(T/F) a startup adviser is an individual who provides advice on running your startup and holds decision-making control on the management team.

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Answer 1

The given statement " A startup adviser is an individual who provides advice on running your startup and holds decision-making control on the management team " is False  because  they do not hold decision-making control on the management team.

Startup advisors have typically experienced professionals with knowledge in specific industries or business areas, and their role is to offer recommendations and share their insights based on their expertise. They can assist with various aspects of a startup, such as business strategy, marketing, technology, operations, or financial management.



However, the ultimate decision-making authority remains with the founders and the management team. Advisors are there to support and guide the startup's growth, but they are not directly involved in running the company. They serve as a sounding board for ideas and help entrepreneurs avoid common pitfalls, but the responsibility for the startup's success or failure lies with the founders and the management team.

Involving advisors can be beneficial for startups, as they can provide valuable connections, industry knowledge, and potential access to funding opportunities. When choosing advisors, it is crucial to select individuals who have experience and expertise relevant to the startup's industry, as well as a genuine interest in supporting the company's growth.

In summary, a startup advisor is an individual who offers advice and expertise to help a startup succeed but does not hold decision-making control over the management team. Their role is to guide and support the startup, while the ultimate responsibility for the company's decisions and performance lies with the founders and the management team.

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Related Questions

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

True or false: A competitive advantage is most often maintained for very long periods of time.

Answers

false. no competitive advantage can be sustained indefinitely.
: False.

I hope this helps…….

when a party to an agreement owes a duty to perform and fails to fulfill her obligation, this is known as

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When a party to an agreement owes a duty to perform and fails to fulfill her obligation, this is known as a breach of contract.

A breach of contract occurs when one of the parties fails to fulfill its obligation according to the agreed-upon terms. This could mean failing to provide a good or service, making a payment late, or not providing enough information to fulfill the contract.

The consequences of a breach of contract depend on the type of contract and the nature of the breach. Generally, the innocent party can seek damages or specific performance to make them whole again. When a party fails to fulfill their duty under the terms of the contract, it is known as a breach of contract.

This could involve failing to deliver a product, not making a payment on time, or not providing enough information for the other party to fulfill the agreement. The consequences of a breach can vary greatly depending on the terms of the contract and the severity of the breach.

Generally, the innocent party is entitled to seek damages or specific performance to compensate them for the breach. This can include reimbursement of the costs of performance, reparation for any economic loss, and in some cases, punitive damages.

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which of the following items are included in cash? (select all that apply.) multiple select question. notes receivable from customers currency and coins balance in checking accounts checks from customers accounts receivable from customers

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Cash refers to physical currency, coins, and other negotiable instruments that are readily available and accessible for use in transactions.

This can include paper money, coins, checks, money orders, and bank account balances that can be easily accessed and withdrawn as needed. Cash is an important component of an individual or organization's assets, and it is typically used to pay for goods and services, make investments, or fund day-to-day operations. In accounting, cash is classified as a current asset and is recorded on a company's balance sheet as a component of its total assets.

The items that are included in cash are:

Currency and coinsBalance in checking accountsChecks from customers

Notes receivable from customers and accounts receivable from customers are not considered cash, as they are not actual cash on hand or in a bank account. They are considered accounts receivable, which is a type of asset.

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system of rewarding managers by linking bonuses to income computed under absorption costing may result in: multiple choice question. insufficient inventory excess inventory buildup sales negatively affected no effect on inventory

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Absorption costing's drawback is that it might distort the perception of a company's profitability. It is also not useful for analysis intended to increase operational and financial efficiency.

With the aid of the absorption costing mechanism, how do managers control revenue?

The ability for managers to manipulate income through overproduction is also provided by absorption costs. In comparison to not producing the extra goods, increasing output at year's end results in a higher net income.

If output exceeds sales, how will changes in inventory affect full absorption and variable costing?

When production outpaces sales, the revenue computed using full absorption costing will be higher than the income calculated using variable costing. Production being in excess of sales points to a rise in inventories.

