the view that holds an organization should satisfy the needs of consumers in a way that also provides for society's well-being is known as

Answers

Answer 1

The view that an organization should satisfy the needs of consumers in a way that also provides for society's well-being is known as Corporate Social Responsibility (CSR).

CSR focuses on the social and environmental responsibilities that an organization has and the impact that their operations have on the environment and society. This includes being mindful of the organization’s practices and policies and ensuring they are sustainable and ethical. CSR also requires organizations to be open and transparent with the public, consumers, and shareholders, as well as actively engaging with and contributing to local communities. Ultimately, CSR encourages organizations to be more accountable and responsible for their actions and decisions.

To know more about CSR  click on below link:

https://brainly.com/question/8003335#

#SPJ11


Related Questions

you are considering a project with an initial cost of $7,500. what is the payback period for this project if the cash inflows are $1,100, $1,640, $3,800, and $4,500 a year over the next four years, respectively?

Answers

The payback period for this project, with an initial cost of $7,500 and cash inflows of $1,100, $1,640, $3,800, and $4,500 a year over the next four years, respectively, is 2.67 years. The calculation for the payback period is: 7,500 / (1,100 + 1,640 + 3,800 + 4,500) = 2.67 years.

To calculate the payback period, you need to determine how long it will take to recover the initial investment of $7,500 from the cash inflows generated by the project.

are one, you subtract the cash inflow from the initial investment to get the remaining investment:

Year 1: $7,500 - $1,100 = $6,400

Moving on to year two, you subtract the cash inflow from the remaining investment from year one:

Year 2: $6,400 - $1,640 = $4,760

Then, for year three:

Year 3: $,760 - $3,800 = $960

Finally, for year four:

Year 4: $960 - $4,500 = -$3,540

The payback period is the time it takes to recover the initial investment, which is at the end of year three. However, because there is still a negative balance in year four, the payback period needs to be adjusted to account for the remaining investment.

Read more about finance here:https://brainly.com/question/989344

#SPJ11

suppose that jane's income increases from $30,000 to $35,000. at the same time, her consumption changes from $26,000 to $29,000. what is jane's marginal propensity to consume?

Answers

Jane's marginal propensity to consume is 0.6 or 60%.

In the given scenario, Jane's income increases from $30,000 to $35,000, and her consumption changes from $26,000 to $29,000. To find Jane's marginal propensity to consume, we need to determine how much of the additional $5,000 income she spent on consumption.

We can calculate Jane's marginal propensity to consume by using the formula:

Marginal Propensity to Consume (MPC) = Change in Consumption / Change in Income

Here, the change in consumption is $29,000 - $26,000 = $3,000, and the change in income is $35,000 - $30,000 = $5,000.

MPC = $3,000 / $5,000

MPC = 0.6 or 60%

It means that for every additional dollar Jane earns, she spends 60 cents on consumption, and saves the remaining 40 cents.

To know more about marginal propensity here

https://brainly.com/question/19089833

#SPJ4

assuming a 10 percent capitalization rate, a $1 per month reduction in rent (in one unit) will reduce the value of the property by how much over a period of one year?

Answers

The property's value will be reduced by $120 over a period of one year.

According to the problem statement, if the capitalization rate is 10% and the value of the property is reduced by $1 per month in one unit,

we can calculate the decrease in value of the property over a period of one year as follows.

The capitalization rate is calculated by dividing the net operating income (NOI) by the market value of the property. Capitalization rate = (Net Operating Income / Market Value) x 100

Thus, the net operating income (NOI) can be calculated by multiplying the monthly rent by 12 and then subtracting the $1 reduction in rent per month.

Net Operating Income = (Monthly Rent x 12) - $1The market value of the property can be calculated by dividing the net operating income by the capitalization rate.

Market Value = Net Operating Income / Capitalization Rate

Substituting the values we have, Monthly Rent = $1

Capitalization Rate = 10%

Net Operating Income = ($1 x 12) - $1 = $11

Market Value = $11 / 10% = $110

Hence, we can see that the $1 reduction in rent per month will result in a decrease in the value of the property by $120 ($1 x 12 months) in one year, which is equivalent to 10.91% of the original market value ($120 / $110).

