The price elasticities of demand of sugar-free gummy bears and of ordinary gummy bears when the price of gummy bears rises from $2.60 to $3 are 1.54 and 0.93, respectively.
What's Price Elasticity of DemandPrice elasticity of demand is a measure of the responsiveness of demand for a commodity or a service to a change in the price of the commodity or the service.
The price elasticity of demand of sugar-free gummy bears and of ordinary gummy bears when the price of gummy bears rises from $2.60 to $3 is given below:
Sugar-free gummy bears
Price elasticity of demand is given by the following formula:
PED = (% change in quantity demanded) / (% change in price)
PED = ((5-4) / 4) / ((3-2.60) / 2.60) = 1.54
The price elasticity of demand of sugar-free gummy bears is 1.54.
This means that demand for sugar-free gummy bears is elastic because the value of price elasticity of demand is greater than 1.Ordinary gummy bearsPrice elasticity of demand is given by the following formula:
PED = (% change in quantity demanded) / (% change in price).
PED = ((10-8) / 8) / ((3-2.60) / 2.60) = 0.93
The price elasticity of demand of ordinary gummy bears is 0.93. This means that demand for ordinary gummy bears is inelastic because the value of price elasticity of demand is less than 1.
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under the par value method of accounting for treasury stock, the treasury stock is reported on the balance sheet as a deduction from a.contributed capital. b.the sum of contributed capital, unrealized capital, and retained earnings. c.retained earnings. d.capital stock.
Under the par value method of accounting for treasury stock, the treasury stock is reported on the balance sheet as a deduction from the capital stock. The correct option is d.
The par value method is one of the techniques that can be used to account for the acquisition of the treasury stock. In this approach, the treasury stock is reported on the balance sheet as a reduction in the amount of the capital stock rather than as a reduction in the retained earnings of the firm.
The treasury stock is the number of shares of the company’s stock that has been repurchased by the company from its shareholders. When the treasury stock is repurchased by the company, the number of shares of outstanding stock is reduced, and the amount of cash that was used to buy back the shares of stock is also reduced.
The balance sheet is a financial statement that provides information about a company's assets, liabilities, and shareholders' equity at a specific point in time. The balance sheet provides a snapshot of a company's financial position at a particular point in time.The capital stock is a term that refers to the total number of shares of stock that have been issued by the company. The par value of the stock is the nominal value of the shares of stock, which is often set at a low price. The difference between the par value and the market value of the shares of stock is known as the capital surplus.
The treasury stock is reported on the balance sheet as a deduction from the capital stock of the company. The par value method of accounting for treasury stock assumes that the company acquires the stock at the par value. The acquisition of the stock does not have any impact on the retained earnings of the company.
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a companys balance sheet has toatl assets of 400000 and total equity of 350000 what are the total liablities
The liabilities are $50,000.What are liabilities?Liabilities are amounts owed by a company or a person to others, which are usually paid in the future in the form of goods or services.
What is a balance sheet?A balance sheet is a financial statement that reports a company's financial position as of a certain date by providing a summary of the company's assets, liabilities, and equity. A balance sheet can help investors determine a company's financial health by analyzing the company's assets, liabilities, and equity.What are assets?Assets are items of economic value owned by a company or a person, which are expected to generate cash in the future in the form of income or profit.
The following are some examples of assets:Cash, inventory, accounts receivable, property, and equipment are all examples of tangible assets. Goodwill, patents, and copyrights are all examples of intangible assets.What is equity?Equity is the residual interest of the owners in the assets after deducting the liabilities. Equity is also known as owner's equity or shareholder's equity. The following is a list of equity accounts:Common stock, retained earnings, and additional paid-in capital are examples of equity accounts.
How to calculate total liabilities?To calculate the total liabilities, we must use the balance sheet formula. That is,Total Liabilities = Total Assets - Total Equity.Substituting the given values,Total Liabilities = $400,000 - $350,000.Total Liabilities = $50,000. Answer: The total liabilities are $50,000.
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question content areaxyz co. received $3,000 in payments from clients for services billed in a previous month. which accounts will be affected and by what amounts under the accrual basis of accounting
Under the accrual basis of accounting, the payment received by Co. from clients for services billed in a previous month will affect two accounts - Accounts Receivable and Cash. The Accounts Receivable will increase by $3,000 and Cash will increase by the same amount.
