demand-pull inflationary pressure increases as the economy approaches full employment. group of answer choices true. false.

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Answer 1

The given statement "demand-pull inflationary pressure increases as the economy approaches full employment" is true.

What is Demand-Pull Inflation?

Demand-pull inflation is a form of inflation that occurs when there is a rapid increase in aggregate demand (AD) for goods and services, outstripping their supply.

It is caused by a rise in aggregate demand when the economy is operating at or near full employment, resulting in an increase in the general price level. This is a situation in which the economy's total output exceeds the available supply of goods and services.

According to Keynesian economics, full employment is the level of employment at which there is no involuntary unemployment.

When the economy approaches full employment, the scarcity of labor becomes evident, resulting in a rise in nominal wages.

This can trigger an increase in production costs, which can result in higher prices for goods and services as producers try to pass the higher costs on to consumers.

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managers have obligations to a wide variety of stakeholders such as shareholders, employees, and customers. when considering outsourcing production to offshore suppliers, managers have to weigh (i) cost benefits that might make shareholders wealthier. (ii) quality issues that might make firms less productive and/or products riskier. (iii) the investments already tied up in relationships with existing suppliers.

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When considering outsourcing production to offshore suppliers, managers have to weigh all three options i, ii, iii.

Outsourcing refers to the process of assigning a company's work to another company or individual who is capable of doing it at a lower cost. A company can outsource specific functions, such as customer service, payroll, or computer support, to outside suppliers, including offshore vendors.

1. To weigh cost benefits that might make shareholders wealthier, managers should first evaluate the potential financial gains of outsourcing against the expected costs.

Because offshore manufacturing firms frequently operate at a significantly lower cost than domestic businesses, outsourcing production to an offshore supplier might reduce manufacturing costs.

2. To determine whether outsourcing will improve or decrease a firm's quality and/or product risk, managers must analyze several quality-related factors. Because outsourcing typically necessitates the development of new supplier relationships, it may disrupt existing processes and generate significant quality and/or product risk.

For instance, product design and engineering might become more difficult if the new supplier does not have a complete understanding of the company's design and quality specifications.

Because offshore suppliers might be less receptive to quality-related concerns, businesses should carefully assess the potential for quality and product risk before outsourcing offshore.

3. When considering the investments already tied up in relationships with existing suppliers, managers should examine the costs and benefits of breaking current contracts and establish new relationships.

Managers should examine how much money they've invested in existing relationships, the probable costs of transferring work, and the potential long-term benefits of breaking existing contracts before making any decisions regarding outsourcing offshore.

All these steps ( i,ii,iii) are done by managers to fulfill their stakeholders obligations.

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the price of a financial asset equals the part 2 a. sum of all payments. b. difference between the future value and present value of all payments. c. future value of all payments. d. present value of all future payments.

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The price of a financial asset is equal to the present value of all future payments. The correct answer is D.

The price of a financial asset is the present value of all future payments that the asset is expected to generate. In other words, the price of the asset reflects the value of all the future cash flows that the asset is expected to produce, discounted to their present value.

This is based on the principle that a dollar received in the future is worth less than a dollar received today, because of the time value of money and the potential for inflation or changes in interest rates.

Therefore, to determine the price of a financial asset, we need to calculate the present value of all the future cash flows that the asset is expected to generate, using an appropriate discount rate.  The correct answer is D.

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according to the monetary approach, what matters in exchange rate determination are a. all of the options b. the relative velocities of monies. c. the relative money supplies. d. the relative national outputs.

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According to the monetary approach, what matters in exchange rate determination are the relative money supplies. The correct option is option c.

This method argues that the supply and demand for a country's currency are determined by the supply of and demand for money in that country.

Once the relative money supplies have been determined, the exchange rate can be calculated.

The monetary approach argues that a country with a high money supply will have a lower exchange rate than a country with a lower money supply. This is because the demand for a currency is determined by the supply of that currency. If a country has a high money supply, there will be more of its currency available, so the demand for it will be lower.