To know more about Captialization here

https://brainly.com/question/29642179

#SPJ11

Define business in your own words. What do you believe a business is?

Answers

Answer: a person's occupation, or a company

Explanation:

An investor can design a risky portfolio based on two stocks, A and B. Stock A has an expected
return of 21% and a standard deviation of return of 39%. Stock B has an expected return of 14%
and a standard deviation of return of 20%. The correlation coefficient between the returns of A
and B is 0.4. The risk-free rate of return is 5%.37. The proportion of the optimal risky portfolio that should be invested in stock B is
approximately _________.
i was able to get thi one without problem, i need , i nee the process for 38 and30 only, thanks, please be clear on the steps.
A. 29%
B. 44%
C. 56%
**D. 71%
WB = 71%
Difficulty: Hard

Answers

To find the proportion of the optimal risky portfolio that should be invested in stock B, you can use the following formula:

WB = [(E(RA) - Rf) * σB^2 - (E(RB) - Rf) * σA * σB * ρAB] / [(E(RA) - Rf) * σB^2 + (E(RB) - Rf) * σA^2 - (E(RA) - Rf + E(RB) - Rf) * σA * σB * ρAB]

Where:
WB = proportion invested in stock B
E(RA) = expected return of stock A (21%)
E(RB) = expected return of stock B (14%)
Rf = risk-free rate of return (5%)
σA = standard deviation of return for stock A (39%)
σB = standard deviation of return for stock B (20%)
ρAB = correlation coefficient between returns of A and B (0.4)

Plug in the values and perform the calculations:

WB = [(0.21 - 0.05) * (0.20^2) - (0.14 - 0.05) * (0.39) * (0.20) * (0.4)] / [(0.21 - 0.05) * (0.20^2) + (0.14 - 0.05) * (0.39^2) - (0.21 - 0.05 + 0.14 - 0.05) * (0.39) * (0.20) * (0.4)]

WB ≈ 0.71 or 71%

So, the proportion of the optimal risky portfolio that should be invested in stock B is approximately 71% (Option D).

To learn about; portfolio

https://brainly.com/question/26647325

#SPJ11

in one city, developers are limited by the zoning law to constructing no more than an average of three houses per acre in any subdivision. what does this restriction regulate?

Answers

This restriction regulates the number of houses that developers can construct in a subdivision in a city as per the zoning law.

Zoning law is the law that regulates and governs the usage of privately owned land. Zoning law typically divides a jurisdiction into a number of zones, which designate the types of land uses permitted in each zone. The zoning law can be used by local governments to restrict the use of land within their jurisdiction as per the requirement.

What is the restriction? Restriction is a word that refers to a limit on the number of houses that developers can construct in a subdivision in a city as per the zoning law. In one city, the developers are restricted to building no more than an average of three houses per acre in any subdivision.

What is the importance of zoning laws? The zoning laws are important because they regulate and govern the usage of privately owned land in a jurisdiction. Zoning laws typically divide a jurisdiction into a number of zones, which designate the types of land uses permitted in each zone. This helps in reducing the conflicts between different uses of land and ensures that the local governments can restrict the use of land within their jurisdiction as per the requirement.

Learn more about "Zoning Law"; https://brainly.com/question/29888248

#SPJ11

if a one-year project costs $100,000 and is expected to return the firm $105,000, then the rate of return of the project is: a $105,000. b 105%. c $5,000. d 4.8%. e 5%.

Answers

if a one-year project costs $100,000 and is expected to return the firm $105,000, then the rate of return of the project is 5%.

The rate of return (ROR) of a project is calculated as the net gain from the project divided by the initial investment, expressed as a percentage. In this case, the net gain is the return of $105,000 minus the initial cost of $100,000, which equals $5,000.

So,

ROR = ($105,000 - $100,000) / $100,000 x 100%

= $5,000 / $100,000 x 100%

= 5%.

Rate of return (ROR) is a measure of the profitability of an investment, expressed as a percentage. It is calculated as the net gain or loss of an investment divided by the initial investment amount. The ROR is an essential metric for investors and is used to compare the performance of different investment opportunities. It helps investors to evaluate the potential profitability of an investment and to make informed investment decisions.

learn more about rate of return here

https://brainly.com/question/24232401

#SPJ1

uppose a senator has proposed a budget measure that would direct money to his district for the purpose of improving parks. this would be an example of

Answers

If a senator has proposed a budget measure that would direct money to his district for the purpose of improving parks, this would be an example of an earmark.

