releases. The banking program has been estimated to require 40,000 lines of code (8,000 for basic functionality, 8,000 for build 0 unique functionality, 10,000 for build 1 unique functionality, 8,000 for build 2 unique functionality, and 6,000 for build 3 unique functionality). Your organization has not previously developed in this domain so you are using 10 lines of code per day as a very conservative productivity estimate.
What software development process model do you suggest?
Waterfall/Evolutionary
Spiral Model
COTS Integration
Agile Development
Based on the provided information, the Agile Development model would be the most suitable software development process model for developing the new internet banking program for Global Banking Inc. Here's the rationale for choosing Agile:
1. Iterative and Incremental Development: Agile Development follows an iterative and incremental approach, which aligns well with the requirement of delivering the program in four releases, 10 months apart.
2. Emphasis on Customer Collaboration: Agile Development emphasizes close collaboration with the customer throughout the project.
3. Faster Time-to-Market: Agile Development, with its iterative nature, enables the delivery of working software in shorter cycles. This aligns with the customer's requirement of having the product fully tested and installed three months before the official releases.
4. Ability to Manage Risks: Agile Development promotes risk management throughout the project by identifying and addressing potential challenges early on.
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true or false: the firm's senior executives need to understand the financial implications of the it initiative so they can decide whether to allocate resources to it. true false question. true false
Senior executives of a company must be aware of the financial effects of their projects before deciding whether to dedicate resources to them. This assertion is true.
The future wealth of people should be anticipated to rise. Managing the company's finances is part of finance. The financial manager is responsible for determining how much money is needed and when, how to spend the cash most effectively, and how to secure the necessary finance. Financial planning, investment, and financing are the duties of the financial manager.
Senior executives are often in charge of overseeing certain divisions or departments within their organization and making sure that they are in line with corporate growth strategy. They could also be in charge of directing the work of department heads who supervise smaller teams of workers.
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an investment will pay you $97,000 in four years. assume the appropriate discount rate is 7.75 percent compounded daily. what is the present value?
The present value of an investment paying $97,000 in four years, assuming the appropriate discount rate is 7.75 percent compounded daily, is $74,953.20.
The present value of an investment is the current worth of a future sum of money or stream of cash flows given a specified rate of return. This can be calculated by discounting the future cash flows back to the present day. The discount rate is the interest rate used to calculate the present value.
In this case, the investment will pay $97,000 in four years, and the appropriate discount rate is 7.75 percent compounded daily. To calculate the present value, we need to calculate the present value of each of the future cash flows using the discount rate.
We can use the formula PV = FV / (1 + r)^t, where PV is the present value, FV is the future value, r is the interest rate, and t is the time period.
In this case, the FV is $97,000, r is 7.75%, and t is 4 years. Using this formula,
the present value is $74,953.20. Therefore, the present value of an investment paying $97,000 in four years,
assuming the appropriate discount rate is 7.75 percent compounded daily, is $74,953.20.
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Improvements in technology have allowed schools to use electronic books rather than original textbooks. Electronic books have _________ in supply.
a. increased
b. decreased
Improvements in technology have allowed schools to use electronic books rather than original textbooks. Electronic books have increased in supply. Option A
What are electronic books?E-books, or electronic books, are digital files including text and images that may be distributed electronically and displayed on screens in a way that is comparable to a traditional book.
eBooks are portable and light, making them simple to transport. A single eBook reader may store thousands of eBooks, saving you from lugging many heavy books. Both in your house and your purse, it frees up a lot of room. Concerning the storage cap, one should not worry.
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Scenario A
College graduates are moving back in with family in record numbers. They are waiting longer than previous generations to buy homes and start families. Data show downward trends in new home building, mortgage applications, and the birthrate. Multiple markets are complaining of falling demand. A national supplier of home goods permanently shut down. The media is calling babies born today part of the “baby bust generation.” Economists predict future school closings and labor shortages.
Would the Fed address the scenario with expansionary or contractionary policy? Explain.
What is a specific monetary action the Fed might use in this scenario? Identify the tool and how the Fed would use it. Explain how this would address the scenario.
What is a specific fiscal action that Congress might use in this scenario?
The Fed would address the scenario with an expansionary policy as this is the policy that stimulates demand.
The specific monetary action that the Fed can take in this scenario is decreasing the Fed Funds rate, to reduce interest rates on loans.
Congress can use the specific fiscal action by offering tax breaks to young people who buy houses.
How can demand be stimulated ?The Fed Funds rate is the rate that banks borrow from each other. If the Fed was able to decrease this rate, then it would lead to loan interest rates falling which would allow the young college graduates to be better able to buy homes and start families.
Congress for its part, can embark on the fiscal action of giving tax breaks to young college graduates who buy houses and start families. This would encourage them to buy houses knowing they will pay less taxes.
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Two investment centers at Marshman Corporation have the following current-year income and asset data:
Investment Center A Investment Center B
Investment center income $500,000 $610,600
Investment center average invested assets $2,600,000 $2,150,000
The return on investment (ROI) for Investment Center B is:
a. 352.1%
b. 28.4%
c. 24.6%
d. 42.7%
e. 23.4%
The return on investment (ROI) for **Investment Center B** is **28.4%**.
ROI is calculated by dividing the investment center income by the average invested assets and expressing it as a percentage.
For Investment Center B, the ROI can be calculated as follows:
ROI = (Investment Center B income / Investment Center B average invested assets) * 100
= ($610,600 / $2,150,000) * 100
= 28.4%
Therefore, the correct answer is option b. 28.4%.
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a marketer who expects to be effective in the international marketplace should:
A marketer who expects to be effective in the international marketplace should ensure that the marketing mix is tailored to the culture and needs of the target market. A marketer, including sport marketers, who aims to be effective in the international marketplace should prioritize tailoring the marketing mix to the culture and needs of the target market
Globalization has made it easier for businesses to enter international markets, and companies are increasingly searching for opportunities to expand their businesses worldwide. However, global marketing is not easy, as marketers face a variety of issues that must be addressed to ensure that their business is successful in foreign markets.The marketing mix must be tailored to the culture and needs of the target market if a marketer expects to be effective in the international marketplace. When entering foreign markets, the marketing mix should be carefully designed to fit the local market's unique characteristics.
These may include differences in consumer preferences, cultural differences, and other factors that may impact marketing effectiveness. They should also carefully evaluate their competitors in these markets and design marketing strategies that can effectively compete with them. The marketing mix must be customized to the target market, including product design, pricing, promotion, and distribution.
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Why is it important to maintain network relationships, even after you have found a job?
a. You never know when you are going to have to find a new job.
b. You can return the favor by helping network members with career advice and job leads.
You will remain informed and connected to people in your field.
d. All of the above
C.
Please select the best answer from the choices provided
ΟΑ
B
С
OD
Answer:
D (all of the above)
Explanation:
When a person has gotten a job, it is critical to keep network contacts since a person never know when he will need to locate a new career, and he will stay informed and connected to bin his sector.
What is network relationships?Relationship networking is another name for network relationships. It's all about making connections and finding ways for both sides to gain. Like the relationship, networking and partnerships intersect in numerous ways, resulting in economic potential.
Even when a person has gotten a job, it is critical to keep network contacts since you never know when you will need to locate a new career, and he will stay informed and connected to people in the sector.
With the utilization of network ties, an individual might refund the kindness by supplying career counseling and job metals to network members.
Therefore, option D is correct.
Learn more about the network relationships, refer to:
https://brainly.com/question/14743693
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