The monetary approach focuses on the impact of money supply on exchange rates, asserting that an increase in a country's money supply leads to a depreciation in its currency value relative to other currencies.

This is because when there is more money in circulation, the demand for goods and services increases, causing inflation. As a result, the domestic currency loses value relative to foreign currencies with lower inflation rates.
In addition to the relative money supplies, other factors like relative national outputs and relative velocities of monies can also influence exchange rates, but they are not the primary focus of the monetary approach.

The monetary approach is based on the fundamental principles of supply and demand, where the exchange rate is determined by the equilibrium between the supply of one currency and the demand for another.

When a currency is in high demand or its supply is limited, its value increases relative to other currencies.

In conclusion, the monetary approach to exchange rate determination primarily emphasizes the role of relative money supplies (option c) in influencing currency values. Although other factors can impact exchange rates, the monetary approach highlights the importance of money supply as a key determinant.

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According to the monetary approach, what matters in exchange rate determination are all of the options mentioned, which include the relative velocities of monies, the relative money supplies, and the relative national outputs. The basic idea behind this approach is that changes in the money supply or the velocity of money in one country will ultimately affect the exchange rate between that country's currency and another currency.

For instance, if a country increases its money supply faster than another country, its currency will likely depreciate relative to the other country's currency. Similarly, if a country experiences higher inflation rates or lower levels of economic output relative to another country, this may also put downward pressure on its exchange rate.

The monetary approach emphasizes the importance of understanding how changes in the money supply and other economic variables can impact exchange rates. By focusing on these factors, policymakers can potentially influence exchange rates through various monetary and fiscal policy tools. Overall, the monetary approach highlights the complex interplay between economic variables and exchange rate dynamics, and underscores the need for careful analysis and management of monetary policy.

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knowledge check 01 which of the following statements about pension plans are true? (select all that apply.) check all that apply employees covered by defined contribution pension plans choose where funds are invested. employees covered by defined contribution pension plans choose where funds are invested. the retirement pay of employees covered by defined benefit pension plans depends on the size of the fund at retirement. the retirement pay of employees covered by defined benefit pension plans depends on the size of the fund at retirement. employers who offer defined benefit pension plans are responsible for ensuring that sufficient funds are available to provide promised benefits. employers who offer defined benefit pension plans are responsible for ensuring that sufficient funds are available to provide promised benefits. defined contribution pension plans promise fixed retirement benefits defined by a designated formula.

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The two main types of pension plans are defined contribution plans and defined benefit plans. Both types of pension plans have different features and responsibilities for employers and employees.

Defined contribution pension plans allow employees to choose where their funds are invested. The employees' retirement pay is based on the amount of contributions made to their pension account and the growth of their investments.

Employers do not have any responsibility for ensuring that the employees have sufficient funds for retirement.

Defined benefit pension plans provide fixed retirement benefits defined by a designated formula. The retirement pay of employees is based on the size of the fund at retirement, and the employers are responsible for ensuring that sufficient funds are available to provide the promised benefits.

In summary, employees covered by defined contribution pension plans choose where funds are invested, while employees covered by defined benefit pension plans receive retirement pay based on the size of the fund at retirement.

Employers who offer defined benefit pension plans are responsible for ensuring that sufficient funds are available to provide promised benefits.

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a transaction in which a government receives resources without directly giving equal value in exchange is known as a(n)

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"A transaction in which a government receives resources without directly giving equal value in exchange is known as a Non-exchange transaction."

A non-exchange transaction refers to a situation where a government receives resources, such as grants or donations, without providing equal value in exchange. Unlike exchange transactions, where both parties receive benefits, non-exchange transactions are one-sided and involve the government acting as a recipient of resources.

Examples of non-exchange transactions include taxes, grants from other governments, and donations from private entities. These transactions are usually motivated by public interest or social welfare, and they enable governments to provide public goods and services that benefit society as a whole.

This question should be provided with answer choices:

A) Equity Transaction.B) Fair Exchange.C) Non-exchange Transaction.D) Not Fair Market Exchange transaction.