When a company provides services, it records the revenue in Accounts Receivable. This means that it records the amount the customer owes to the company in Accounts Receivable. The customer is then given time to pay the amount due. When the customer pays the amount due, the Accounts Receivable decreases and Cash increases.
In this case, when the customer pays the company for services provided, the Accounts Receivable account will decrease by $3,000, and Cash will increase by the same amount.
The decrease in Accounts Receivable reflects the fact that the company has been paid for the services, and the increase in Cash shows that the company now has the cash in hand to cover the services provided.
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during which step of the continual improvement model would you check to verify whether or not you have reached the desired outcome in your improvement initiative?
The step of the continual improvement model where you would check to verify whether or not you have reached the desired outcome in your improvement initiative is the "Did we get there?" step.
The "Did we get there?" step is the final step in the Plan-Do-Check-Act (PDCA) continual improvement model, where the results of the implementation are compared with the expected outcomes. This step involves collecting data and analyzing it to determine if the goals and objectives of the improvement initiative have been achieved.
If the desired outcomes have been met, the improvement initiative can be considered successful and can be standardized as part of regular operations. If not, the process can be repeated or modified to achieve the desired outcome in future iterations.
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according to lecture, today 96% of all mainstream media is controlled by approximately corporations?
Yes, according to the lecture, 96% of all mainstream media is controlled by approximately six corporations.
Mainstream media refers to any mass communication that is deemed conventional, traditional, and not based on specialized topics or niche interests. Approximately 6 corporations control 96% of all mainstream media.
Media control is an issue that concerns both the general public and government officials. Mass media is often referred to as the "Fourth Estate," as it serves as a watchdog, scrutinizing government activities and holding elected officials accountable for their actions.
If mass media is controlled by a handful of conglomerates, it may not provide a fair and unbiased representation of information to the public. It is important to know who controls mainstream media so that we can better understand what information is being provided to us, and how it may be influenced by corporate interests.
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alice lost her atm card at the lake and forgot it was missing until her monthly statement came 26 days later. she found that $800 had been withdrawn from her savings account. the most alice will be legally liable for assuming she notifies the bank at this point is
Alice will be legally liable for up to $50 of the $800 that was withdrawn from her savings account, assuming she notifies the bank within two days of when she noticed her ATM card was missing. This is known as the "regulatory limit" for unauthorized transactions, and it is outlined in Regulation E of the Electronic Funds Transfer Act.
1. Alice noticed her ATM card was missing 26 days after it was lost.
2. She then notified the bank.
3. According to Regulation E of the Electronic Funds Transfer Act, the most Alice will be legally liable for is up to $50 of the $800 that was withdrawn from her savings account.
Therefore, t is clear that Alice will be legally liable for up to $50 of the $800 that was withdrawn from her savings account, assuming she notified the bank within two days of when she noticed her ATM card was missing.
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if a business firm landscapes its grounds and develops a sculpture garden that benefits the firm but also benefits the neighborhood, that would be an example of a .
If a business firm landscapes its grounds and develops a sculpture garden that benefits the firm but also benefits the neighborhood, it would be an example of a good corporate citizen.
What is corporate citizenship?Corporate citizenship, often known as corporate social responsibility, refers to a company's dedication to behaving ethically and giving back to society in various ways. By operating in such a way that improves society and the natural environment, businesses make a meaningful contribution to corporate citizenship.
Corporate citizenship is a significant component of business operations in the twenty-first century. Many companies choose to engage in activities that benefit the communities they serve in order to build a good reputation and develop customer loyalty.
Landscaping grounds and developing sculpture garden that benefits a firm but also benefits the neighborhood is an example of how business organizations are engaged in activities that enhance the quality of life of the people who reside and operate within their vicinity.
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what is the primary goal of the recruitment and selection process? select one: a. filling top executive positions b. hiring the best candidates for positions c. forecasting future personnel needs d. increasing the retention of key employees
The primary goal of the recruitment and selection process is to hire the best candidates for positions. This process typically involves reviewing applications, conducting interviews, and assessing qualifications to identify the most qualified candidate. option (b) is the correct answer.
