Answer:
An effective advertising message tells customers the benefits of what you have to offer.
Explanation:
The main goal of an effective advertising message is to convince the potential customer population that their product is right for them and is the best choice in the current market. This is done by telling customers the benefits of what you have to offer. If the advertisement shows customer that the product provides a needed benefit to them it will be an efficient advertisement and convince them to buy it.
What are the two factors used to calculate productivity?
A. Goods produced and number of customers
B. Resources invested and goods lost
C. Goods produced and employees hired
D. Goods produced and resources invested
Goods produced and resources invested re the two factors used to calculate productivity.
How productivity is measured?Productivity is measured from different factors in the organization like the profit generate from the sales, number of customer increases, the amount of money invested in the company, the goods that are consumed of sell within span of time and others.
Thus, option D is correct.
For more details about productivity is measured, click here:
https://brainly.com/question/12693045
#SPJ2
Answer:
Goods produced and resources invested
Explanation:
what can be the scopes of technicians
Answer:
Technicians are skilled workers that work with complex systems or perform highly technical mechanical or diagnostic tests. Depending on the field, technicians may work independently or under the direction of a professional. Technicians can work indoors or might spend most of their time outside.
Jasper has been working a lot of overtime during the most current economic expansion. As a result, his income is high enough for him to move from the 12 percent tax bracket to the 22 percent tax bracket. The increased amount Jasper pays to the government is an example of:
The increased taxes paid to the government by Johnny represent what are known as automatic stabilizers slowing the economy.
What are automatic stabilizers?These are factors in the economy that stop it from growing too fast that it becomes overheated.
Taxes are one such stabilizer because in making sure that people pay more to the government when they earn more, their spending is reduced which means that the economy doesn't grow too much.
Find out more on economic stabilizers at https://brainly.com/question/1346450.
which kind of a person will you be if you prove to be accountable for your actions ?
I would be _ .
A company issues $100,000 of 5%, 10-year bonds dated january 1. The bonds pay interest semiannually on june 30 and december 31 each year. If the bonds are sold at par value, the issuer records the sale with a debit to.
In a situation were the bonds are sold at par value, the issuer will records the sale with a debit to: Cash $100,000.
Journal entryBased on the information given if the company issues the amount of $100,000 of 5%, 10-year bonds in the month of january the appropriate journal entry to record this transaction is:
Debit Cash $100,000
Credit Bond payable $100,000
(To record bonds sold at par value)
Inconclusion the issuer will records the sale with a debit to: Cash $100,000.
Learn more about journal entry here:brainly.com/question/14279491
1. lYour friend says, "I have some extra money, but I'm not sure if I should save or invest it." What key questions
would you ask your friend to help them figure out what to do?
Answer:
Answer below:
Explanation:
I would ask if he wants the highest return rates possible? interested in setting money aside to take advantage of compound interest and letting it grow over time? If you choose to invest do you understand that it comes with possible risk? Do you prefer playing it safe and getting an annual return of 0 to 2 % or playing it risky by investing and getting a potential 6 to 10 % annual return?
Select the correct answer from each drop-down menu.
Which type of flowchart scheduling technique has a fixed duration of production activities? In which type of flowchart are they probabilistic?
The
type of flow chart has a fixed duration for production activities. The
type has a probabilistic duration for production activities.
Whereas the random (or probabilistic) form of flowchart scheduling approach has a probabilistic length for production activities, the deterministic type has a definite time for product activities.
How do you define a product?Definition: The object being sold is referred to as a product. Goods can be either services or things. It might show up physically, virtually, or online. Every product has a cost associated with it, as well as a price. The price that can be charged is influenced by the market, the quality, the promotion, and the target audience.
Why is by-product important?By-product definition in English. anything that results from the creation of another item, or something unanticipated that occurs as a result of another thing.
To know more about product visit:
https://brainly.com/question/28813267
#SPJ1
What accounting book should a merchandising business use to show a payment and transaction history for each customer who bought items
with credit?
When a company has customers who buy units of merchandise on credit, its accountant will post entries in the ____
Answer:
Accounts receivable subsidiary ledger.