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If the export value of American educational institutions is more than twice that of America’s top agricultural export, and supports 455,000 jobs, we can conclude that
Multiple Choice
A. exports of higher education represent an important component of the U.S. economy.
B. exports of higher education are paid for in foreign currencies effectively bypassing EXIM bank requirements.
C. American universities have been recruiting foreign students to the detriment of U.S. students.
D. exports of higher education will continue to grow without export assistance.
E. U.S. taxpayer dollars are being spent in foreign countries rather than domestically.

Answers

The export value of American educational institutions is more than twice that of America's top agricultural export and supports 455,000 jobs. As a result, we can conclude that exports of higher education represent an important component of the U.S. economy. The correct option is (A).

Exports of higher education represent an important component of the U.S. economy because the export value of American educational institutions is more than twice that of America's top agricultural export, which supports 455,000 jobs. In 2015, 974,926 international students attended American colleges and universities, contributing $35.8 billion to the economy in the form of tuition, room and board, and other expenses. For each job supported by foreign students, three jobs are created or supported, according to NAFSA.

The correct option is (A).

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it is difficult for a central planner to determine optimal allocations of resources because: of the simplicity of a modern economy. the incentives exist to manipulate the resources to improve the allocations of resources. of a potential lack of incentives among citizens who are asked to provide the central planner with accurate information. of too many incentives governing the central planner.

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It is difficult for a central planner to determine optimal allocations of resources because of too many incentives governing the central planner.

What is central planning?

Central planning is the management of the economy by the state through a single economic plan that includes all economic activities. The benefits of central planning are:

* Inadequacy of the invisible hand

* Market failures* Equity and Social Justice

* National defense and the protection of the environment

However, the practice of central planning in real-life settings is difficult because of the following factors:

It is difficult to ascertain the appropriate allocation of resources because it is tough to determine the preferences of everyone in society. The cost of obtaining this knowledge is often higher than the benefit that can be derived from such information.

it is difficult for a central planner to determine optimal allocations of resources because of too many incentives governing the central planner. Incentives are motivations that influence the decisions of an individual. As a result, it is difficult for a central planner to allocate resources appropriately since many interests influence his or her decision.

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a. the long run and short run lead to different outcomes and decisions. what are the main factors that drive these decisions in each competitive market?

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The main factors that drive the decisions in each competitive market is:

In the short run, competitive firms do not have enough time to change their plant size or to exit the industry.

About competitive market

The market supply curve shifts, the market price changes, and individual firms adjust their production level accordingly. A firm will exit the industry if its price is below its minimum average total cost (ATC), and it will enter the industry if its price is above its minimum ATC.

A competitive market is one in which a large number of firms produce identical products and there are no barriers to entry.

Firms in a competitive market are price takers, which means that they must accept the market price for their product. In the short run, firms in a competitive market will produce output as long as the price they receive is greater than their minimum AVC.

In the long run, however, firms in a competitive market will enter or exit the market depending on the profitability of the industry as a whole.Answer:In the short run, firms in a competitive market will produce output as long as the price they receive is greater than their minimum AVC.

In the long run, however, firms in a competitive market will enter or exit the market depending on the profitability of the industry as a whole.

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a segmentation strategy requires that a company: standardize its products. customize its products. produce one basic offering. offer its products at low costs. attain high economies of scale by achieving a high volume of sales.

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A segmentation strategy requires that a company "customize its products."

Segmentation is a marketing strategy that involves dividing a larger market into smaller groups, or segments, of consumers who have similar needs or characteristics.

Once these segments have been identified, the company can then develop customized marketing strategies and product offerings that are tailored to the specific needs and preferences of each segment.

Customization is a key aspect of a segmentation strategy because it allows the company to create products that meet the unique needs of each segment. This can include different product features, pricing strategies, and marketing messages.

By customizing its products, a company can better differentiate itself from competitors and create a more loyal customer base.

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when trading otc securities the difference between an all-or-nothing order versus a fill or kill order is

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An All-or-Nothing Order is an order to buy or sell a security that must be filled in its entirety or not at all.

A Fill or Kill Order is an order to buy or sell a security that must be executed immediately and completely or not at all. The main difference between the two orders is that the All-or-Nothing Order allows for partial fills, while the Fill or Kill Order does not.