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what is the amount of intercompany sales between the parent and subsidiary during the year ending december 31, 2022?

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Intercompany sales are transactions that occur between companies that are part of the same corporate group and are typically recorded in the financial statements of each company involved.

Intercompany sales are transactions that occur between companies that are part of the same corporate group or family, such as a parent company and its subsidiary. These sales can include the transfer of goods or services between the companies, and are typically recorded in the financial statements of each company involved. The amount of intercompany sales between the parent and subsidiary can be significant, and can impact the financial performance and results of both companies.

Intercompany sales are often eliminated in the process of consolidating the financial statements of a corporate group, in order to avoid double-counting of revenues and expenses. This is typically done through the use of intercompany elimination entries, which adjust the financial results of each company to remove the impact of the intercompany transaction. Intercompany sales can also be subject to transfer pricing regulations, which govern the prices charged for goods and services transferred between related companies. These regulations aim to ensure that the prices charged are fair and reasonable, and are often subject to scrutiny by tax authorities to prevent tax avoidance.

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what major change did charles darrow make to "the landlord game" before rebranding it as monopoly? luoa

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The major change did Charles Darrow make to "the landlord game" before rebranding it as monopoly, that he added Marxist ideals.

The game that later became known as Monopoly is frequently attributed with being made popular and commercially successful by Charles Darrow. He didn't develop the game from scratch, but he did make some changes to the original.

The game "The Landlord's Game," created by Elizabeth Magie in the early 20th century, was really Monopoly's forerunner.

Darrow found The Landlord's Game and changed it somewhat before passing it off as his own work and selling it to Parker Brothers, a renowned game publisher at the time.

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an excise tax on apples... a. leads sellers to supply less apples at every price. b. leads buyers to demand more apples at every price. c. leads sellers to supply more apples at every price. d. causes the supply curve to shift to the right.

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The correct answer is A. An excise tax on apples leads sellers to supply less apples at every price.

An excise tax is a specific type of tax applied to the production or sale of a particular good, in this case apples. An excise tax increases the cost to produce or purchase a good, which leads to a decrease in supply.

When a tax is imposed on a good, the supply curve shifts to the left. This shift in the supply curve means that the quantity supplied of the good decreases at each price point. This shift in the supply curve also leads to an increase in the equilibrium price, as the quantity demanded at the original equilibrium price is now greater than the new quantity supplied. In conclusion, an excise tax on apples leads sellers to supply less apples at every price, as the shift in the supply curve reduces the quantity supplied at each price point. This shift in the supply curve causes the equilibrium price to increase.

So, The correct answer is A.

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what lesson is bill cosby trying to teach his son?

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Answer: to not touch kids under the age of 18

Explanation:

what term is used to describe losses shareholders experience because the interests of managers are not aligned with their own?

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The term used to describe losses shareholders experience because the interests of managers are not aligned with their own is "agency costs."

Agency costs arise when managers prioritize their own interests over those of the shareholders. This can result in actions that reduce the value of the company and decrease shareholder returns. Examples of such actions could include excessive executive compensation, empire-building, and poor investment decisions.

Shareholders entrust their capital to the managers to make decisions that will maximize their returns, but if the managers act in their own interests instead, it can lead to agency costs. Shareholders may also incur costs in the form of monitoring and oversight to ensure that managers are acting in their best interests.

In order to minimize agency costs, companies may implement various governance mechanisms, such as the board of director oversight, executive compensation structures tied to performance, and shareholder engagement initiatives.

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tom and jerry have to stuff and mail 1000 envelopes for a new marketing campaign. jerry can do the job alone in 6 hours. if tom helps, they can get the job done in 4 hours. how long would it take tom to do the job by himself?

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It will take Tom 12 hours to do the job by himself.

The task at hand is to find out the time Tom would take to stuff and mail 1000 envelopes for a new marketing campaign. Jerry alone can do the job in 6 hours, and if Tom helps, they can do it in 4 hours.