What is an earmark?An earmark is a budget measure that directs funds to be spent on a particular project or in a specific location. It's typically added to spending legislation by a legislator in order to benefit their own district or state.This would be an example of pork barrel spending, where public funds are allocated for the benefit of a particular political district or group. It's also known as pork barrel spending. Earmarks can be a contentious issue because they can be seen as wasteful or inefficient, and they can also be used to buy votes or curry favor with constituents.

Learn more about  budget measure here:https://brainly.com/question/24940564

#SPJ11

taylor company purchased a machine and plans to depreciate it over its estimated useful life of 10 years. over the next four years, the machine was used more extensively than originally estimated, so taylor revised the useful life estimate to a total of 8 years. this change should be accounted for as a:

Answers

Answer:change in accounting estimate, with a prospective approach.

Explanation:

suppose you go to a company that pays 0.04 for the first day, 0.08 for the second day, 0.16 for the third day and so on. if the daily wage keeps doubling, what will your total income be for working 31 days ?

Answers

The total income for working 31 days is $ 4,294,967.64.

Given, The company pays $0.04 for the first day, $0.08 for the second day, $0.16 for the third day and so on. Daily wage keeps doubling. To find, What will your total income be for working 31 days? Let a be the initial wage of the worker. From the given data, it is clear that the wage for the first day will be a = $0.04.

Wage for 2nd day = $0.08 = 2a

Wage for 3rd day = $0.16 = 2 × 2a = 2^2 a

Wage for 4th day = $0.32 = 2 × 2 × 2a = 2^3 a

And so on up to 31 days.

Now, the sum of wages for all the 31 days = $0.04 + 2a + 2^2a + 2^3a + .........+ 2^30a

By summing the terms of a geometric sequence, we get= $0.04 + 2a (1+ 2 + 2^2 + 2^3 + ..........+ 2^30)a = $0.04 + 2a(2^31 − 1). Therefore, the sum of the wages for all the 31 days = 0.04 + 2a(2^31 − 1) = 0.04 + (2 × 0.04 × (2^31 − 1))= $ 4,294,967.64. Hence, the total income for working 31 days is $ 4,294,967.64.

For more about total income;

https://brainly.com/question/21121917

#SPJ11

An individual owns a bond at $960 and it's convertible at $40. If he converts the bond at a time when the stock is trading at $42 per share and the bond is trading at $1,040, which of the following is TRUE?
Group of answer choices
a. He receives 24 shares.
b. He receives 26 shares.
c. He realizes a $80 gain on the conversion.
d. He receives 25 shares.

Answers

The given statement "An individual owns a bond at $960 and it's convertible at $40. If he converts the bond at a time when the stock is trading at $42 per share and the bond is trading at $1,040", is true. So, the correct option is D.

A convertible bond is a type of bond that can be converted into a predetermined number of shares of the issuing company's common stock. Convertible bonds are hybrid security that is part debt and part equity, and they are generally considered riskier than conventional bonds.

The conversion ratio, which represents the number of common shares that a bond can be converted into, is typically included in the bond agreement. For instance, if the conversion ratio is 25:1, a $1,000 bond can be converted into 25 common shares. At the same time, convertible bonds include a coupon rate that pays interest, which makes them similar to conventional bonds.

Let's get back to the question now. A bond of $960 convertible at $40 means that the investor can convert this bond into 24 shares of stock (960/40 = 24). If the bond is traded at $1040 and the stock is trading at $42 per share, the bond's conversion value is now $1,008. So, the investor can now exchange this bond of $1,008 for 24 shares of stock, giving him $1,008/ $42 per share = 24 shares.

Therefore, he will get 24 shares of stock on converting his bond. This means that the correct option is D. He receives 25 shares.

You can learn more about convertible bonds at: brainly.com/question/17173968

#SPJ11

a corporation must present details about contributed capital in the a.first year of operation. b.management discussion and analysis section. c.notes to the financial statements or parenthetically adjacent to each capital stock account. d.footnotes.