The All-or-Nothing Order is used to ensure that the investor is buying or selling the desired quantity of the security at the desired price.

The Fill or Kill Order, however, is used to ensure that the entire order is filled quickly and at the desired price. If the order cannot be filled immediately and at the desired price, it will be cancelled. This can be beneficial in fast-moving markets where prices can fluctuate rapidly.

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if money is neutral, what does this imply about the use of monetary policy? monetary policy is more effective in the short term than the long term. mechanisms should be introduced to ensure that the federal reserve is making sound decisions. monetary policy can influence the price level but cannot be used to encourage economic growth.

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If money is neutral, it implies that monetary policy cannot be used to encourage economic growth. This means that monetary policy can influence the price level but not the real GDP.

The monetary policy is more effective in the short-term than the long-term. So, it should be used as a short-term tool to adjust the economy. Monetary policy is a tool used by the government to stabilize the economy. If money is neutral, it means that changes in the supply of money have no impact on the economy's real GDP. Hence, the government cannot use monetary policy to stimulate economic growth by increasing the money supply. Instead, monetary policy can only influence the price level by increasing or decreasing the demand for goods and services.

In the short run, changes in the money supply can impact the economy's price level. However, in the long run, changes in the money supply cannot influence the economy's real GDP. Hence, monetary policy should be used as a short-term tool to adjust the economy. Mechanisms should be introduced to ensure that the federal reserve is making sound decisions. The federal reserve is responsible for implementing monetary policy. As such, it is important to ensure that the federal reserve is making sound decisions when implementing monetary policy. To achieve this, mechanisms such as transparency, accountability, and public oversight should be introduced to ensure that the federal reserve is making sound decisions.

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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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dr. pepper is known for soft drinks but recently introduced a steak marinade that is sold under its brand name. what type of brand development strategy does this represent?

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Dr. Pepper, introduced a steak marinade that is sold under its brand name. This represents a line extension brand development strategy.

Line extension is a brand development strategy that involves creating a new product that shares the brand name of an existing product line.

This approach can be used to extend the product line by introducing complementary goods or services. This strategy is frequently utilized in consumer goods, as it can help a company's sales and profits by adding new products to an already well-known brand.

The benefits of line extension in brand development strategy are as follows: Assists in the increase of sales: Line extension strategy helps to generate more sales by providing consumers with additional products under the same brand name.

This allows a company to increase its market share and revenue stream. Expanding the market: A line extension strategy can help to expand the market. The new product can attract new customers to the brand or entice current customers to purchase more items from the same brand.

Lowers marketing expenses: When a new product is introduced under an existing brand name, it saves money on marketing expenses such as advertising and product promotion. It saves a lot of money by leveraging the existing brand recognition and customer base.

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briefly describe the key advantages and disadvantages of the three approaches to management education. under what conditions would you recommend that an organization send its managers to an executive mba program?

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The three approaches to management education are traditional degree programs, executive MBA programs, and non-degree executive education programs. Each approach has its own advantages and disadvantages.

Advantages of traditional degree programs:
- Thorough instruction on a wide range of management topics
- Coursework typically includes the ability to focus on a specific subject or area of study
- Learning is structured, with a clear path of progression

Disadvantages of traditional degree programs:
- Long time commitment
- Can be costly
- Not designed for experienced managers

Advantages of executive MBA programs:
- Focuses on practical applications of management skills
- Structured curriculum tailored to experienced managers
- Variety of learning opportunities, such as team building and problem-solving

Disadvantages of executive MBA programs:
- Costly
- Typically require a lot of travel
- Not suitable for someone with limited experience

Advantages of non-degree executive education programs:
- Flexible learning schedule
- Lower cost
- Hands-on instruction from experts

Disadvantages of non-degree executive education programs:
- Less comprehensive instruction
- Limited choice of subjects

I would recommend that an organization send its managers to an executive MBA program when the managers have experience in management and the organization has the budget for it. Executive MBA programs provide an opportunity to apply theory to practice and gain practical skills from experienced professionals.