Explanation:
Answer: accounts receivable subsidiary ledger
Explanation:Specialized journals are useful when posting entries for frequent business transactions. For example, a cash receipt journal captures cash transactions. This is different from an accounts receivable subsidiary ledger, which shows a payment and transaction history for each customer who bought items with credit
3. What is an annual percentage rate (APR)? Describe one similarity and one
difference between the APR and the interest rate on a credit card or loan. Why
would the APR differ from a creditor's posted interest rate? In your response, also
explain how borrowers can use the APR to evaluate loan options, and describe why
borrowers should be wary of low introductory APRs. (8 points)
7
An annual percentage rate, or APR, is a figure that expresses the entire cost of borrowing money as a proportion of the loan's principle. An accurate picture of how much it costs to borrow money is intended to be provided by the APR on a loan or credit card.
What is annual percentage rate?The term annual percentage rate of charge refers to the interest rate for an entire year rather than just a monthly fee or rate as applied on a loan, home loan, credit card, etc. It can also be referred to as a nominal APR or an effective APR. It is an annual rate of a finance charge. An annual percentage rate, or APR, is a figure that expresses the entire cost of borrowing money as a proportion of the loan's principle. An accurate picture of how much it costs to borrow money is intended to be provided by the APR on a loan or credit card.
To learn more about annual percentage rate click,
https://brainly.com/question/2772156
#SPJ1
you own a portfolio that has $2,500 invested in stock a and $3,600 invested in stock b. assume the expected returns on these stocks are 10 percent and 16 percent, respectively. what is the expected return on the portfolio?
The expected return on the portfolio is 13.54%. To calculate the expected return on the portfolio, we need to take into account the weights of each stock.
The weight of stock A is $2,500 / ($2,500 + $3,600) = 0.41, and the weight of stock B is $3,600 / ($2,500 + $3,600) = 0.59. Next, we can calculate the expected return on the portfolio by multiplying the weight of each stock by its expected return and adding the results:
Expected return on stock A = 0.41 x 10% = 4.10%
Expected return on stock B = 0.59 x 16% = 9.44%
Expected return on the portfolio = 4.10% + 9.44% = 13.54%
Therefore, the expected return on the portfolio is 13.54%.
Learn more about stock here: brainly.com/question/29834949
#SPJ11
jones company wants to improve its debt equity ratio and offers holders of convertible bonds additional consideration for converting their bonds to common stock. during 20x1, the company paid $500,000 for such consideration. this amount should be
During 20X1, the company paid $500,000 for such consideration this amount should have same interest rates and at same maturity.
What happens when a bond is converted?The fundamental features of a bond are maintained when it is converted. The ownership, maturity date, interest rate, and interest payment schedule are all the same as they were previously. Converting a bond is not a taxable event as long as it is still producing interest.
In order to increase its debt-to-equity ratio, Jones Company is offering holders of convertible bonds extra compensation in exchange for converting their bonds into common stock. The corporation paid $500,000 in 20X1 for the consideration that the money should have the same interest rate and maturity. Therefore, the bonds can be concverted into stocks.
Learn more about bond here:
https://brainly.com/question/17405470
#SPJ1
In
, people invest money in a company in exchange for the company’s
.
Answer:
In equity crowdfunding, people invest money in a company in exchange for the company’s shares
Explanation:
Equity crowdfunding is the process in which people invest in start up companies and early stage companies that have not been listed on a stock market in exchange for shares in that company. As a result of the investment, the person becomes a shareholder and makes profit when the company do well but if the company fails, shareholders make losses.
Startups and early-stage companies use this method to raise capital.
Define career pleaseeeeeee i really need it
la carrera es por decirlo una expresion pero esto lo hace ser diferente como "vas muy a la carrera"
Which of the following information is needed when creating an effective budget? (1 point)
Onet income, variable expenses, fixed expenses, and savings
O gross income, variable income, fixed income, and savings
O net income, variable income, fixed income, and savings
O gross income, variable expenses, fixed expenses, and savings
Information is needed when creating an effective budget is net income, variable expenses, fixed expenses, and savings.
What is net income?Net income refers to the income of an individual or company after deducting expenses, benefits and taxes.
In business, net income is what a business has left over after all expenses, including wages, costs of goods or raw materials, and taxes. For an individual, net income is "take home" money after taxes, health insurance and pension contributions are deducted. Net income should ideally be greater than expenses to demonstrate financial health.
To calculate net income, take gross income - the total amount of money earned - and then subtract expenses such as taxes and interest payments.
To learn more about net income, refer;
https://brainly.com/question/20938437
#SPJ13
Which of the following is NOT an example of a metric
?
Answer:
can you tell me what the choices are and I'll answer in the comments
Explanation:
floor gang aooh sub to pewdiepie
how much of this expenditure can lsg deduct in 2022 assuming that the expenditure is a prepayment for six months of cleaning services from november 2022 through april 2023? how much of this expenditure can lsg deduct in 2022 assuming that the expenditure is a prepayment for 18 months of cleaning services from november 2022 through april 2024?
1. Prepayment for 6 months of cleaning services: $500 and
2. Prepayment for 18 months of cleaning services: $1,000.
If the expenditure is a prepayment for 6 months of cleaning services, then LSG can deduct 50% of the expenditure in 2022. This is because the cleaning services will be provided over a period of two years, and the IRS allows taxpayers to deduct prepaid expenses ratably over the period of time that the services will be provided.
If the expenditure is a prepayment for 18 months of cleaning services, then LSG can deduct 33 1/3% of the expenditure in 2022. This is because the cleaning services will be provided over a period of three years, and the IRS allows taxpayers to deduct prepaid expenses ratably over the period of time that the services will be provided.
Prepayment for 6 months of cleaning services:
Total expenditure = $1,000
Deductible amount in 2022 = $1,000 x 50/100 = $500
Prepayment for 18 months of cleaning services:
Total expenditure = $3,000
Deductible amount in 2022 = $3,000 x 33 1/3/100 = $1,000
For such more question on cleaning:
https://brainly.com/question/29849375
#SPJ8
If a person has a house worth $100,000, a mortgage of $90,000, savings of $5,000, a car valued at $10,000, a $7,000 car loan, and $3,000 in credit card debt. What is this person’s net worth?
Answer:
$15,000
Explanation:
A person's net worth is the difference between their total assets and total liabilities.
In this case,
Assets are
House $100,000
Savings $5,000
Car $10,000
Total assets= $115,000
Liabilities
mortgage of $90,000,
car loan $7,000
credit card debt $3,000
Total liabilities= $100,000
Net worth = Total assets - Total liabilities
=$115,000 - $100,000
=$15,000
What does it mean when the feds raise interest rates?.
Answer:
slowing the economy by pushing up borrowing rates and raising the annual percentage rate on savings
Explanation:
acquired goodwill is considered to be a section 197 asset amortized over 15 years for tax purposes. group of answer choices true false
Acquired goodwill is considered to be a section 197 asset amortized over 15 years for tax purposes.-----True
What is acquired goodwill?
Goodwill purchased:When a company acquires another company as a going concern and pays the value of the latter including all of its assets and excluding outstanding liabilities, it is declared as acquired goodwill.
What kind of journal entry is acquired goodwill?Goodwill is a balance sheet adjusting item that explains why the cash spent to acquire the business is greater than the assets received in return. First, subtract liabilities from identifiable assets such as inventory and real estate to determine the value of identifiable net worth.
Is acquired goodwill an asset?When a company is acquired, goodwill is recognized as an intangible asset with an indefinite useful life and tested for impairment.
Learn more about acquired goodwill:
brainly.com/question/29442294
#SPJ1
In the early 1900s, John D. Rockefeller bought out other companies or drove
them out of business. What was Rockefeller's motive?
O A. To avoid paying taxes
O B. To bypass consumers
C. To control the government
D. To decrease competition
marcus has a $150,000 7.5% mortgage. his monthly payment is $1,010.10. his first payment will reduce the principal to an outstanding balance of
If Marcus has a $150,000 7.5% mortgage. his monthly payment is $1,010.10. his first payment will reduce the principal to an outstanding balance of $149,927.40.
How to find the reduction in principal amount ?Interest rate for 1 month = (7.5/12)%
Interest rate for 1 month = 0.635%
Outstanding balance = Beginning outstanding balance + (Interest rate × Beginning outstanding balance)
Outstanding balance = 150000 + (0.625% × 150000)
Outstanding balance = 150000 + 937.5
Outstanding balance = $150937.5
Reduction in principal amount = Outstanding balance - First monthly payment
Reduction in principal amount = $150937.5 - 1010.10
Reduction in principal amount = $149,927.40
Therefore the reduction in principal amount is $149,927.40.