Answers

In the first year of operation, a corporation must present details about contributed capital in the Management Discussion and Analysis section, Notes to the Financial Statements, or parenthetically adjacent to each capital stock account. This information may also be provided in the footnotes.

About capital corporation notes

The Management Discussion and Analysis section should include the total contributed capital amount and describe any differences between the contributed capital amount and the amount shown in the financial statements.

The Notes to the Financial Statements should include a description of the contributions made to the corporation, the total contributed capital amount, and any differences between the contributed capital amount and the amount shown in the financial statements.

The contributed capital account should also be broken down into sub-accounts and parenthetically adjacent to each capital stock account, showing the total contributed capital amount, the amount of each type of capital stock, and any differences between the contributed capital amount and the amount shown in the financial statements.

Lastly, footnotes should provide the details of the contributed capital, including the amount of each type of capital stock, the dates of contributions, and any differences between the contributed capital amount and the amount shown in the financial statements.

Learn more about footnotes at

https://brainly.com/question/29735895

#SPJ11

the time between a shock to the economy and the policy action responding to that shock is called the:

Answers

The time between a shock to the economy and the policy action responding to that shock is called the "policy lag."

The policy lag is the amount of time it takes for policymakers to respond to a shock. The lag can be divided into three parts, according to the Federal Reserve Bank of San Francisco: recognition lag, decision lag, and implementation lag. The recognition lag is the amount of time it takes for policymakers to recognize that an event has occurred that requires policy intervention.

The decision lag is the amount of time it takes for policymakers to determine what action to take in response to a shock, and the implementation lag is the amount of time it takes to put the chosen policy into effect. The policy lag can be affected by a variety of factors, including political considerations, bureaucratic processes, and economic data analysis. The quicker the policymakers can respond, the shorter the policy lag will be, which will allow the policy to be more effective.

To know more about policy lag click on below link:

https://brainly.com/question/17101607#

#SPJ11

joachim produces and sells baskets. his marginal cost for one basket is $10, and his average cost is $7. he gains producer surplus every time that he sells a basket at a price: group of answer choices below $10. below $7. above $10. above $7.

Answers

The price must be above $7 for him to gain a producer surplus if he gains producer surplus every time that he sells a basket at a price. Thus, option c is correct.

If he sells a basket above his mean cost of $7, then he will have a favorable producer surplus because he is selling the basket above his price of production. The price must be above $7 for him to gain a producer surplus. If he wants to continue his profit in the market he should maintain the surplus in his business.

If he sells a basket below his original cost of $10, then he will get a loss. Therefore, the cost of baskets must be above $10 to gain a producer surplus in the market.

To learn more about marginal cost

https://brainly.com/question/7781429

#SPJ4

suppose the current market wage rate (w) is $4. in the short run, a firm's marginal cost at the current output level is $2. what is this firm's marginal product of labor (mpl)?

Answers

The marginal product of labor (MPL) represents the additional output that a firm produces when it hires one more unit of labor.

Given that the market wage rate (w) is $4, we can assume that the firm's marginal cost (MC) includes the cost of labor. Therefore, we can rewrite the formula as follows:

MPL = ΔQ / ΔL = ΔP / ΔL / (w)

Since the firm's marginal cost at the current output level is $2, we can assume that the firm's total cost (TC) is equal to the cost of labor (w) plus the cost of other inputs. Therefore, we can rewrite the formula as follows:

MPL = ΔQ / ΔL = ΔP / ΔL / (TC - w)

However, since the firm is operating at its profit-maximizing level of output, we know that its marginal revenue (MR) is equal to its price (P). Therefore, we can rewrite the formula as follows:

MPL = ΔQ / ΔL = (MR - MC) / (TC - w)

Given that the firm's marginal cost is $2, and the market wage rate is $4, we can substitute the values into the formula:

MPL = ΔQ / ΔL = (MR - MC) / (TC - w)

MPL = (4 - 2) / (TC - 4)

To know more about marginal cost here

https://brainly.com/question/7781429

#SPJ4

What can cause an outflow of intangible resource stocks from a firm?

Answers

Outflow of intangible resource stocks from a firm can be caused by factors such as mergers and acquisitions, divestitures or sales of business units, bankruptcy or financial distress, and strategic decisions made by a company.