Therefore, let's assume Tom can do the job alone in x hours. Then, Jerry can complete 1/6 of the job in 1 hour (since he can do the job alone in 6 hours).Similarly, both Tom and Jerry together can complete 1/4 of the job in 1 hour (since they can do the job together in 4 hours).

We know the amount of work (1000 envelopes), so we can set up the equation as follows:

1/6 + 1/x = 1/4

Multiplying all terms by the LCD (12x), we get:

2x + 12 = 3x

Solving for x, we get:

x = 12

Therefore, Tom can complete the job alone in 12 hours.

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assets and costs are proportional to sales. the company maintains a constant 35 percent dividend payout ratio and a constant debt-equity ratio. what is the maximum dollar increase in sales that can be sustained assuming no new equity is issued?

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The duty to pay debts takes priority over dividend distribution, an increase or decrease in debt will also have an impact on the amount of the net profit that is made available to par shareholders, including dividends that are paid.

Therefore, the profitability ratio of a corporation will rise the lower the debt ratio. The sales are inversely correlated with assets, costs, and current liabilities. Equity and long-term debt are not. The corporation consistently pays out dividends at a rate of 30%. The company expects its industry-average sales growth of exactly 15% for the upcoming year.

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what is the future value (in $) of cash flows 1-3 at the end of year 3, assuming a 5% interest rate (compounded annually)? end of year cash flow 1 $515 2 890 3 745

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The future value (in $) of cash flows 1-3 at the end of year 3, assuming a 5% interest rate (compounded annually) is $2,314.

At the end of year 3 future value

= [tex]CF1 * (1+I)^2 + CF2 * (1 + I)^1 + CF3 * (1 + I)^0\\[/tex]

[tex]= 500 * (1+6)^{2} + 870 * (1+6)^1 + 830 * (1+6)^0[/tex]

= 2314

An interest rate is the amount of interest due in keeping with length, as a percentage of the amount lent, deposited, or borrowed (known as the primary sum). the entire hobby on an amount lent or borrowed depends at the major sum, the hobby fee, the compounding frequency, and the period of time over which it is lent, deposited, or borrowed.

The interest fee has been characterised as "an index of the preference for a dollar of gift [income] over a dollar of future profits." The borrower needs, or wishes, to have cash quicker in place of later, and is willing to pay a charge—the hobby fee—for that privilege. The once a year hobby price is the price over a period of twelve months. other hobby costs observe over special periods, consisting of a month or an afternoon, but they're normally annualized.

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Complete Question: -

What is the future value (in $) of cash flows 1-3 at the end of year 3, assuming a 6% interest rate (compounded annually)?

End of year   Cash flow  

1                        $500

2                         870

3                         830

4                         3,500

5                         1,250

6                         4,530

7                          2,350

is why do cash flows and revenues recognized differ, if they differ under your calculations? managerial or financial

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Cash flows and revenues recognized differ because they are reported in different financial statements.

The differences are under the financial aspect. The reason why cash flows and revenues recognized differ if they differ under your calculations is due to the fact that revenues are recognized in the income statement, while cash flows are recognized in the cash flow statement or statement of cash flows.

The income statement records the sales and revenues earned by a company during a given period of time, regardless of whether or not the company received payment for these sales and revenues.

The cash flow statement, on the other hand, records the actual cash flows into and out of a company during the same period, including both operating cash flows and non-operating cash flows. Both managerial and financial accounting deal with cash flows and revenues, but they use different methods to account for these items.

Managerial accounting focuses on providing information to managers within a company to help them make better decisions, while financial accounting focuses on providing information to external stakeholders such as investors, creditors, and regulators.

The differences in the methods used by these two types of accounting can cause differences in the way that cash flows and revenues are recognized, reported, and calculated.

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suppose that the required reserve ratio is 3.00 %. what is the simple money (deposit) multiplier? round to two decimal places. money multiplier:

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To compute the simple money multiplier when the required reserve ratio is 3.00 %, we need to use the formula below: Simple money multiplier = 1 / Required Reserve Ratio. The simple money multiplier is 33.33

First, we need to convert the required reserve ratio from a percentage to a decimal:3.00 % = 0.03Then, we can plug in the value of the required reserve ratio into the formula and compute the simple money multiplier:

Simple money multiplier = 1 / 0.03Simple money multiplier = 33.33 rounded to two decimal places

Therefore, the simple money multiplier is 33.33 when the required reserve ratio is 3.00%.