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if the controller uses regression analysis to estimate costs, the cost equation for electricity costs is:

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Regression analysis is a statistical method used to establish the relationship between two or more variables. In cost accounting, regression analysis can be used to estimate costs based on the relationship between a cost driver and the cost itself.

For example, if the controller uses regression analysis to estimate electricity costs, the cost equation may look like:

Electricity Costs = a + b × Number of Units Produced

In this equation, "a" represents the fixed cost component of electricity costs, while "b" represents the variable cost per unit of electricity. The "Number of Units Produced" variable serves as the cost driver in the equation, as it is expected to have a significant impact on electricity costs.

To develop this equation, the controller would gather data on electricity costs and the number of units produced over a given period of time. This data would then be input into a regression analysis software, which would analyze the relationship between the two variables and generate an equation that represents that relationship.

Once the equation is established, the controller can use it to estimate electricity costs based on the number of units produced. For example, if the equation yields an "a" value of $10,000 and a "b" value of $0.50, and the company produces 10,000 units in a given period, the estimated electricity cost would be:

Electricity Costs = $10,000 + ($0.50 × 10,000) = $15,000

By using regression analysis to estimate costs, the controller can better understand the relationship between cost drivers and costs, and can use this information to make more informed decisions about production and pricing.

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after the petty cash fund is established, the petty cash account is not debited or credited again unless the amount of the fund is changed. true flase

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False; after the petty cash fund is created, it is not necessary to debit or credit the account again unless the fund's size changes.

What occurs after a petty cash fund is created?

The corporation has internal control over the money in the fund by designating one person as the fund's manager. to start a small cash fund. The petty cash custodian typically deposits the cash in a small, lockable box once the check is cashed. The fund is now prepared for distribution as required.

Is small change a debit or credit?

The petty cash account is a current asset in financial accounting. As a result, the money is recorded as a typical debit balance.

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GIVING ALL MY POINTS + BRAINLIEST. PLEASE HELP FAST
Which of the following is at the BOTTOM of the United States financial system?
A. Consumers
B. National Bank
C. Federal Open Market Committee
D. Federal Reserve Banks​

Answers

Answer: D. Federal reserve system

Explanation:

how does advice to clients from lawyers differ from advice given clients by public relations practitioners?

Answers

The advice given to clients by lawyers and public relations practitioners differs in a few key ways. Lawyers provide legal advice and recommendations based on their understanding of the law, while public relations practitioners provide advice on how to protect and enhance a client's reputation.

Lawyers will explain the potential legal ramifications of a decision or action, while public relations practitioners will explain the potential public opinion repercussions.

A lawyer will use their legal knowledge and experience to help their clients avoid legal consequences, while a public relations practitioner will use their understanding of the public and media to help protect and enhance the client's reputation.

A lawyer will advise clients on how to navigate legal matters, such as how to comply with a court order, how to draft contracts, and how to handle conflicts between parties.

On the other hand, public relations practitioners will advise clients on how to interact with the public, handle press inquiries, and promote the client's message. Public relations practitioners may also advise clients on what they can do to maintain a good public image.

Overall, the advice given to clients by lawyers and public relations practitioners differs in the scope and type of advice provided. Lawyers advise on legal matters, while public relations practitioners advise on public opinion and how to maintain a good public image.

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a bond has a par value of $1,000, a current yield of 8.03 percent, and semiannual coupon payments. the bond is quoted at 102.73. what is the coupon rate of the bond?

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A bond has a par value of $1,000, a current yield of 8.03 percent, and semiannual coupon payments. The bond is quoted at 102.73.  The coupon rate of the bond is 4.09%.

What is the coupon rate of the bond?

The coupon rate is the fixed interest rate that is paid semi-annually by the issuer to the bondholders on the par value of the bond. It is given in the bond certificate, and it is a proportion of the nominal value. The coupon rate is required to calculate the coupon payment, which is a fixed payment that the bond issuer pays to the bondholder until the bond reaches maturity.