What are intangible resources?

Intangible resources are the non-physical, less tangible assets that an organization possesses. These assets cannot be touched or seen and are difficult to quantify. They include a firm's brand image, patents, copyrights, intellectual property, organizational culture, management expertise, and other similar assets.Intangible assets are important because they can provide companies with a competitive advantage over their competitors. They can help companies create new products, improve existing ones, reduce costs, and improve customer satisfaction.The outflow of intangible resource stocks from a firm can have a significant impact on the company's financial performance.

Learn more about Intangible resources here: https://brainly.com/question/29916481

#SPJ11

when nigeria's economy suffered because of a drastic fall in oil prices, the government encouraged people to buy more local products by

Answers

When Nigeria's economy suffered due to a drastic fall in oil prices, the government encouraged people to buy more local products by imposing tariffs on imported goods.

What are tariffs? Tariffs are taxes on goods imported into a country. They are a method of government regulation that aims to restrict trade by making imported products more expensive than domestic goods. This increases the cost of imported products, making domestic goods more competitive and encouraging consumers to buy local products. Tariffs are levied on imported goods to protect the domestic industry from unfair competition.

The Nigerian government imposed tariffs on imported goods to encourage people to buy more locally-made products. When oil prices plummeted, the country's economy suffered because oil accounts for more than 90% of Nigeria's export earnings. The Nigerian government, therefore, needed to boost other sectors of the economy to make up for the shortfall in revenue caused by the fall in oil prices.

One of the strategies adopted by the government was to increase tariffs on imported goods to make locally-made goods more competitive. As a result, local manufacturers saw an increase in demand for their products. This helped to boost local production and create more jobs in the manufacturing sector.

To learn more about “Nigeria's economy” refer to the : https://brainly.com/question/11802439

#SPJ11

compared to commercial banks, why do finance companies often have substantial industry and product expertise?

Answers

Compared to commercial banks, finance companies often have substantial industry and product expertise because they specialize in providing financing and other services to specific industries or types of products. They focus on understanding the specific needs of their customers in order to provide tailored financing solutions.

Additionally, finance companies can provide in-depth knowledge of the legal and regulatory framework of the industry they are serving. This means they can provide the best terms and advice that commercial banks may not be able to offer.

Finance companies have deep experience in understanding the complexities of specific industries and markets. This knowledge allows them to recognize opportunities and risks more quickly than a commercial bank, which is especially important in more specialized industries. In addition, finance companies may be better able to provide additional resources to help their customers grow and expand, including specialized financial products and services.

Finally, finance companies are able to provide tailored and flexible financing options that may not be available through commercial banks. This can include adjustable interest rates, flexible payment terms, and customized repayment options. This flexibility can make a big difference in helping businesses stay competitive and grow.

To know more about financial companies    click on below link :

https://brainly.com/question/28287663

#SPJ11

in the nineteenth century, pools, trusts, and mergers were: group of answer choices seen as beneficial by consumers. ways that manufacturers sought to control the marketplace. unheard of. used only rarely.

Answers

In the nineteenth century, pools, trusts, and mergers were ways that manufacturers sought to control the marketplace. Option 3 is the correct answer.

A sizable portion of the economy is said to be made up of manufacturers. The history of manufacturing dates back to antiquity. Yet, the traditional maker for many centuries was a single competent craftsman with helpers. Each artist guarded the trade secrets of their craft and exclusively taught apprentices. Manufacture was only possible through manual processes. Option 3 is the correct answer.

Manufacturers development was largely influenced by the Industrial Revolution. One outcome of the Industrial Revolution was the development of new technology (such as steam engines) that made it possible to mechanize manufacturing, which raised the amount of commodities produced. Because of this, manufacturers started using mass manufacturing at the start of the 20th century to create their products. Option 3 is the correct answer.

Learn more about Marketplace here:

https://brainly.com/question/14388522

#SPJ4

which of the following are functions of money? multiple select question. hedge against inflation store of value unit of account medium of exchange

Answers

Answer:unit of account Median of exchange Store of value

Explanation:

The following are functions of money:

Hedge against inflation.Store of value.Unit of account.Medium of exchange.