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what is the most likely course of action that an auditor would take after determining that performing substantive tests on inventory will take less time than performing tests of controls?

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The most likely course of action that an auditor would take after determining that performing substantive tests on inventory will take less time than performing tests of controls is to perform the substantive tests on inventory.

Substantive tests on inventory involve examining evidence directly related to inventory balances, such as evidence of physical counts, documents related to acquisitions, and records related to shipments and sales.

These tests are necessary in order to determine the accuracy of the financial statement assertions related to inventory.

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if you owned a trade secret, what methods would you employ to protect it? if you invented something that was patentable or the subject of a trade secret, what types of issues would you consider when deciding whether or not to apply for a patent?

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To protect a trade secret, limit access, clearly mark documents as confidential, train employees, and use physical and digital security measures.

General information on protecting trade secrets and the considerations for patent applications:

To protect a trade secret:

Limit access: Limit the number of people who have access to the trade secret, and ensure that those who do have access are bound by non-disclosure agreements.Marking: Clearly mark all documents and materials related to the trade secret as confidential.Training: Train employees on the importance of keeping trade secrets confidential.Physical security: Ensure that physical copies of the trade secret are stored in secure locations, such as safes or locked cabinets.Digital security: Ensure that digital copies of the trade secret are protected by secure passwords and encryption.

When considering whether to apply for a patent:

Novelty: Consider whether the invention is new and not obvious in light of prior art.Commercial viability: Determine whether the invention has commercial value and whether the cost of obtaining and enforcing a patent would be justified by potential revenue.Time and expense: Consider the time and expense involved in obtaining and maintaining a patent, as well as the potential costs of enforcing the patent.Competitors: Assess the likelihood of competitors being able to design around the patent or infringe upon it without consequence.Trade secrets: Evaluate whether the invention would be better protected as a trade secret, as patents require public disclosure of the invention.

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what is the npv for the project if the company requires a return of 11 percent? (do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.)

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The NPV for the project if the company requires a return of 11 percent is depends on the present value.

To calculate the NPV of a project, we first determine the expected cash inflows and outflows over the project's lifetime. Then, we discount each cash flow back to its present value using the required return or discount rate. Finally, we sum up all the discounted cash flows to arrive at the project's net present value.

In your case, the question is asking you to calculate the NPV of a project given a required return of 11 percent. This means that the company needs to earn at least an 11 percent rate of return on its investment to compensate for the risk associated with the project.

To calculate the NPV, you will need to gather the expected cash flows associated with the project and discount each cash flow back to its present value using the required return of 11 percent.

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if income increases by 10 and in response the quantity of housing demanded increases by 7 then the income elasticity of demand for housing is a 0.7 b 0.7 c 1.0 d 1.43

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Given the situation where income increases by 10% and in response, the quantity of housing demanded increases by 7%, the income elasticity of demand for housing is 0.7.

How to calculate income elasticity of demand?

The formula for calculating the income elasticity of demand is given below:

Elasticity of demand = (% change in quantity demanded) / (% change in income)

Let's apply this formula to solve the given problem:

Given that income increases by 10%, so there is a 10% increase in income.

The quantity of housing demanded increases by 7%. Therefore, there is a 7% increase in the quantity demanded of housing.

Income elasticity of demand for housing = (% change in quantity demanded) / (% change in income) = 7 / 10 = 0.7

Therefore, the income elasticity of demand for housing is 0.7. Hence, the correct option is (a) 0.7.

