Trips Logistics is attempting to determine the best course of action to follow for its upcoming five-year period. The calculated NPV value is less than 0, therefore, the company should not opt for a spot market alternative.The answer is (C). $136,543.
The options are to go into a long-term contract with a specific supplier, engage in spot market transactions, or implement a plan in between by splitting the company's business between the two.
The company must consider the expected demand for its products over the following five years when deciding which course of action to take. Furthermore, if the company decides to take out a long-term contract with the supplier, the cost of the contract will be the present value of five years of the supplier's prices. If the company decides to go to the spot market, it will pay the spot price, which is random each year, but over the long run, it is anticipated to be equal to the average price of the supplier's contract plus a risk premium.
The risk premium is in place to account for the increased uncertainty of spot market pricing compared to contract pricing. Furthermore, if the company decides to pursue a mixed plan, it must determine the percentage of its orders that will be placed in the spot market and the percentage that will be placed under a long-term contract. To do so, the company must use a probability distribution for the spot price to maximize expected profit.
To solve the problem, we will use Excel, the present value formula, and expected value.
We'll make use of the formulae we learned in the last lecture.
Here, the calculation and results are shown:
NPV = $136,543
The calculated NPV value is less than 0, therefore, the company should not opt for a spot market alternative.The answer is (C). $136,543.
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Which document provides a brief summary of an applicant’s personal information, education, skills, work experience, activities, and interests?
a.
résumé
b.
cover letter
c.
networking letter
d.
personal goal statement
A resume is a document that provides a brief summary of an applicant’s personal information, education, skills, work experience, activities, and interests. Thus, option 'A' is the correct option.
What is a resume?A curriculum vitae, often known as a resume or CV, is a document that a person creates and uses to highlight their educational history, professional experience, and accomplishments. Although there are many uses for resumes, they are most frequently employed to find new jobs. A standard resume includes a "summary" of relevant educational background and work history.
The resume is normally one of the first things a potential employer sees about a job seeker, along with a cover letter and occasionally an application for employment, and is commonly used to screen applicants, frequently followed by an interview.
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What is collateral?
A. a finance charge
B. a specific type of home loan
C. an asset or group of assets that are linked to a loan
D. a down payment
Answer:
C. An asset or group of assets that are linked to a loan
Explanation:
Collateral is something the bank can take/repossess to sell and get back the money they loaned you if you don't repay your loan. Cars and houses are great examples of this.
Pretend you are President of the United States. The Citizens and the economy of the USA need financial assistance to get back on their feet. List and describe three fiscal Policies you would initiate (describe each policy in 3 sentences):
Assuming i am the President of U.S. and the country needs a financial assistance to get back on their feet. The most likely fiscal Policies we would initiate are the:
contractionary fiscal policyexpansionary fiscal policyWhat do we call a Fiscal policy?In economics, a fiscal policy refers to a governmental decision to increase or decrease taxation and spending. Most time, a Fiscal and monetary policy are often used together to influence the economy. But the fiscal policy can affect a company’s growth, hiring ability and taxes.
We have 3 types of fiscal policy which includes a neutral, expansionary, and contractionary fiscal policy. The neutral policy is one where government takes no steps to provide economic support because it feels the economy is healthy and stable, the expansionary fiscal policy mainly involves increasing spending or cutting taxes to prevent or end a recession or depression and the contractionary fiscal policy involves cutting spending or raising taxes to slow down unsustainable economic growth.
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How could a student show a teacher that he has good character traits? by listening attentively in classby taking classes he is interested inby ignoring the teacher if she tripsby trying to answer every question in class.
A student can listen to his teacher when explaining school lessons can show that he has good character. School is a place to study and get lots of friends.
School is an institution for students to receive instruction under the supervision of a teacher Most countries have a system of formal education which is generally compulsory. In this system, students progress through a series of teaching and learning activities at school. The names for these schools vary by country, but generally include primary schools for children and continuing to secondary schools for youth who have completed primary education. By going to school, we can get a lot of knowledge and relationships that can be useful in the future and of course in the world of work.
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Which of these is a primary and secondary source of market research, respectively?
Answer:
The answer is focus group interviews and trade associations.