Money is defined as something that is accepted as a method of payment for goods, services, or debts, as well as a means of calculating the relative worth of things. In other words, money is used as a medium of exchange, a store of value, a unit of account, and a hedge against inflation. The characteristics of money are distinct, although they may overlap.

Hedge against inflation

When a country experiences inflation, the prices of goods and services increase, and the value of money decreases. Money is a useful hedge against inflation since it can maintain its value in the long run when inflation rates rise.Store of value:Money serves as a store of value since it can be saved for future purchases.

If an individual saves their money, it can be utilized in the future to purchase something of worth, and it will not lose its value. Money can be held in a variety of forms, including bank deposits, currency, and bonds.Unit of account:Money is employed as a unit of account to determine the worth of goods and services.It enables individuals to determine the cost of a good or service and allows for a common language for pricing.

Medium of exchange:One of the most critical functions of money is to act as a medium of exchange. Money can be used to buy goods and services. Rather than bartering or trading one good for another, cash can be exchanged for a good or service.

To know more about functions of money refer here

https://brainly.com/question/28240274#

#SPJ11

If an economy is operating with significant unemployment, an increase in which of the following will most likely cause employment to increase and the interest rate to decrease?
a) purchase of government bonds by the central bank
b) transfer payments
c) reserve requirements
d) government expenditures
e) investment in basic infrastructure

Answers

If an economy is operating with significant unemployment, an increase in government expenditures will most likely cause employment to increase and the interest rate to decrease. So, the correct option is D.

The central bank uses three tools of monetary policy to stabilize economic growth, reduce inflation, and encourage employment in the country. The three monetary policy tools are reserve requirements, the purchase of government bonds by the central bank, and interest rates.

Government expenditure is a fiscal policy tool rather than a monetary policy tool. It helps reduce unemployment and stimulate economic growth by creating more jobs in the economy. When there is a significant level of unemployment in the economy, government expenditures are a powerful tool that can be used to create more jobs and decrease the interest rate in the economy.

The correct option is option D, which states that government expenditures will most likely cause employment to increase and the interest rate to decrease when there is significant unemployment in the economy.

You can learn more about unemployment at: brainly.com/question/14227610

#SPJ11

what the meaning of retained earnings?

Answers

Retained earnings are a result of a company's profits, which are the excess of revenue over expenses.

When a company earns profits, it has the option of distributing them as dividends to shareholders or retaining them within the company. Retained earnings represent the portion of earnings that a company chooses to retain for future use.

Mathematically, retained earnings can be calculated as follows:

Retained Earnings = Beginning Retained Earnings + Net Income - Dividends

Beginning retained earnings are the retained earnings from the previous year, while net income is the total revenue minus total expenses for the current year. Dividends are the portion of earnings distributed to shareholders.

Therefore, the formula calculates the retained earnings by adding the beginning retained earnings to the current year's net income and subtracting the dividends distributed to shareholders.

To know more about earning here

https://brainly.com/question/31280058

#SPJ4

in the context of customer benefit packages, services are those that are not essential to the primary service, but enhance it. a. core b. tertiary c. peripheral d. central

Answers

The term "services" in the context of customer benefit packages generally refers to "peripheral services" - services that are not essential to the primary service, but enhance it.


A "core service" is a primary service offered to customers, usually of a tangible or intangible nature. A "tertiary service" is an extra service offered to customers, usually of an intangible nature. Finally, a "peripheral service" is an additional service offered to customers, which is not essential to the primary service, but enhances it.


Peripheral services can help customers gain a better understanding of the product or service they are buying, or make them feel better about the purchase they are making. Examples of peripheral services can include warranties, extended customer service hours, loyalty programs, or special offers. These services can be used to boost customer satisfaction, create customer loyalty, and increase profitability.  

In summary, services in the context of customer benefit packages are typically referred to as "peripheral services", as they are not essential to the primary service, but rather enhance it. They can help customers better understand the product or service they are purchasing, or help create customer loyalty and increase profitability.