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what is the eventual effect on real gdp if the government increases its purchases of goods and services by $75,000? assume the marginal propensity to consume (mpc) is 0.75. $ what is the eventual effect on real gdp if the government, instead of changing its spending, increases transfers by $75,000? assume the mpc has not changed. $ an increase in government transfers or taxes, as opposed to an increase in government purchases of goods and services, will result in

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If the government increases its purchases of goods and services by $75,000, with the marginal propensity to consume (MPC) at 0.75, then the eventual effect on real GDP can be calculated as follows:

The government increases purchases of goods and services by $75,000

Multiplier = 1/ (1-MPC) = 1/ (1-0.75) = 1/ 0.25 = 4

Change in real GDP = Multiplier * change in government spending= 4 * $75,000 = $300,000

The eventual effect on real GDP is if the government instead of changing its spending increases transfers by $75,000, and assumes the MPC has not changed. The change in real GDP can be calculated as follows:

Multiplier = 1/ (1-MPC) = 1/ (1-0.75) = 1/ 0.25 = 4

Change in real GDP = Multiplier * change in transfer payments= 4 * $75,000 = $300,000

An increase in government transfers or taxes, as opposed to an increase in government purchases of goods and services, will result in a change in aggregate demand, but not in the same proportion as changes in government spending. An increase in transfer payments will increase disposable income and consumption spending, but will only increase investment spending indirectly, which will lead to a lower eventual effect on real GDP compared to changes in government spending.

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which three (3) additional requirements did the ingenico group recommend be used to enhance credit card transactions above and beyond the requirements found in pci-dss? (select 3)

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The Ingenico Group is a multinational corporation that provides point-of-sale (POS) systems and services. It is important to use additional requirements to enhance credit card transactions above and beyond the requirements found in PCI-DSS.

The three additional requirements recommended by the Ingenico Group to enhance credit card transactions above and beyond the requirements found in PCI-DSS are as follows:

End-to-end encryption: This refers to encrypting credit card data from the moment it is read until it reaches its intended destination. The Ingenico Group proposes this to protect against external threats and internal fraud.

Mobile wallets: These are applications that enable customers to make payments via mobile devices. This method of payment is beneficial because it can enhance customer experience and loyalty. Mobile wallets are also highly secure because they have multi-layered security features.

EMV chip cards: EMV chip cards are designed to safeguard against fraudulent activities in credit card transactions. This is achieved by storing data on an integrated circuit chip rather than a magnetic stripe. When EMV chip cards are used, they generate a unique code for each transaction, which makes it more difficult for fraudsters to replicate the card’s details.

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when converse lets customers create and order shoes with custom color combinations from their website, this is an example of . multiple choice micromarketing. concentrated targeting. differentiated targeting. psychographic segmentation. undifferentiated targeting.

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Differentiated targeting is an example of when Converse lets customers create and order shoes with custom color combinations from their website.

Differentiated targeting involves identifying customers who have different needs and wants, and tailoring products, services, and marketing campaigns to each customer segment. This type of targeting allows companies to address specific segments of the market more efficiently, rather than using a broad-based approach.

By allowing customers to customize their shoe color combinations, Converse is engaging in differentiated targeting, where customers have the ability to select the product features that best meet their preferences. This allows Converse to better target individual customer segments and make their products more attractive to them. In this way, Converse can maximize their return on investment from their marketing campaigns.

In conclusion, differentiated targeting is when companies like Converse target individual customer segments with specific product features, services, or marketing campaigns. This type of targeting allows companies to address the needs and wants of their customers more efficiently and effectively.

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Konica/Minolta would be most likely to use which of the following as part of their digital marketing strategy?
a
E-marketing
b
Social bookmarking sites
c
General social networking sites
d
Niche social networking sites
e
E-commerce

Answers

Finally, Konica/Minolta could use e-commerce to collect customer data and feedback. They could use this information to improve their products and services, as well as to create targeted marketing campaigns that appeal to their customers. Overall, e-commerce is an important part of any digital marketing strategy, and Konica/Minolta would be wise to incorporate it into their own strategy.

Konica/Minolta would be most likely to use e-commerce as part of their digital marketing strategy. This is because e-commerce is the process ofand selling products and services over the internet. E-commerce is an important tool for businesses because it allows them to reach a wider audience, sell more products, and provide better customer service.