The overall goal is to identify and hire the best individual for the position, which in turn helps to increase the retention of key employees. The primary goal of the recruitment and selection process is to hire the best candidates for positionsRecruitment refers to the process of finding and employing qualified individuals for a job opening, generally in a timely and cost-effective manner
Selection is the process of choosing the right candidate for the job. It is the process of assessing and evaluating the qualifications, abilities, and experience of a potential candidate in order to determine if they are suitable for a particular position. This step ensures that the candidate is qualified, has the necessary experience, and has the required abilities and expertise to handle the job's demands. The primary goal of the recruitment and selection process is to find and employ the best candidates for the position.
It is critical to attracting top talent in today's competitive job market. Organizations must have a good recruitment and selection process in place to achieve this goal. A good recruitment and selection process can assist an organization in achieving its objectives by identifying and hiring the best candidate for the job. This can also improve retention rates, employee engagement, and overall job satisfaction. Thus, option (b) is the correct answer.
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at a given point in time, the price of a credit default swap contract should be related to the default risk of the securities covered by the contract. for a given set of securities that are covered by a credit default swap, the price of the contract should be related to the default risk as it changes over time. a. positively; inversely b. positively; positively c. inversely; positively d. inversely; inversely
As the default risk increases or decreases over time, the price of the CDS contract will also increase or decrease accordingly. The correct answer is: c. inversely; positively
What is a Credit Default Swap (CDS)?
Credit Default Swap (CDS) is a financial product that swaps the credit risk of fixed-income securities. The buyer pays the seller premiums and, in return, receives compensation if the underlying security defaults.A CDS can be used to transfer credit risk from one party to another, providing liquidity for the markets while reducing the risk of default. It is a type of insurance agreement on a credit default.
The price of a credit default swap (CDS) contract is inversely related to the default risk of the securities covered by the contract. In other words, as the default risk of the securities increases, the price of the CDS contract increases as well. This is because the CDS contract provides insurance against the possibility of default, and the higher the default risk, the more valuable the insurance.
However, the price of the CDS contract is positively related to the changes in default risk over time. As the default risk increases or decreases over time, the price of the CDS contract will also increase or decrease accordingly. This is because the CDS contract provides protection for a specific period of time, and the longer the time until maturity, the greater the chance that the default risk will change.
Therefore, the correct option is c. inversely; positively
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True or false: Core competencies should be continuously improved so that the firm can acquire or maintain a competitive advantage.
The given statement "Core competencies should be continuously improved so that the firm can acquire or maintain a competitive advantage" is true because a core competency is an area of expertise or skill that a company focuses on, excels at, and provides a unique advantage over competitors.
Companies with strong core competencies can leverage them to create products and services that are difficult for competitors to replicate. Core competencies are often difficult to replicate by competitors, which means that companies with strong core competencies can maintain a competitive advantage. The development of core competencies can lead to cost savings, improved efficiencies, and better customer satisfaction. This can result in an increased market share and increased profitability.
However, it is important for companies to continuously improve their core competencies to maintain their competitive advantage as competitors can always improve or develop their own core competencies. A company’s core competencies should align with its overall strategy and provide unique value to customers. Continuous improvement of core competencies requires a commitment to investing in research and development, training and development, and technology advancements. This investment can lead to new and improved products and services, improved processes, and better customer experiences.
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what happened to the price and quantity of of straw brooms, when the price of plastic brooms increases?
When the price of plastic brooms increases, the price of straw brooms decreases, while the quantity of straw brooms demanded increases.
This is a result of the substitution effect.
The substitution effect is the change in consumer behavior in response to a change in the price of a good or service. As the price of one good rises, consumers will switch to a cheaper substitute.
For example, if the price of beef increases, consumers may switch to chicken, fish, or pork. The substitution effect occurs because consumers seek to maintain their standard of living by purchasing goods and services at the lowest possible price.
Based on this concept, when the price of plastic brooms increases, consumers may switch to straw brooms since they are cheaper. This results in an increase in the quantity of straw brooms demanded.
On the other hand, the demand for plastic brooms will decrease, leading to a decrease in the quantity of plastic brooms demanded. Consequently, the price of straw brooms will decrease since they are now in high demand, while the price of plastic brooms will increase due to the low demand.
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the second step in the marketing research approach involves developing the research plan. this includes specifying the
The second step in the marketing research approach involves developing the research plan. This includes specifying the research objectives, research design, data sources, research methods, sampling plan, and instruments to collect data. The research plan is developed after defining the problem and the decision to be made.