For more such questions on Customer benefit packages.

https://brainly.com/question/13185912#

#SPJ11

what does the w-2 form tell you? when to file your tax return. how often your employer will be paying you. how much you've earned and how much taxes you've paid in the last year. how much federal income tax you

Answers

The W-2 form is an important document when it comes to filing your taxes. It will tell you how much income you have earned in the last year, how much taxes you have paid, and how often your employer will be paying you. It is important to use the information on this form to help you accurately file your tax return.

All of this information is important for accurately filing your taxes. Without the W-2 form, you would be unable to provide accurate information to the IRS. Additionally, the W-2 form can help you calculate how much you owe in taxes and to determine if you are eligible for certain credits or deductions.

Learn more about taxes: https://brainly.com/question/1775528

#SPJ11

the unique blend of product pricing, promotion, offerings, and distribution designed to meet the needs of a specific group is the marketing mix. group of answer choices true false

Answers

True. The marketing mix is a combination of product pricing, promotion, offerings, and distribution strategies designed to meet the specific needs of a target market.

Product pricing involves the setting of prices based on the perceived value of the product, and promotion includes advertising, personal selling, and other methods of making the product known to potential customers. Offerings refer to the product and services offered, as well as any extras such as warranties, guarantees, and customer service.

Distribution includes the selection of channels through which the product or service will reach the customer, such as retail outlets or internet websites. By strategically mixing these elements, companies can create a unique offering that meets the needs of their target market.

See more about marketing mix at https://brainly.com/question/859394.

#SPJ11

suppose you recently volunteered to help your grandfather compute the value of his social security payments for the following year. which price index should you use: the cpi, ppi, or the gdp deflator? explain your answer.

Answers

If you are calculating the value of your grandfather's Social Security payments, you should use the Consumer Price Index (CPI). Therefore, A: CPI is the correct answer.

The CPI measures the average change over time in the prices paid by consumers for a basket of goods and services. Social Security payments are designed to keep pace with inflation, and the CPI is used to determine the annual adjustment to payments. The Producer Price Index (PPI) measures changes in the prices received by producers and is not relevant for Social Security payments. The GDP deflator measures changes in the prices of all goods and services produced in an economy and is not specific to Social Security payments.

You can learn more about price index at

https://brainly.com/question/1889164

#SPJ11

apple's move into the indian iphone market with trade in offers, discounted service agreements and interest free payment plans is an example of

Answers

Apple's move into the Indian iPhone market with trade-in offers, discounted service agreements, and interest-free payment plans is an example of market penetration.

Now the Apple has to increase its market share in the region and remain competitive in the local market.

Market penetration is a marketing strategy employed by companies in order to increase the market share of their products or services. It involves introducing a new product or service to the existing customer base and creating more demand in existing markets.

Apple's move into the Indian market is an example of this strategy. Through its trade-in offers, discounted service agreements, and interest-free payment plans, Apple was able to penetrate the Indian market and increase its customer base.

It also allowed Apple to increase its market share in the region and remain competitive in the local market.

To know more about marketing strategy  refer here:

https://brainly.com/question/29376574#

#SPJ11

If a firm's production function exhibits diminishing marginal product of the variable input in the short run, which of the following about the firm's short-run marginal cost (MC) curve must be true?
A
As output increases, the MC curve slopes upward.
B
As output increases, the MC curve slopes downward and becomes flatter.
C
As output increases, the MC curve slopes downward and becomes steeper.
D
The MC curve is horizontal.
E
The MC curve is vertical.

Answers

The correct statement about the firm's short-run marginal cost (MC) curve is: A. As output increases, the MC curve slopes upward.

If a firm's production function exhibits diminishing marginal product of the variable input in the short run, the correct statement about the firm's short-run marginal cost (MC) curve is: A. As output increases, the MC curve slopes upward.

This is because, with diminishing marginal product, as more variable input is added, the increase in output becomes smaller. Therefore, the cost of producing an additional unit of output increases, leading to an upward-sloping MC curve.

For more such questions on marginal cost

https://brainly.com/question/29886279

#SPJ11

billy is 17 and was diagnosed with asthma at the age of 5. can a health insurance company charge him a higher premium? why or why not?

Answers

The majority of medical insurance policies will cover asthma. However, given that it is a chronic condition, common policies may not be sufficient due to their limited coverage and various sublimits and exclusions.

What exactly is a standard package?