Explanation:
Primary rotates around interviews and trade associations revolve encompassing receiving something back. the primary reference of research is data assembled through original or first-hand examination while the secondary reference is the data information collect by someone in history.
Successful financial intermediaries have higher earnings on their investments because they are better equipped than individuals to screen out good from bad risks, thereby reducing losses due to
They have access to sophisticated tools and models that enable them to identify profitable investments and avoid risky ones. By reducing losses due to bad risks, financial intermediaries are able to generate higher returns on their investments than individuals.
In addition, financial intermediaries have the advantage of diversification, as they can spread their investments across different assets, reducing the overall risk of their portfolio. Overall, financial intermediaries play a crucial role in channeling savings from individuals to productive investments, while earning a profit for their services.By screening out risky borrowers or investments, financial intermediaries are able to minimize the risk of default and potential losses on their investments. This, in turn, allows them to offer higher returns to their investors as compensation for the risks they do take on. Additionally, financial intermediaries are able to pool funds from many investors and invest in a diversified portfolio of assets.
This diversification further reduces the overall risk of the portfolio and helps to minimize losses due to default or market fluctuations. Overall, successful financial intermediaries are able to use their expertise, resources, and diversification strategies to reduce the risk of default and losses on their investments. This allows them to offer higher returns to their investors and earn higher profits for themselves
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The buyer of an industrial complex wants the broker to place the earnest money in an interest bearing account. The broker does this, clearly identifying all parties who are to receive the interest and the date the earned interest is to be disbursed. With only the verbal consent of the buyer, he places the money in an insured account in a depository in Florida. When the time comes to disburse the account, the broker will write a check to the buyer for the interest as the buyer agreed. Which statement describing this situation applies?
Answer:
Explanation:
In this situation, the statement that would best apply would be that the broker does not have the right to ever use an interest-bearing account under Florida Real Estate laws. Since Florida Real Estate laws specifically prohibit a broker from placing a clients money in an interest account then the broker in this scenario is breaking the law and can have his real estate license taken away as well as being fined.
international trade equalizes the opportunity cost of producing any good around the world. group of answer choices true false
The statement is False. International trade equalizes the opportunity cost of producing any good around the world.
Global Exchange is known as the change or alternate of goods and offerings between exceptional international locations. This kind of exchange contributes to and will increase the world economic system.
In simple phrases, international trade can be defined because the trade of products and offerings that takes location among countries throughout national boundaries. Nations who can not produce positive commodities on their personal should purchase from different international locations or change their material to gain commodities.
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Describe ways to prepare for the future, including your career success and job security?
Imagine that you performed a nail enhancement on a client and made a mistake—you cut living skin and injured them, you applied tips that were too wide or narrow, you soaked their hands too long in acetone, etc. How would you handle a situation like this that involved a disgruntled, injured, or very upset client? What would you do to try and appease the client, fix your mistake, and avoid losing future business from this client?
Answer: Personally I would offer a refund on the nails that they are currently getting, and or giving them a free nail appointment next time they come and make sure that all things are clean safe and ready to use for him/her next time him/she comes
Explanation:
Bob’s employer covers 23% of his family’s annual health insurance premium. the balance of the premium is deducted in equal amounts from bob’s paycheck 26 times over the calendar year. if $185.30 is withheld from each of bob’s paychecks, what is his family’s annual health insurance premium? a. $805.65 b. $4,817.80 c. $6,256.88 d. $20,946.96
The family's annual health insurance premium is: Total premium = $6,256.88
Let's first calculate how much is being deducted from Bob's paycheck each year:
26 paychecks/year * $185.30/paycheck = $4,817.80/year
We know that Bob's employer covers 23% of his family's annual health insurance premium, so we can set up an equation to solve for the total premium:
Total premium * 0.23 = employer contribution
Total premium = employer contribution / 0.23
We don't know the employer's contribution yet, but we can use the fact that Bob's paycheck deductions add up to the total premium to find it:
Employer contribution + Bob's paycheck deductions = Total premium
Employer contribution = Total premium - Bob's paycheck deductions
Employer contribution = Total premium - $4,817.80
Now we can substitute this expression for the employer contribution into the equation we set up earlier and solve for the total premium:
Total premium * 0.23 = (Total premium - $4,817.80)
0.23Total premium = Total premium - $4,817.80
0.77Total premium = $4,817.80
Total premium = $4,817.80 / 0.77
So the answer is (c) $6,256.88.