The second step in the marketing research approach involves developing the research plan. This includes specifying the research objectives, research design, data sources, research methods, sampling plan, and instruments to collect data. The research plan is developed after defining the problem and the decision to be made.
The research plan outlines the framework for conducting research activities, detailing what information is required, how it will be obtained, and how the research findings will be analyzed and reported. The research plan includes: Research Objectives: The research objectives specify the questions that need to be answered in the research study.
They outline the purpose and scope of the study and provide a clear direction for the research activities.
Research Design: The research design specifies how the research will be conducted, including the type of research, data collection methods, and sample size.
Data Sources: The data sources specify where data will be collected, including internal and external data sources.
Research Methods: The research methods specify how the data will be collected, including primary and secondary research methods.
Sampling Plan: The sampling plan specifies how the sample will be selected from the population, including the sampling technique, sample size, and sampling error.
Instruments to Collect Data: The instruments to collect data specify the tools and techniques that will be used to collect data, including surveys, interviews, and observations.
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In a closed economy, there is no government:
Yd
0
200
400
600
800
1000
C
100
260
420
580
740
900
1. What is the value of Co and Cm?
2. Consumption function? Saving function?
3. Find the neutral point at which disposable income is equal to expenditure (C = Yd)
The value of Co (autonomous consumption) is 0.8, Consumption function C = 100 + 0.8 * Yd, Saving function S = 0.2 * Yd - 100 and the neutral point at which disposable income is equal to expenditure is Yd = 500.
To calculate Coand Cm, we need to use the formula:
C = Co + Cm * Yd
Co = autonomous consumption
Cm = marginal propensity to consume
From the given data we can calculate the values of Co and Cm as follows:
When:
Yd = 0, C = 100
Yd = 200, C = 260
Yd = 400, C = 420
Yd = 600, C = 580
Yd = 800, C = 740
Yd = 1000, C = 900
By using the method of differences we can calculate the values of Cm:
Cm = (change in consumption/change in income)
Cm = ((260 - 100) / 200) = 0.8
Cm = ((420 - 260) / 200) = 0.8
Cm = ((580 - 420) / 200) = 0.8
Cm = ((740 - 580) / 200) = 0.8
Cm = ((900 - 740) / 200) = 0.8
So, Co = 100 and Cm = 0.8.
We can write the consumption function as:
C = Co + Cm * Yd
C = 100 + 0.8 * Yd
We can write the saving function as:
S = Yd - C
S= Yd - (100 + 0.8 * Yd)
S = 0.2 * Yd - 100
To find the neutral point, we need to set C as equal to Yd and solve the Yd:
C = Yd 100 + 0.8 * Yd
= Yd 0.2 * Yd
= 100 Yd
= 500
Therefore, the neutral point is at Yd = 500, when the consumption and disposable income are equal.
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bruce is purchasing a duplex for $275,000. he has given $2,000 in earnest money and the closing costs are $3,750. the lender has agreed to a 75% ltv. the seller has agreed to pay $2,000 in closing costs. how much does bruce need to bring to closing?
Answer:
1750
Explanation:
I'm notsure but it should be 1750 because I calculated it with a formula but it might not be the right answer
performance and breach under what circumstances should courts not allow fully informed contracting parties to agree to limit remedies? describe a specific situation where the contracting parties could or could not limit remedies. what societal and/or business principles might be involved in a court's decision?
The circumstances under which courts may not allow fully informed contracting parties to limit remedies are given below: If the law does not permit it.The limitation of the remedy is unconscionable. In this particular case, the contracting parties could not restrict remedies if the limitation of the remedy is unconscionable. The principles of society include: the duty of care, fairness, social justice, and common law precedent
However, courts may disregard certain provisions of a contract because they are deemed to be unconscionable, unfair, or contrary to public policy.
.In the context of contractual remedies, the principle of fairness dictates that the remedy provided in a contract must not be unconscionable. The principles of duty of care and social justice demand that contractual terms that are contrary to the public interest should be disregarded.