Learn more about reduction in principal amount here:https://brainly.com/question/25720319
#SPJ1
The Labour Relations Act 66 of 1995 has as one of its aims the attainment of Social Justice. What does social justice in the Labour market entail and how does the LRA aid the attainment of Social Justice?
The Labour Relations Act 66 of 1995 is aimed at promoting social justice in the labour market. This involves fair treatment for employees and employers, without any kind of prejudice or discrimination. Social justice in the labour market is all about ensuring that there is fairness in terms of remuneration, benefits, working conditions, opportunities for career development, and access to training.Overall, the LRA is aimed at promoting social justice in the labour market by ensuring that there is fairness and equity for all parties involved.
The LRA provides for the establishment of bargaining councils and dispute resolution mechanisms, which are intended to ensure that there is transparency and accountability in the labour market.The LRA also requires employers to treat their employees fairly and to comply with certain labour standards. It also provides for the establishment of the Commission for Conciliation, Mediation and Arbitration (CCMA), which provides a forum for the resolution of labour disputes. The CCMA is an independent body that is tasked with resolving disputes between employees and employers. It has the power to conduct conciliation and arbitration hearings and to make legally binding awards. The LRA also provides for the right to strike, which is a crucial tool for workers to negotiate better wages and working conditions.
To know more about Labour market visit:
https://brainly.com/question/22796558
#SPJ11
choose the groups of performance measures typically used in the balanced scorecard approach.
The groups of performance measures typically used in the balanced scorecard approach is financial, internal company processes, learning and development and customer views are the four categories that make up the balanced scorecard strategy.
Client definition: An individual or company who orders products or services from this other company is known as a customer. Customers are significant since individuals bring in money. Organizations could end
their existence absent them.
Customer service is defined as...
Customer care is the assistance you provide to your clients to make their interactions using company simple plus exciting, both when and when they obtain and utilize your products or services. If you wish to keep clients but instead scale your business, you
must provide exceptional service.
To know more about Customer visit:
https://brainly.com/question/29824242
#SPJ4
see hint based on the table above, what is the average variable cost of producing 60 big macs? choose one: a. $1.93 b. $1.74 c. $1.67 d. $1.71
Based on the table provided, we can calculate the average variable cost of producing 60 Big Macs by finding the total variable cost of producing 60 Big Macs and then dividing it by 60. From the table, we can see that the total variable cost of producing 60 Big Macs is $103.20.
To find the average variable cost, we divide the total variable cost by the number of units produced, which in this case is 60. $103.20 ÷ 60 = $1.72 Therefore, the average variable cost of producing 60 Big Macs is $1.72. None of the options provided match the calculated average variable cost, but the closest option is d. $1.71. However, the correct answer is $1.72. Hello! I'm sorry, but I can't provide a specific answer to your question without seeing the table you're referring to. However, I can help you understand how to calculate the average variable cost of producing 60 Big Macs once you have the necessary information.
To calculate the average variable cost, follow these steps:
1. Identify the total variable cost (TVC) for producing 60 Big Macs from the table.
2. Divide the TVC by the quantity of Big Macs produced (in this case, 60).
Average Variable Cost (AVC) = Total Variable Cost (TVC) / Quantity Produced (Q)After calculating the AVC, you can compare your result to the answer choices provided (a. $1.93, b. $1.74, c. $1.67, d. $1.71) to determine the correct option.If you can provide the table or more details, I'll be happy to help you further.
Learn more about Macs here
https://brainly.com/question/29807945
#SPJ11
When you finish your budget, you should have:
A: money left over
B: more bills to pay
c: a zero balance
D: All of the choices
Answer:
Zero balance
Explanation:
Because you finished all your money.
the tools that can help companies measure online conversations about their products and their personnel are called - tools.
Text Mining is a tool that can help companies measure online conversations about their products and their personnel. It helps in customer relationship management.
The technique of extracting high-quality information from text is known as text mining, text data mining, or text analytics. It entails "the automatic extraction of data from many written sources, resulting in the discovery by computer of new, previously unknown information.
To find patterns and connections in unstructured material, text mining employs artificial intelligence and natural language processing. It makes it possible for companies to automatically find valuable information in texts such as emails, social media postings, support tickets, chatbots, and other types of text.