There are several ways that Konica/Minolta could use e-commerce as part of their digital marketing strategy. One way is by creating an online store where customers can purchase their products. This online store could include product descriptions, images, and customer reviews to help customers make informed purchasing decisions. Konica/Minolta could also use e-commerce to sell their products on other websites, such as Amazon or eBay. Another way that Konica/Minolta could use e-commerce as part of their digital marketing strategy is by offering special promotions and discounts to online customers.

For example, they could offer free shipping or a percentage off the total order for customers who purchase through their online store. This would encourage more people to purchase their products online, which would increase their overall sales.

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multiple choice question delta diamonds had 5 one-carat diamonds available for sale this year: 1 purchased june 1 for $500, 2 purchased july 9 for $550 each, and 2 purchased september 23 for $600 each. on december 24, it sold 1 of the diamonds that was purchased on july 9. using periodic specific identification, its cost of goods sold is . multiple choice question. $550 $600 $1,100 $500 $1,200

Answers

The cost of goods sold would be the cost of that particular diamond, which is $550.

Delta Diamonds had 5 one-carat diamonds available for sale this year: 1 purchased June 1 for $500, 2 purchased July 9 for $550 each, and 2 purchased September 23 for $600 each. On December 24, it sold 1 of the diamonds that was purchased on July 9. Using periodic specific identification, its cost of goods sold is $550.

Using periodic specific identification, its cost of goods sold is $550. When a specific identification method is used, each time an item is sold, the cost of the particular unit sold is recognized as a cost of goods sold. As a result, inventory and the expense of goods sold are directly related to the precise cost of items sold.

The following is the list of Delta Diamonds' purchases:1 diamond on June 1 for $500; 2 diamonds on July 9 for $550 each; and 2 diamonds on September 23 for $600 each. Delta Diamonds sold a diamond that was bought on July 9th, and we have periodic specific identification.

Therefore, the cost of goods sold would be the cost of that particular diamond, which is $550.

What is Cost of Goods Sold?

The cost of goods sold (COGS) is a financial term that refers to the direct expenses involved with the production of the goods sold by a firm.

Direct costs are the expenses that may be linked to the production of goods or services, such as labor or raw materials used to make a product. COGS equals the cost of the products sold plus any additional costs, such as transportation or storage fees, needed to put the products in a salable condition.

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lobalization has increased the ethical problems facing organizations. group of answer choices true false

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The given statement, "Globalization has increased the ethical problems facing organizations," is true. The world is evolving into a global village with the rapid growth of communication and transportation, and the economy is becoming increasingly global.

Globalization has resulted in the integration of national economies, the growth of multinational corporations, and the establishment of global markets. Although globalization has many advantages, it also poses some ethical problems that businesses must address. Let's have a detailed look at how globalization has increased ethical issues for organizations.

1. Ethical considerations: With the rise of globalization, businesses now have a greater need to address ethical concerns in their operations. Companies must ensure that they meet ethical standards in all aspects of their business, including corporate governance, social responsibility, environmental sustainability, and labor practices.

2. Complex supply chain: The increase in global trade has led to complex supply chains, with businesses sourcing raw materials and components from various countries. This complexity makes it difficult for companies to track the conditions under which these goods are produced, the labor practices, and the social and environmental impacts of their activities.

3. Cultural differences: Globalization has led to the movement of people across borders, and this has resulted in cultural differences between employees in the same organization. These cultural differences can lead to misunderstandings and conflicts, and businesses must address these issues to create a harmonious work environment.

4. Cybersecurity: Globalization has also led to an increase in cybercrime, and businesses must ensure that they have robust cybersecurity measures in place to protect their customers' data and their own intellectual property.

In conclusion, globalization has increased the ethical problems facing organizations. To address these challenges, businesses must implement effective ethical standards, monitor their supply chains, address cultural differences, and protect their data and intellectual property.

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because the federal government has only those powers granted to it by the united states constitution, federal legislation that affects business must be based on what?