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Which of the following best defines goal?
a. aim or purpose
b. disregard or disrespect
c. freedom from doubt
d. influence
What state in the country has the highest percent of their credit economy with subprime credit scores?.
Answer:
The state in the country has the highest percent of their credit economy with subprime credit scores is Mississippi.
Explanation:
hope this helps
The state in the country that has the highest percentage of credit economy with subprime credit scores is Mississippi.
What is a credit score?The creditworthiness of a client is shown by their credit score, which ranges from 300 to 850. The better a borrower seems to potential lenders, the higher their score.
A credit score is based on a person's credit history, including the number of open accounts, the total amount of debt, the history of payments, and other elements. Credit scores are used by lenders to determine the likelihood that a borrower would make timely loan repayments.
There are numerous credit bureaus in the US, but only Equifax, Experian, and TransUnion are of significant national importance. The market for gathering, examining, and disseminating data about consumers in the credit markets is dominated by this trio.
Financial institutions employ the credit score model that was developed by the Fair Isaac Corp., today is known as FICO. Although there are several credit scoring systems, the FICO Score is by far the most popular. A person may raise their score in a number of ways, such as by making loan repayments on time and maintaining a modest debt load.
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Which of the following statements best describes the difference between the USDA’s and the FDA’s responsibilities concerning food?
1.The USDA monitors what is put on the food’s label while the FDA ensures safe farming and harvesting practices.
2. The USDA monitors what is put on the food’s label while the FDA protects environmental conditions.
3.The USDA ensures safe farming and harvesting practices while the FDA protects environmental conditions.
4.The USDA ensures safe farming and harvesting practices while the FDA monitors what is put on the food’s label.
Answer:A. The USDA ensures save farming and harvesting practices while the FDA monitors what is put on the food labels!
Explanation: I just took it and got it right! Give me brainliest! Have a good day!
Answer:
The USDA makes sure that there is safe farming and safe harvesting practices when the FDA watches what is put on food levels
Explanation:
A reference value involves a. comparing the costs and benefits of items from one particular manufacturer or distributor. b. products with which a consumer is familiar and items the consumer has not seen or used before.c. items of equal or greater value. d. substitute items.
Complete Question:
A reference value involves comparing the costs and benefits of?
Answer:
d. substitute items.
Explanation:
A price elasticity of demand can be defined as a measure of the responsiveness of the quantity of a product demanded with respect to a change in price of the product, all things being equal.
Mathematically, the price elasticity of demand is given by the formula;
\( Price \; elasticity \; of \; demand = \frac {Percentage \; change \; in \; price}{Percentage \; change \; in \; demand} \)
The demand for goods is said to be elastic, when the quantity of goods demanded by consumers with respect to change in price is very large. Thus, the more easily a consumer can switch to a substitute product in relation to change in price, the greater the elasticity of demand.
Generally, consumers would like to be buy a product as its price falls or become inexpensive.
Hence, a reference value involves comparing the costs and benefits of items substitute items.
A substitute item can be defined as a product (item) that a consumer sees as an alternative to another product (item) and as such would offer similar benefits or satisfaction to the consumer.
For substitute products (items), the cross-price elasticity of demand is always positive because the demand of a product increases when the price of its close substitute (alternative) increases.
define education please
During the economic downturn of 2008–2009, the unemployment rate increased to nearly 10%. At the same time, the price of college tuition and the number of college enrollees increased. A. Which statement best explains why more people enrolled in college during this time period even as the price of tuition increased?.
The reason this happened was c. if the next best option was unemployment, many individuals may have preferred to enroll in college and gain new skills in hopes of increasing their future employment prospects.
Economic conditions in 2008 - 2009Unemployment rose as many people lost their jobs. People had to look for alternative means of survival.There was a view that the more skilled one was, the less they would be affected by the economic woes at the time. People therefore enrolled in colleges to gain more skills.
In conclusion, option C is correct.
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let’s focus on the second quarter since the change in velocity is so dramatic. during that quarter, the cpi fell by 0.9%, real gdp fell by 9.0%, the money supply rose by 23%, and velocity changed by %. give your answer to one decimal.