The standard package's cover is selected by the government. The standard package is the same for all insurers. Healthcare insurers are required to accept all applicants for the standard insurance package and to charge the same premium to all policyholders, regardless of age or health status.

Social solidarity is the foundation of the Netherlands' health insurance system. Together, we as a whole compensation the general expense of medical care. For instance, everyone contributes to the expense of geriatric and maternity care.

To learn more about insurance visit :

https://brainly.com/question/27822778

#SPJ1

manufacturing networked cyber physical systems/iot provides a service to your organization and they claim that their service will be available four nines (99.99% up in a year) throughout the year for entire agreement/contracting period. what will be the typical minimum down time of their service based on this given agreement information?

Answers

The typical minimum down time of the manufacturing networked cyber physical systems/iot service based on the given agreement information is 52.56 minutes.

Explanation:Four nines (99.99% up in a year) means the manufacturing networked cyber physical systems/iot service will be down or unavailable for 0.01% of the time in a year.The total number of minutes in a year = 365 * 24 * 60 minutes = 525600 minutes

Therefore, the service will be available for 525600 * 0.9999 = 525475.44 minutes in a year.The down time or unavailability of service = 525600 - 525475.44 = 124.56 minutes.Typical minimum down time = 0.01% of 525600 minutes= (0.01/100) * 525600 minutes= 52.56 minutes.

To know more about down time refer here:

https://brainly.com/question/14525722

#SPJ11

Other Questions
7.5 code practice help I do not understand how to get the 81666.6666667 as the answer for Your average award money per gold medal was. The program works except for that. the complex process whereby silicate minerals such as feldspar are broken down to make clay minerals by reacting with water molecules is . What examples of words, meaning and sentence, could you give me as a metaphor? Write an imformative speeh base on a true story give me an example in a survey, 69% of americans said they own an answering machine. if 15 americans are selected at random, find the probability that exactly 7 own an answering machine. round your answer to three decimal places. in printmaking there are two major methods of making a print, they are; group of answer choices woodcut and lithograph drypoint and engraving relief and intaglio intaglio and aquatint if 10 friends are going to occupy 10 seats in shuttle on the way to the airport, how many different ways can they arrange themselves in the shuttle? provide your answer below: 15 - (p + 1) where p = 3 and 4 = 10 calculate 75909931 rounded to the nearest hundred thousand Listed below are five additional words that fit the patterns you have learned. Find them in the word mazeand circle them. Then write the word or words from the maze to which each pattern applies on the linesprovided.accidentallybeginning-occasionallyreferredhjf wer bdntekgninnigebe a cmd nofc mi at fhoyrtoj ryjpaudrefer e drsillapfr bt myllanois accoeu adjhrnt ga oenio gimacnslI maessfrigeaccidentally?transferred1. Pattern 1: The suffix begins with a consonant.2. Pattern 2: The suffix begins with a vowel and is added to a word whose last syllable is accented and ends in a vowand a single consonant. A large bag contains the following marbles:40 blue marbles8 green marbles16 yellow marbles21 white marblesTyra selects a marble from the bag at random. Based on the information, which statement is true?A. PLEASE HELP WILL GIVE BRAINLIEST!!!!!!!!!!!!!!!!!!!!!!!! spots, inc. produces ink and sells it to write on target, which makes pens. the ink produced by spots, inc. is called Is this poem good for divorced parents or no? If you could tell me how I could fix it. Soon two homes One place to another Walk through different doors Only to sit in silence. Knowing the others gone Use to be one.Happy and in love Now unhappy and loathed Each day passes Not a single interaction Love being abandoned What about me? Am I alone?I now stand in a fearIn the middle waiting Waiting for the rise Of a single flag Let me move on And forget this war And just accept it. the people of mateo's village all work together and share their food. all of the village members have equal status in their community. what type of culture is this? What river was an endpoint for shipping goods on the Erie Canal?ResponsesShenandoah RiverEast RiverCumberland RiverHudson River a higher residual value will result in a(n) depreciation expense per year and a(n) net income. need help? review these concept resources. when entering a client home, you warmly greet them. this best exemplifies which core ethical principle? I'll give 10 points to anyone who can answer the question. the degree to which members form close social ties with the group and how it subsequently influences interactions within and between group members is known as: