The study of how people's economic decisions affect market prices, returns, and resource allocation is known as behavioral economics.
What is be works' function?
We comprehend human behavior and alter it for the better.
Using science, we reveal the unseen factors that influence everyday behavior and develop innovative solutions to today's issues and foresee the challenges of tomorrow.
What is the work of behavioral economists?
Based on psychology and market research, behavioral economic consultants work to comprehend their clients' requirements and create individual business plans and solutions. You can choose to work as a consultant in a specialized field, such as education or health care, and either work for yourself or for a private company.
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suppose alyssa is willing to drive across town to save 50 percent on a soccer ball with a list price of $40. if alyssa is rational, this implies that she would
Alyssa is prepared to travel across town in order to save fifty percent on a soccer ball with a list price of $40. This suggests that she would be prepared to travel across town in order to save 5 percent on a $400 bike.
What is a list price ?The cost that a product's maker ostensibly suggests that a retailer sell it is referred to as the list price, also known as the manufacturer's suggested retail price (MSRP), recommended retail price (RRP), or suggested retail price (SRP), of a product.
As they permit prices to be set higher than those that would be determined by supply and demand, suggested pricing strategies can be in opposition with competition theory. Beyond simply proposing prices, resale price maintenance—fixing prices—is prohibited in many nations.
Depending on the actual wholesale cost of each item, which is typically obtained in bulk from the manufacturer or in smaller quantities through a distributor, retailers may charge less than the suggested retail price.
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natalie is married to chad, who abandoned her in early june of 2022. she has not seen or communicated with him since then. she maintains a household in which she and her two dependent children live. which of the following statements about natalie's filing status in 2022 is correct? a.natalie can file as a head of household. b.natalie can use the rates for single taxpayers. c.natalie can file as a surviving spouse. d.natalie can file a joint return with chad.
Since then, she has not spoken to or seen him. She keeps up a home where she and her two dependent kids reside.
Nataliya and Chad's after marriage:Chad, Natalie's husband, left her in early June 2019 and left their shared house. Chad and Natalie were married. Since then, she has not spoken to or seen him. She keeps up a home where she and her two dependent kids reside. Which of the ensuing claims regarding Natalie's filing status in 2019 is true? Natalie is permitted to use the rates for single taxpayers. Ob Natalie and Chad are able to submit a combined tax return. d. Natalie is eligible to file as the surviving spouse. Natalie is eligible to file as the head of household. Oe.
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stock valuation model dynamics make clear that lower discount rates lead to multiple choice lower valuations. higher valuations. lower growth rates. higher growth rates.
Stock Valuation model dynamics make clear that lower discount rates lead to higher valuations. Stock valuation is a technique for figuring out a stock's intrinsic value, or theoretical worth.
The fact that a stock's intrinsic worth may differ from its present price makes stock valuation important. The intrinsic value of a stock can help investors decide if the stock is over or undervalued at the present market price. Higher valuations stocks are growth stocks—businesses that are anticipated to expand. They trade at a premium price because analysts anticipate above-average revenue and profits growth for these firms.
To determine if a company is overvalued or undervalued, firms are appraised and the valuation is contrasted with the current market price. It is possible to see stock valuation as both an art and a science. Absolute valuation and relative valuation are the two types of stock valuation.
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of the options below, select the one you think is the most frequent complaint interviewers have about their candidates for on-campus interviews each year? (opinion question) select an answer and submit. for keyboard navigation, use the up/down arrow keys to select an answer. a inappropriate attire b bad breath c poor company research d not enough time spent on practice interview questions.
The most frequent complaint is of poor company research
Recruiters may write this as their most frequent criticism on assessment forms, where in the candidate needed to ask more questions about the position and the organisation. This means that the candidate didn't show that they knew enough about the job or the business to pose thoughtful inquiries. No website or job description can provide all the information one requires about a possible position or employer. One might find places to request more information by properly researching the organisation and reading the position posting.