Solution:

Let us use the formula of the bond which is given as: Bond price = (Coupon payment * (1 - (1 / (1 + r) ^ n))) / r + F / (1 + r) ^ n Where F is the face value, r is the required rate of return, n is the number of years to maturity, and the Coupon payment is the sum of interest payments on the bond, given as: Coupon payment = (Coupon rate * F) / m

Here, F = $1,000 and m = 2 since there are semiannual coupon payments. Then we have:102.73 = (Coupon payment * (1 - (1 / (1 + 0.04015) ^ 20) / 0.04015 + 1,000 / (1 + 0.04015) ^ 20Where r = 8.03% / 2 = 0.04015Substituting for Coupon payment, we get:102.73 = ((Coupon rate * 1,000) / 2 * (1 - (1 / (1 + 0.04015) ^ 20) / 0.04015 + 1,000 / (1 + 0.04015) ^ 20Multiplying both sides by 0.04015, we get:102.73 * 0.04015 = (Coupon rate * 1,000 / 2 * (1 - (1 / (1 + 0.04015) ^ 20))) + 1,000 / (1 + 0.04015) ^ 20

Simplifying, we get:4.133 = (Coupon rate * 1,000 / 2 * (1 - (1 / (1.04015) ^ 20))) + 1,000 / (1.04015) ^ 20Coupon rate * (1 - (1 / (1.04015) ^ 20))) = (4.133 - 1000 / (1.04015) ^ 20) * 2 / 1000Multiplying both sides by 1000 / 2 and simplifying, we get: Coupon rate * (1 - (1 / (1.04015) ^ 20))) = 0.00826604Coupon rate = 0.00826604 / (1 - (1 / (1.04015) ^ 20)

Coupon rate = 4.09% Therefore, the coupon rate of the bond is 4.09%.

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company a has a current ratio greater than 1. if company a buys inventory on account - which will increase inventory and accounts payable - what is the impact to the current ratio? the current ratio will increase the current ratio will decrease not enough information available to answer this question no change to the current ratio

Answers

The correct answer to the question is that the current ratio will decrease.

When Company A purchases inventory on account, which increases inventory and accounts payable, the impact on the current ratio is that the current ratio will decrease. The current ratio is a financial ratio that measures a company's ability to pay its short-term obligations. It is calculated by dividing current assets by current liabilities. If the current ratio is greater than 1, it indicates that the company has enough current assets to cover its current liabilities. However, if the company purchases inventory on account, it will increase both inventory and accounts payable. Inventory is a current asset, and accounts payable is a current liability. This means that the increase in inventory will be offset by the increase in accounts payable. Since the current liabilities will increase due to the increase in accounts payable, the current ratio will decrease. Therefore, the correct answer to the question is that the current ratio will decrease.

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a cross-functional team has been formed to come up with ways to improve communication among departments. team members are now taking part in a brainstorming session. they are in what stage of the project?

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The team is in the ideation stage of the project, which involves gathering ideas and forming solutions.

The ideation stage is typically the first stage of a project and involves gathering ideas and forming potential solutions. During this stage, the team may brainstorm, research, and discuss various ideas and approaches to address the problem or opportunity at hand.

The goal is to generate a range of possibilities and explore different avenues for solving the problem.

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mis can also provide businesses with a competitive advantage by allowing them to analyze their data and make data-driven decisions. this can help businesses to identify market trends, opportunities, and threats, and adjust their strategies accordingly. true or false

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This can help businesses to identify market trends, opportunities, and threats, and adjust their strategies accordingly" is true.

What is MIS?

MIS stands for Management Information System. It is the system that provides the business's management with the information they require to make informed decisions. This can include financial, operational, and other types of data.

MIS will provide the management with the details required to make a choice when it comes to organizing, planning, and controlling the business.MIS allows businesses to make better decisions by providing them with timely and accurate data. This can help businesses to identify market trends, opportunities, and threats, and adjust their strategies accordingly.

They can also use MIS to analyze data and make data-driven decisions. MIS can also help to improve business performance by enabling businesses to monitor their performance and make improvements where necessary.