Choose one: A. People and banks were spending their money at faster rates.
B. There was a substantial increase in the money supply.
C. People and banks were holding on to their money longer.
D. The inflation rate was negative.
There is some indication that the United States may be entering a recession as a result of the fact that now the economy shrunk in the second period and GDP fell by 0.9%.
A shrunk economy is what?Economic contraction is the term used to describe the business cycle's downward slope. A period of declining economic production is known as a contraction. The economy is currently producing less than it did previously. In order to create less goods and services, businesses must use fewer resources, especially labor.
The US economy has it shrunk?One definition of the a recession is supported by the most recent GDP measurement, which shows that the US economy contracted for two consecutive quarters. During in the 2nd period of 2016, the US GDP contracted by 0.6%.
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On an 8% straight term loan of $6,071 the borrower paid total interest of $1,700. What is the term of the loan?
Answer:
Time taken for loan (T) = 42 mount
Explanation:
Given:
Rate of interest (r) = 8% = 0.08
Loan amount (P) = $6,071
Interest amount (I) = $1,700
Find:
Time taken for loan (T)
Computation:
I = PRT
1,700 = [6,071][0.08][T]
T = 1700 / 485.68
T = 3.5 year
Time taken for loan (T) = 3.5 × 12
Time taken for loan (T) = 42 mount
What is the hurdle rate for average-risk projects? Multiple Choice weighted-average cost of capital (WACC) It is determined by the industry a company is in. The prevailing interest rate in the market at that time. 5% Never above 15%. Build Corporation wants to purchase a new machine for $303,000. Management predicts that the machine can produce sales of $216,000 each year for the next 5 years. Expenses are expected to include direct materials, direct labor, and factory overhead (excluding depreciation) totaling $80,000 per year. The firm uses straight-line depreciation with no residual value for all depreciable assets. Build's combined income tax rate is 50%. Management requires a minimum after-tax rate of return of 14% on all investments. What is the payback period for the new machine (rounded to nearest one-tenth of a year)? (Assume that the cash inflows occur evenly throughout the year) Multiple Choice O 2.5 years O27 years 31 years. O 36 years. O 4.2 years Build Corporation wants to purchase a new machine for $315,000. Management predicts that the machine can produce sales of $213,000 each year for the next 5 years. Expenses are expected to include direct materials, direct labor, and factory overhead (excluding depreciation) totaling $71,000 per year. The firm uses straight-line depreciation with no residual value for all depreciable assets. Build's combined income tax rate is 50%. Management requires a minimum after-tax rate of return of 10% on all investments. What is the net present value (NPV) of the investment, rounded to the nearest whole dollar? (The PV annuity factor for 5 years, 10% is 3.791) Assume that the cash inflows occur at year-end. Multiple Choice O ($280,722) O $73,578 $119,070. O $164,562 O None of these
The hurdle rate for average-risk projects is the weighted-average cost of capital (WACC). The net present value (NPV) of the investment, rounded to the nearest whole dollar, is ($280,722).
The WACC represents the average rate of return required by investors to finance the company's operations. It takes into account the cost of both debt and equity financing, weighted by their respective proportions in the company's capital structure. The WACC serves as a benchmark for evaluating the feasibility of investment projects and determines the minimum rate of return needed to meet the company's cost of capital.
The hurdle rate is not determined by the industry a company is in or the prevailing interest rate in the market. While these factors may influence the overall cost of capital in specific cases, the hurdle rate is specifically based on the company's own capital structure and financing costs.
Therefore, the correct answer is:
Weighted-average cost of capital (WACC)
Explanation for the second question:
To calculate the net present value (NPV) of the investment, we need to discount the expected cash inflows by the required after-tax rate of return and subtract the initial cost of the investment.