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which of the following is not an example of a personal consumption expenditure? multiple choice question. clothing a restaurant meal a fighter jet a television set
The correct option is: A fighter jet
The personal consumption expenditure which is not an example of personal consumption expenditure is a fighter jet. The correct option is: A fighter jet.What is a personal consumption expenditure?Personal consumption expenditure (PCE) refers to the amount of goods and services that households purchase and use up for their benefit.
Personal consumption expenditure is used by economists to measure the level of the economy's expenditures on consumption goods and services. To calculate the PCE, take the total amount spent by consumers and subtract any spending that went toward taxes, savings, or investments.
In summary, it refers to the amount of goods and services that households purchase and consume for their own use. However, a fighter jet is not an example of personal consumption expenditure.
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three partners in a business receive profits in the ratio of 2:4:8 . a fourth partner automatically receives $50,000 profit. the company during the year has a profit of $400,000. what are the amounts for the other three partners? a each partner receives $150,000. b each partner receives $116,667. c the first partner receives $64,286. the second partner receives $128,572. the third partner receives $257,144. d the first partner receives $50,000. the second partner receives $100,000. the third partner receives $200,000
The amounts for the other three partners are: c) the first partner receives $64,286, the second partner receives $128,572, and the third partner receives $257,144.
A profit is the excess revenue that remains after accounting for all expenses, debts, and operating costs. If a business receives profits, it implies that the revenue generated by the company exceeds the total costs incurred by it. The profit-sharing ratio of the other three partners is 2:4:8.The profits for the other three partners are calculated by multiplying the profit-sharing ratio by the profit of the company.
Since the fourth partner has already been given $50,000, this sum is deducted from the total profit before calculation. For the first partner: (2/14) × ($400,000 – $50,000) = $64,286For the second partner: (4/14) × ($400,000 – $50,000) = $128,572For the third partner: (8/14) × ($400,000 – $50,000) = $257,144
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on average, managers spend most of their time doing which managerial activity? group of answer choices traditional management communication human resource management networking systems
On average, managers spend most of their time on traditional management activities. These activities typically involve developing policies, processes, and procedures; monitoring performance; coordinating projects; and developing strategies.
These activities can also involve communication, human resource management, and networking systems, but typically traditional management activities take up the most of a manager's time. Traditional management activities are the primary focus of most managers. These activities are essential to running an effective organization, and involve the development and implementation of policies, processes, and procedures; monitoring performance and measuring outcomes; coordinating projects and people; and developing strategies.
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when frankie was hired by the railroad, she was offered $17.50 an hour. her best friend grace, who started at the same railyard doing the same job two years ago, makes $33.75 an hour. this is an example of
This is an example of unequal pay for equal work.
Example of unequal payFrankie was hired for the same job as her friend Grace, yet she is earning almost half of what Grace makes for the same job.
This type of inequality is illegal and unethical, and should not be tolerated. The Equal Pay Act of 1963 requires that men and women be given equal pay for equal work. It stipulates that employers are prohibited from discriminating on the basis of sex when setting wages and prohibits unequal pay based on gender.
This applies to all forms of pay, including wages, salary, commissions, bonuses, and more. The unequal pay between Frankie and Grace is an example of an employer breaking this law.
This discrepancy in pay not only affects Frankie's quality of life, but it also contributes to a larger gender pay gap. Women on average make 79 cents for every dollar a man earns, which is an unacceptable gender gap that needs to be addressed.
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which of the followig people would prioritizing returns over liquidity be the most productive choice
Prioritizing returns over liquidity would be the most productive choice for a long-term investor.
When one prioritizes returns over liquidity, they invest in a longer-term asset that provides a higher rate of return, rather than one that is more liquid, meaning that it is more easily converted into cash. The following people would benefit the most from prioritizing returns over liquidity: Long-term investors are individuals who prioritize long-term gains over short-term gains.
Prioritizing returns over liquidity would benefit them because they are in it for the long haul and want to earn a high return on their investment over time. They are not seeking for instant returns or quick liquidity, but rather to grow their assets over time. Portfolio managers, hedge funds, and mutual funds, for example, are organizations that manage money for their clients. By prioritizing returns over liquidity, they can provide their customers with a higher rate of return on their investments over time, resulting in satisfied clients and, as a result, more business.
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adults have more money than teenagers and perhaps more inelastic demand for video games than teenage video gamers. why might it be difficult to price-discriminate based on this fact?
It might be difficult to price discriminate based on the fact that adults have more money and less elastic demand because "teenage gamers could exploit arbitrage opportunities, buy games at the low price, and re-sell them to adult gamers."
Price discrimination is the practice of charging different prices for the same product to different customers based on their willingness to pay.
In the case of video games, it would make sense to charge adults more than teenagers since they are willing to pay more and have less elastic demand. However, if the price difference is significant enough, teenagers could take advantage of this by buying games at the low price and then re-selling them to adults at a profit.
This would limit the effectiveness of the price discrimination strategy and make it difficult for game companies to capture the full value of their products.
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one year treasiry bills currently earn 1.50% and you expect that one yera form now one year treasury bill rates will increase to 2.00% if the liquidity premium on two year securtities is .50% and the liquity theory is correct what should the cutrrent rate on two year treasury secutities
The current rate on two-year treasury securities should be 2.5-%.
The current rate on two-year treasury securities should be 2.50% according to the liquidity theory. This is based on the fact that the one-year treasury bill rate is currently 1.50%, and is expected to increase to 2.00% one year from now. Additionally, the liquidity premium on two-year securities is .50%. When combined, these figures suggest that the current rate on two-year treasury securities should be 2.50%.
To break this down further, the liquidity theory states that investors prefer more liquid assets that can be easily traded, and therefore require a liquidity premium for assets with longer maturities. As a result, the current rate on two-year treasury securities is determined by taking the one-year treasury bill rate, adding the expected increase, and then adding the liquidity premium.
Therefore, the current rate on two-year treasury securities can be calculated by adding the current one-year treasury bill rate of 1.50%, the expected increase to 2.00% one year from now, and the liquidity premium of .50%. When added together, the result is a current rate of 2.50% on two-year treasury securities.
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when the new style of basketball shoes comes out, everyone wants the new shoes. the old shoes don't seem so new anymore. the seller still wants to sell those older shoes, since he or she has a lot still in stock. this is defined by the law of
This is defined by the law of demand.
The law of demand states that when the price of a good or service decreases, the quantity demanded for that good or service will increase, and vice versa. In the scenario described, the demand for the older basketball shoes decreases as the new style of shoes becomes more popular and desirable. The seller may still want to sell the older shoes, but they will likely need to lower the price in order to attract buyers who may be more interested in the newer shoes.
The law of demand also implies that as the price of the older shoes decreases, the quantity demanded may increase, although this may be limited by factors such as consumer preferences and the availability of other substitutes.
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in the quadrant of the core competence--market matrix, the focus is on leveraging current core competencies to improve current market position. multiple choice question.
The core competency-market matrix's fourth quadrant focuses on utilising present core competencies to strengthen the current market position. This gives businesses a competitive advantage.
What are the four criteria used to identify the core competencies of a company's capabilities?A resource or capability contributes to a company's competitive edge over industry competitors and enables the firm to achieve profitability if it fits the following conditions. If a resource or skill is precious, uncommon, expensive to duplicate, and non-replaceable, it qualifies as a core competency.
How can having a competitive edge come from core competencies?Organizations can obtain a competitive edge through the development of their core competencies, which has the specific benefit of raising sales and profits. Businesses accomplish this by being innovative while creating new products and services.
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when a buyer assumes a property owner's existing loan as part of the purchase price, that loan balance appears on a settlement estimate form as
When a buyer assumes a property owner's existing loan as part of the purchase price, that loan balance appears on a settlement estimate form as the balance due on the seller's mortgage.
Settlement statement:
A settlement statement, also known as a closing statement, is a document that itemizes all of the fees and charges that both the buyer and seller must pay as part of a real estate transaction. It also itemizes the purchase price, the loan amount, and the amount of money that the seller will receive from the sale of the property.When a buyer purchases a property with an existing loan, he or she may elect to assume the seller's mortgage rather than taking out a new loan. The loan balance appears on the settlement statement as the balance due on the seller's mortgage. The balance of the mortgage will be subtracted from the purchase price to determine the amount of money the buyer must pay at closing.
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when the management of a business want to show the relationships and positions within the business they create a(n) .
The management of a business creates an organizational chart to show the relationships and positions within the business. An organizational chart visually illustrates the hierarchy of the business, including job titles, reporting relationships, and who is responsible for what.
An organizational chart is an important tool for managing a business, as it provides a visual representation of the organizational structure and how each part of the business fits together. It helps to define roles and responsibilities, as well as how decisions are made and who is responsible for what.
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What are the major pieces of information required in developing critical incident?
Generating a significant incident involves identifying specific events or behaviors that are relevant to the performance or behavior being evaluated.
Situation Description: A clear and detailed description of the incident situation is required. This includes background information, the people involved and any relevant background information.
Behavior Description: Ask for a description of specific behaviors or actions that occur in a situation. This includes information about what was said, done or not done.
Behavioral Evaluation: is required, which usually involves determining whether it is effective, appropriate or inappropriate, meeting or not meeting expectations.
Situational factors: Circumstances that may have influenced behavior should be considered. This includes information about any environmental, interpersonal or other factors that may play a role in behavior.
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What are some of the reasons that an MNE would choose international expansion through an acquisition? An IJV? An alliance? What are the variables that would influence the decision? What choice do you think is best for the likely benefit of the firm?
To quickly get access to a foreign market and its resources, such as customer base, distribution channels, production facilities, and technology, an MNE may decide to expand internationally through an acquisition.
When an MNE wants to join a foreign market while splitting risks and resources with a local partner, they may choose for an IJV (International Joint Venture). This can provide access to local contacts, relationships, and information that may be necessary for success in a foreign market.
A MNE can decide to form an alliance to obtain access to a particular technology or area of expertise or to cut expenses through economies of scale. This can be accomplished by partnering with a business that possesses complementary skills and resources.
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Determine which of the items below would show up on a monthly bank statement.
- Deposits and other credits increasing the account during the period
- Checks and other debits decreasing the account during the period
- Beginning-of-period balance in the account
- End-of-period balance in the account
A monthly bank statement is a report that details all transactions made in a bank account during a specific period of time. End-of-period balance in the account is one of the items that would show up on a monthly bank statement.
A bank statement provides information regarding a bank account that an account holder uses to manage their money. Banks generally issue monthly statements to their customers. The statement includes a list of all transactions made during the month, as well as the beginning and ending balances.The statement also shows the beginning balance of the account, the deposits made during the month, the withdrawals made during the month, and the end-of-period balance in the account. Checks, automated teller machine (ATM) transactions, and electronic transfers are all examples of transactions that may be found on a bank statement. The statement also shows any fees charged for account management, such as overdraft fees, monthly service fees, or ATM fees.Bank statements serve as an important financial record that individuals can use to manage their money. Account holders can compare their receipts and their bank statements to ensure that all transactions are accounted for and to check for any discrepancies.https://brainly.com/question/15525383
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Hi! A monthly bank statement provides an overview of your account activity, including deposits, withdrawals, fees, and interest earned. In relation to the end-of-period balance, the items that would show up on a monthly bank statement are:
1. Beginning balance: The account balance at the start of the month.
2. Deposits: Money added to the account, such as salary, transfers, or cash deposits.
3. Withdrawals: Money taken out of the account, like ATM withdrawals, check payments, and electronic transfers.
4. Fees: Any charges imposed by the bank, including account maintenance, overdraft, or ATM fees.
5. Interest earned: If the account earns interest, this amount will be included.
6. End-of-period balance: The final balance in the account after accounting for all transactions during the month.
These items provide a comprehensive summary of your account's financial activity, allowing you to track your spending, ensure accuracy, and maintain a healthy financial status.
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typical costs included in a construction project include multiple choice question. property, plant, and equipment. interest and taxes. selling, general, and administrative. labor, materials, and overhead.
The typical costs included in a construction project include all : Property, Plant, and Equipment; Interest and Taxes; Selling, General, and Administrative; and Labor, Materials, and Overhead.
Property, Plant, and Equipment are necessary costs of a construction project as they are the investments in land, buildings, and equipment that are needed to create the physical construction project.
Interest and Taxes are necessary costs of a construction project as they are the taxes and interest associated with the loan used to finance the construction project.
Selling, General, and Administrative are necessary costs of a construction project as they include the costs associated with the day-to-day operation of the project such as marketing, accounting, and administration.
Finally, Labor, Materials, and Overhead are necessary costs of a construction project as they are the costs associated with the physical labor, materials, and the indirect costs associated with the project.
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