MIS has many advantages for businesses. These include the ability to analyze data, make data-driven decisions, and monitor business performance. MIS can also help businesses to identify market trends, opportunities, and threats and adjust their strategies accordingly. Therefore, we can say that the given statement is true.

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is getting ready to purchase shares in a mutual fund. he will have to pay a one-time sales charge to purchase these shares. what type of shares is he buying?

Answers

The student is buying load mutual fund shares. When an investor purchases mutual fund shares, they must pay a one-time sales fee known as a load.

The load is typically a portion of the total investment amount and is deducted at the time of purchase.

Mutual funds are a form of investment that pools money from numerous investors to buy securities like stocks, bonds, or other assets. A professional money manager manages the portfolio's investments, allocating the money based on the fund's objectives.

Mutual funds are an excellent way for novice investors to gain exposure to the market while minimizing risk. Mutual funds can be classified into two types: load funds and no-load funds.

Investors who purchase load funds must pay a one-time sales charge or load. A no-load mutual fund, on the other hand, does not charge a sales charge. There are no-load funds that charge a redemption fee if the investor sells the shares too soon.

One-time sales charges are also known as front-end sales fees or sales loads. These fees are charged to new mutual fund investors when they first purchase the fund's shares. The one-time charge varies depending on the mutual fund and is usually a percentage of the total investment.

The percentage typically ranges from 2% to 8% of the total investment amount. The sales charge goes to the financial advisor or salesperson who sold the mutual fund to the investor.

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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.

Answers

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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what is the best approach for the team to keep the stakeholders continuously updated on the work status?

Answers

The best approach for a team to keep stakeholders continuously updated on the work status is by employing effective communication strategies.

The stakeholders can be employees, clients, suppliers, shareholders, or any other parties that have a vested interest in the work the team is doing. Effective communication is critical to ensure that the stakeholders are aware of the progress made by the team in the project execution. The following are the best approaches that a team can employ to keep the stakeholders continuously updated on the work status.
Hold regular meetings- Regular meetings between the team and stakeholders are essential to provide updates on the progress of the project. This approach allows the team to provide feedback on any issues and receive feedback on the progress made on the project. The meetings should be scheduled at intervals agreed upon by the team and stakeholders.
Employ technology- Technology can be used to update stakeholders on the progress made in the project. The team can use social media, email, or other communication platforms to update stakeholders on the progress made on the project. These platforms enable the team to provide real-time updates to stakeholders.
Be transparent-Transparency is essential in maintaining a healthy working relationship between the team and stakeholders. Being open and honest with stakeholders about the progress made in the project can help to build trust between the parties. It is essential to communicate both the successes and failures of the project.
Provide status reports-The team can provide regular status reports to stakeholders to update them on the progress made in the project. The reports should be detailed and provide information on the progress of the project. The reports should include key performance indicators, project timelines, and other metrics that help stakeholders understand the progress made by the team. In conclusion, the best approach for a team to keep stakeholders continuously updated on the work status is to employ effective communication strategies. The approaches discussed above are critical in ensuring that stakeholders are aware of the progress made by the team in project execution.

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what is the practice of artificially stimulating online conversation and positive reviews about a product, service, or brand?

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The practice of artificially stimulating online conversation and positive reviews about a product, service, or brand is known as astroturfing.

Astroturfing involves using fake accounts or bots to create false positive reviews and promote a particular brand or product. This can be done by creating fake social media accounts, purchasing likes or followers, and using bots to generate positive reviews and discussions on forums.

Astroturfing can also involve paying people to write reviews and blogs.

These activities are generally meant to mislead potential customers and give the impression that a product or service is much more popular than it actually is.

This can be deceptive and can even break advertising regulations, which is why companies and organizations should be careful not to engage in astroturfing.

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apple has just paid a quarterly dividend of $3.02. dividends are expected to grow by 10% for the next 4 quarters, and then grow by 1.2% thereafter. apple has a required quarterly return of 5%.what is the terminal value in the fourth quarter (

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The terminal value in the fourth quarter is $101.58 if Apple has a required quarterly return of 5% in the last quarter.

Quarterly dividend  = $3.02

Growth rate = 10% in the next 4 quarters

After 4 quarters, growth rate = 1.2%

Quarterly return of required =  5%.

To calculate the terminal value in the fourth quarter, we need to calculate the present value for future dividends. The formula for the present value is:

PV = D / (r - g)

PV1 = D1 / (r - g)

PV1 = $3.02 / (0.05 - 0.1)

PV1 = -$60.40

PV2 = D2 / (r - g)

PV2 = ($3.02 * 1.1) / (0.05 - 0.1)

PV2 = $34.13

PV3 = D3 / (r - g)

PV3 = ($3.02 * 1.1^2) / (0.05 - 0.1)

PV3 = $49.33

PV4 = D4 / (r - g)

PV4 = ($3.02 * 1.1^3) / (0.05 - 0.1)

PV4 = $71.46

We need to calculate the terminal value. The formula is:

PV(Terminal Value) = D5 / (r - g)

PV(Terminal Value) = ($3.02 * 1.1^4) / (0.05 - 0.012)

PV(Terminal Value) = $101.58

Now by adding all the present values, we get the terminal value:

Total PV = PV1 + PV2 + PV3 + PV4 + PV(TV)

Total PV = -$60.40 + $34.13 + $49.33 + $71.46 + $101.58

Total PV = $196.10

Therefore, we can conclude that the terminal value in the fourth quarter is $101.58.

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Which of the following combinations results in the greatest decrease in sample size in an attribute sample for a test of controls?Desired confidence level:Tolerable deviation rate:Expected population deviation rate:

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The combination that results in the greatest decrease in sample size for an attribute sample in a test of controls is: high desired confidence level, low tolerable deviation rate, and low expected population deviation rate.

In an attribute sampling for a test of controls, the sample size is influenced by three factors: desired confidence level, tolerable deviation rate, and expected population deviation rate.

A high desired confidence level means that you want to be more certain about your conclusions, which usually requires a larger sample size. However, a low tolerable deviation rate indicates that you are less willing to accept deviations, which leads to a smaller sample size.

Similarly, a low expected population deviation rate suggests that deviations are rare in the population, so you would need a smaller sample size to find them. When you combine these factors, the result is the greatest decrease in sample size.

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pinnacle fund had year-end assets of $825,000,000 and liabilities of $25,000,000. if pinnacle's nav was $32.18, how many shares must have been held in the fund? question 40 options: 21,619,346.92 22,930,546.28 24,860,161.59 25,693,645.25

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If Pinnacle's nav was $32.18 then there must have been 24,860,161.59 shares held in the fund.

How many shares should a shareholder own?

If you decide to choose individual stocks, you should make sure you have a sufficient number of them in your portfolio so that your wealth is not overly concentrated on any one business or sector. Unless your portfolio is really tiny, this usually involves holding between 20 and 30 equities.

By deducting assets from liabilities, we can calculate equity:

825,000,000 - 25,000,000 = 800,000,000

The shares outstanding are obtained by dividing this by the value per share as follows:

800,000,000 / 32.18 = 24,860,161.59

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what are at least 5 things you need to make sure you understand before selling your first item online to be compliant with regulations?

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In order to be compliant with regulations when selling your first item online, it is important to understand the following five things: Taxes, Regulations, Shipping, return Policy and Privacy and data security.



1. Taxes: Depending on your location and the type of product being sold, there may be certain taxes that need to be collected and paid on the item. It is important to research and understand the applicable taxes in your area.



2. Regulations: Depending on the type of product being sold, there may be additional regulations and laws that need to be complied with. Make sure to research and understand all applicable regulations for the type of product you are selling.



3. Shipping: If you are shipping the item, make sure you understand all applicable shipping regulations, as well as any applicable fees or taxes. Additionally, make sure you understand the process of packaging and shipping the item.



4. Return Policy: Establish a clear return policy that is compliant with all applicable laws and regulations. This policy should include details on the process for customers to return the item, the timeline for processing the return, and any associated fees.



5. Privacy and Data Security: Ensure that you are protecting the privacy of your customers and that all data is secure. This includes following any applicable laws and regulations, as well as utilizing secure payment gateways and other data protection measures.

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