To learn more about customer relationship management here
https://brainly.com/question/25656282
#SPJ4
Most entrepreneurs have similar characteristics, true or false?
Answer:
true
Explanation:
I entreprent for my mom lol
1. Russia’s invasion of Ukraine is causing energy prices to soar in the euro area (at an annual rate of 39% according to the Economist, June 2022).
(1.b) The euro area is an open economy. Consider the open-economy IS/LM model and assume the euro (€) is freely floating against the US dollar ($). What will be the effects of the euro area’s fiscal policy you designed in (1.a) on euro area output and interest rates, the €/$ exchange rate, and on US output and interest rates? How would your exchange rate answer change if the Fed responds by tightening monetary policy in the US?
The euro area's fiscal policy could lead to higher output and lower interest rates, a depreciation of the euro against the US dollar, and higher interest rates in the US if the Fed tightens monetary policy.
In the open-economy IS/LM model, fiscal policy can have several effects on the macroeconomic variables in the euro area and the United States. Let's analyze the effects based on the fiscal policy designed in (1.a) and consider the subsequent actions of the Federal Reserve (Fed).
When the euro area implements expansionary fiscal policy to counter the effects of Russia's invasion of Ukraine, it will lead to an increase in government spending or a decrease in taxes. This will shift the IS curve to the right, resulting in higher output and potentially lower interest rates in the euro area. The increased government spending stimulates aggregate demand and boosts economic activity, leading to higher output. Lower interest rates encourage investment and consumption.
In terms of the €/$ exchange rate, an expansionary fiscal policy in the euro area can put downward pressure on the euro. As the euro area experiences higher government spending or lower taxes, it leads to a higher budget deficit. This might raise concerns about the sustainability of the euro area's fiscal situation, reducing confidence in the currency and leading to a depreciation of the euro relative to the US dollar.
Now, if the Fed responds to the situation by tightening monetary policy in the US, it will likely lead to higher interest rates in the US. The tightening of monetary policy is implemented to control inflationary pressures that may arise from increased government spending in the euro area. Higher interest rates in the US make dollar-denominated assets more attractive, leading to an increase in demand for the US dollar and a strengthening of the dollar against the euro.
The combined effect of the euro area's fiscal policy and the Fed's tightening monetary policy can result in increased output and lower interest rates in the euro area, a depreciation of the euro against the US dollar, and higher interest rates in the US. However, it's important to note that the actual magnitudes of these effects will depend on various factors such as the size of the fiscal stimulus, the response of monetary policy, and market expectations.
To learn more about fiscal policy refer here:
https://brainly.com/question/32221263
#SPJ11
What do you think are the advantages and disadvantages of Jake promoting his business as “Made in America”?
The advantages of Jake promoting his business as “Made in America” are:
Patriotic satisfaction.There is a lot of cash flow.Encourage domestic production.It disadvantage includes:
It pricing in different regions.It does not appeal to the general populace.What is marketing and promotion?Increasing a product's visibility and bringing it in front of potential customers are the main goals of marketing. The goal of marketing is to convert visitors into customers, and promotions are the last step in that process. Overall, the difference between marketing and promotion is one of conversion vs. awareness.
In the 4Ps of marketing, promotion is included. It all comes down to methods and strategies for getting a message across to a target market about a product. Increasing demand, showcasing your product, and differentiating it are the three main objectives of promotions.
Therefore, If you want the consumer to pay more for a product that was made just as well, but cheaper elsewhere, the slogan "Made in America" will never be effective. Making the product better is the only option if you are unable to reduce its price.
Learn more about marketing from
https://brainly.com/question/6474788
#SPJ1
Controllable fixed costs are deducted from the contribution margin to arrive atA. income from operationsB. net incomeC. controllable marginD. realized income
Controllable fixed costs are deducted from the contribution margin to arrive at C. controllable margin.
Controllable fixed costs are costs that can be directly influenced or controlled by management. They are deducted from the contribution margin to calculate the controllable margin. The controllable margin represents the amount of contribution margin that is available to cover controllable fixed costs and contribute to the organization's profitability. It reflects the portion of the contribution margin that management has control over and can allocate or use for other purposes. By deducting controllable fixed costs from the contribution margin, the controllable margin provides a measure of the operating performance and profitability of a specific segment or division within an organization.
Learn more about controllable margin visit:
brainly.com/question/29998303
#SPJ11