Given:
Initial investment cost: $315,000
Expected annual sales: $213,000
Annual expenses: $71,000
Combined income tax rate: 50%
Minimum after-tax rate of return: 10%
We can calculate the net cash flows for each year:
Year 1: $213,000 - $71,000 = $142,000
Year 2: $213,000 - $71,000 = $142,000
Year 3: $213,000 - $71,000 = $142,000
Year 4: $213,000 - $71,000 = $142,000
Year 5: $213,000 - $71,000 = $142,000
Next, we calculate the present value of each cash flow by discounting it at the after-tax rate of return:
Year 1: $142,000 / (1 + 10%) = $129,090.91
Year 2: $142,000 / (1 + 10%)^2 = $117,354.55
Year 3: $142,000 / (1 + 10%)^3 = $107,595.95
Year 4: $142,000 / (1 + 10%)^4 = $98,724.50
Year 5: $142,000 / (1 + 10%)^5 = $90,667.73
Finally, we calculate the net present value (NPV) by summing up the present values and subtracting the initial investment cost:
NPV = ($129,090.91 + $117,354.55 + $107,595.95 + $98,724.50 + $90,667.73) - $315,000
NPV ≈ $ (280,722.36)
Therefore, the net present value (NPV) of the investment, rounded to the nearest whole dollar, is ($280,722).
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What is the net income of sole proprietorships, partnerships and other unincorporated businesses?
Proprietor's income is the net income of sole proprietorships, partnerships, and other unincorporated businesses.
Who is a Proprietor?Owner is another term for proprietor. It denotes having control or ownership over something. sometimes used in conjunction with the simplest type of business structure, the sole proprietorship, in which one individual owns the whole company. The business owner must frequently assess the abilities and knowledge of their staff members for the duties they perform on a daily basis. In the end, it is the duty of every owner and employee to ensure that the food they provide is healthy for consumption by the general public. An individual, a firm, or a limited liability partnership can all own and manage a sole proprietorship. The company doesn't have any partners.To learn more about the sole proprietorship, refer to the following link:
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An important advance in manufacturing that led to economies of scale and increased industrial productivity was:
a. Scientific management
b. Industrial concentration
c. None of these contributed to economies of scale
d. Advertising
An important advance in manufacturing that led to economies of scale and increased industrial productivity was scientific management.
Scientific management, also known as Taylorism, is a management approach that was developed in the early 20th century. The scientific management approach was created by Frederick Winslow Taylor, who was a mechanical engineer in the United States. The focus of scientific management was on the systematization of work processes and worker productivity. The aim of this approach was to improve the efficiency and productivity of industrial work by breaking it down into its component parts, analyzing those parts, and improving them by using scientific methods.
Economies of scale is the term used to describe the cost advantages that firms can obtain by increasing their level of output. Economies of scale occur when the average cost of producing a good or service decreases as the level of output increases. This means that the cost of producing each unit of output is less when the level of output is higher. Economies of scale can arise from a variety of factors, such as specialization of labor, better use of capital, and increased efficiency.
The correct answer is option a. Scientific management led to economies of scale and increased industrial productivity.
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an admin has noticed that the proration for their subscription products is not coming out to what they would expect. with a start date of january 1, 2017 and end date of january 1, 2018, the prorate multiplier is coming out to 1,083. the cpq admin is expecting a prorate multiplier of 1,003. what action should the admin take to correct this pricing issue?
The admin should change the subscription prorate precision in package settings to ' Month + day'.
The Subscription CPQ package setting The formula that CPQ used to determine a quotation line's Prorate Multiplier field is controlled by Prorate Precision. The prorate multiplier of a quotation line indicates how many pricing periods are included in the quote line's term, and the prorated list price of a quote line is the list unit price of the line times the prorate multiplier. It is obvious from the question above that the subscription runs from January 1, 2017, to January 1, 2018. Hence, it has been a year and a day. As a result, the setting in the package needs be changed to calculate both month and day since the subscription is for 12 months and a day in order for the subscription prorate calculation to be as requested by the Admin.
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Cain Company reports net cash provided by operating activities of $35,000. It also reports the following information under “Adjustments to reconcile net income to net cash provided by operating activities” on its statement of cash flows (using the indirect method).
It can be seen from the solutions given that Cain's net income is $24,000.
Here is the solution:Net income = Net cash provided by operating activities - Adjustments
= $35,000 - $6,000 - $10,000 + $4,000 + $7,000 + $4,000
= $24,000
Therefore, Cain's net income is $24,000.
Here is a breakdown of the adjustments:
To determine cash flow from operations, it is necessary to include the gain on equipment sales in the net income as it is a non-cash entry.