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Federal legislation that affects business must be based on the powers granted to the federal government by the United States Constitution. These powers are outlined in Article I, Section 8 of the Constitution, and include the power to regulate commerce among the states, the power to establish a uniform rule of naturalization, the power to coin money and regulate its value, and the power to establish post offices and post roads, among others.

Any federal legislation that affects business must be grounded in one or more of these powers. For example, the federal government can pass laws regulating interstate commerce, such as the Sherman Antitrust Act, which prohibits monopolies and other anti-competitive business practices. Similarly, the federal government can regulate immigration through laws like the Immigration and Nationality Act, which sets the rules for granting visas and citizenship.

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a company is considering producing a product for a new market. the fixed cost required for manufacturing and delivering the product is $50,000. labor and material costs are estimated to be approximately $25 per product. if the product is sold for $35 each, the firm's break-even volume will be: question 2 options: 50,000 units 5,000 units 500 units 2,500 units

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The firm's break-even volume will be 5,000 units.

In order to calculate the break-even volume for a company that is considering producing a product for a new market, we need to use the following formula:

BEV = FC / (P - VC)

where:

BEV = Break-even volume

FC = Fixed cost

P = Price

VC = Variable cost (per unit)

In this case, we know that the fixed cost required for manufacturing and delivering the product is $50,000, labor and material costs are estimated to be approximately $25 per product, and the product is sold for $35 each. Therefore:

FC = $50,000

VC = $25P = $35

Plugging these values into the formula, we get:

BEV = $50,000 / ($35 - $25)

BEV = $50,000 / $10

BEV = 5,000 units

Therefore, the firm's break-even volume will be 5,000 units. This means that the company needs to sell at least 5,000 units of the product in order to cover its costs and start making a profit.

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which of the following models (developed in 1996) helps to integrate the operations of supply chain members by linking the delivery operations of a seller to the sourcing operations of a buyer? a. gscm b. scor c. dcor d. balanced scorecard

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The Supply Chain Operations Reference (SCOR) model, developed in 1996, helps to integrate the operations of supply chain members by linking the delivery operations of a seller to the sourcing operations of a buyer. Therefore, the correct answer is B: "SCOR".

The Supply Chain Operations Reference (SCOR) model is a process framework used to assess and improve supply chain efficiency and effectiveness. It provides a standard language, metrics, and best practices for managing and measuring supply chain performance across industries and companies.

Therefore, option B: SCOR is the correct answer tot his question.

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candi is moving out of town. her friend wants to take over her lease on her apartment. candi does not want to have any future liability for the lease. the landlord agrees to release candi and create a new lease with her friend. this is called a(n):

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What occurs between Candi and her friend, with respect to a lease, is known as a lease transfer.

A lease transfer is when one person's lease on a rental property is transferred to another person. In this case, the original leaseholder (Candi) is transferring their lease to their friend. To do this, both the landlord and Candi must agree to the transfer. The landlord may need to approve the new tenant and create a new lease agreement.

Once the lease has been transferred, Candi is no longer liable for the rent and other terms of the lease. This can provide peace of mind for Candi, as she will no longer be responsible for any damages to the rental property or any unpaid rent.

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a two-year project has sales of $582,960, cash costs of $411,015, and depreciation expense of $68,109. the tax rate is 24 percent and the discount rate is 12 percent. what is the amount of the annual depreciation tax shield? ignore bonus depreciation.

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The annual depreciation tax shield can be calculated as $68,109 x 0.24 = $16,346.16.

The calculation of the annual depreciation tax shield of a two-year project, with sales of $582,960, cash costs of $411,015, and depreciation expense of $68,109, a tax rate of 24%, and a discount rate of 12%, is as follows: Step-by-step explanation Sales = $582,960Cash costs = $411,015 Depreciation expense = $68,109Tax rate = 24%Discount rate = 12% Annual depreciation tax shield = Depreciation expense x Tax rate Annual depreciation tax shield = $68,109 x 0.24 Annual depreciation tax shield = $16,346.16. Therefore, the amount of the annual depreciation tax shield is $16,346.16.

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