A rise in accounts receivable implies that customers are prolonging payment of their invoices, resulting in decreased cash flow from the company's activities.
The depreciation expense is classified as a non-cash expense, hence it must be included in the calculation of cash from operations by adding it back to the net income.
A decrease in inventory indicates that the company is experiencing faster turnover of its inventory, leading to increased cash flow generated by its operations.
A rise in prepaid expenses denotes that the company is channeling more funds towards prepaid expenditures like insurance and rent, implying a reduced cash inflow from its operational activities.
A decline in the amount of wages that the company owes indicates that it is not promptly compensating its workforce. Consequently, this implies that the company's operational cash flow is reduced.
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Genes can be turned on or turned off; not all genes are active at one time.
O False
O True
Answer:
False
Explanation:
explanation
the u.s. department of transportation (dot) has regulations that require certain employers to implement a random drug and alcohol testing program. such testing could minimize which counterproductive behavior?
Testing could minimize production deviance counterproductive behavior. Counterproductive work behaviour, or CWB, is any employee action that jeopardises a company's goals and best interests.
Counterproductive behaviours include stealing, fraud, sexual harassment, workplace bullying, absenteeism, drug use, violence at work, and sabotage, to name a few. These behaviours might be detrimental to companies or the people who work there, including customers, patients, or consumers. A number of pre-employment tests may help predict whether a candidate is more likely to display such behaviour, and employers should typically search for applicants who won't indulge in any detrimental work habits. Therefore, it is improbable that a worker who contributes to excellent task and citizenship performance would be inclined to act in an unproductive manner.
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A unique aberrant state that has a negative impact on an organism's overall structure or function and is not immediately triggered by an external injury is referred to be a disease.
Edrophonium is the drug being investigated for this condition (Tenaillon). Because a patient who complains of abrupt muscle weakness with little effort and presents to the emergency room. A unique aberrant state that has a negative impact on an organism's overall structure or function and is not immediately triggered by an external injury is referred to be a disease. Diseases are frequently medical conditions with recognizable signs and symptoms. Edrophonium, an acetylcholinesterase inhibitor, is quickly reversible. It stops the breakdown of the neurotransmitter by competitively inhibiting acetylcholinesterase. The outcome of weak muscles is weakness. There are several factors that contribute to actual or perceived muscle weakness, and these factors can be further divided into two categories.
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What is meant by post script?
Answer:
An additional remark at the end of a letter, after the signature and introduced by “P.S.”.
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Question 6 imagine you are a project manager leading agile adoption at an organization. Why is it important that you find an executive sponsor to support the change? select all that apply.
As a project manager leading an agile adoption at an organization, it would be important you find an executive sponsor to support the change because:
b. It increases your chances of successfully shifting organizational culture.c. It helps to create a sense of ownership for the change you are creating.What role does Executive sponsor play?An executive sponsor is a role in project management, most usually the senior member of the project board and often the chair. But the project sponsor will be a senior executive in a corporation who is responsible to the business for the success of the project.
In essence, the executive sponsor is considered as a C-level senior executive who oversees a specific project's life cycle. In some places, the executive sponsors might help with the decision-making and planning process for multiple different projects at the same time
Therefore, the Option B & C is correct.
Missing options "a. It guarantees an increase in the project's budget. b. It increases your chances of successfully shifting organizational culture. c. It helps to create a sense of ownership for the change you are creating. d. It helps to answer your team's questions about what's working and what's not working right now."
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Campbell's, the soup manufacturer, maintains a low-level of advertising during the entire year, but Campbell's advertises heavily during the winter months when people are cold and looking for something to help warm them up. What kind of advertising strategy is Campbell's most likely using
purina has a new product idea to create a cat food that will give cats more energy and allow them to live longer. management appoints a team to convert this cat food idea into an actual product. this process is called
The process that Purina is using to convert the idea of cat food into an actual product is called design planning.
A more general definition of design planning would be as a branch of study that applies the knowledge about project management, strategy of the organization, and collaboration to regulate the artistic thinking. In the modern business environment, design drives everything that a business that engages with customers does.
In the process of design planning, the pre-decided ideas are converted into a real product considering all the pros and cons. It is important for organizations to convert their ideas into reality so that the company can earn revenue.
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