This enables the candidate to show the employer that they are interested in the job/company enough to take the time to study it and that the candidate is aware of the specifics of how and why their skills are the ideal fit. Furthermore, by thoroughly understanding the job description and company information, one can avoid asking questions that they could have learned the answers to just by reading the job listings.
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assuming the pure expectations theory is correct, an upward-sloping yield curve implies multiple choice interest rates are expected to increase in the future. longer-term bonds are riskier than short-term bonds. interest rates are expected to decline in the future.
Assuming the pure expectations theory is correct, an upward-sloping yield curve implies interest rates are expected to increase in the future. An interest rate is the sum of the periodic interest payments.
Using the current long-term interest rates as a starting point, the hypothesis of wishes attempts to predict what the short-term interest rate will be in the future. According to the theory, a speculator today would earn the same amount of income by investing in two consecutive one-year bond speculations as opposed to one 2-year bond. Additionally known as the "theory of unequal expectations," the hypothesis.
According to the expectancies principle, the long-term interest rates are rising to the average of the short-term rates projected to prevail. According to the expectation theory, certain yield curves with an upward sloping cause an increase in short-term levels, and vice versa. Due to lower short-term rates than long-term rates, the yield graph is tilted upward-sloping.
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sonja is a product manager for a line of consumer cosmetic products and is introducing a new product. she set the retail price at $35.50 with wholesale margins of 15% and retail margins of 40%. how much will sonja's company receive per unit under these terms?
Sonja's company receives $20.81 per unit with a retail margin of 40% and a wholesale margin of 15%
It is given that Sonja has set a retail margin of 40%, and a wholesale margin of 15%.
Retail Price = Wholesale price + Retail margin X Wholesale price
or, Retail Price = (1 + Retail margin) X Wholesale price
The retail price is given as $35.50.
Hence,
35.50 = (1 + 40/100) X Wholesale Price
Or, Wholesale Price = 35.50 X 100/140
or, wholesale price = $23.928
Similar to the above statements,
Wholesale price = Price charged by manufacturers + Wholesale margin X price charged by manufacturers
or, Wholesale price = (1 + Wholesale margin) X Price charged by manufacturers
Hence,
23.928 = (1 + 15/100) X Price charged by manufacturers
or, Price charged by manufacturers = 100 X 23.928/115
= $20.81
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What is an
example of acting
in a self-centered
way?
A. Throwing a surprise
party for a friend.
B. Wishing you did
something in a different
way.
C. Going to your friend's
basketball game to
support them.
D. Visiting a friend who is
going through a hard time.
An example of acting in a self-centered way is wishing you did something in a different way (option B).
What is a self-centered person?A self-centered person is described as an individual who is more interested in his activities and more engrossed in himself. It is important to mention that a self-centered person will mainly be egotistical and selfish.
Acting in a self-centered manner means that an individual is acting in a manner in which that person's well-being, goals, and thoughts are more important to that person, than anything else. This is why the person focuses on his actions and wishes to do some actions differently.
It can be concluded that an example of acting in a self-centered way is wishing you did something in a different way (option B).
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what is a reason a company would want its own warehouse? multiple choice to fulfill its large warehousing needs internationally to provide customers with more control over their goods to avoid the special handling of goods that public warehouses provide to avoid having total control over distribution to avoid paying high fixed costs for public warehouse maintenance
A reason that a company might want to own a warehouse is to provide customers with more control over their goods.
We can describe a warehouse as a large place where goods can be stored. If a company has a warehouse, then this means that it can store extra products in the warehouse and provide them to customers whenever needed.
A warehouse can increase the sales of a company as increased products mean increased sales. A warehouse helps in the management of sales chain development.
A warehouse means that the customers can have a grip of their goods and can store their products.
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What does insurance give you if you buy something expensive?
A: Protection
B: A certificate of ownership
C: Money
D: Financing
Answer:
D
Explanation:
advantages of cross-listing include group of answer choices possibly making investors, both at home and abroad, more willing to provide capital and to increase the value of the pre-existing shares. a possible signal of the company's commitment to shareholder rights. all of the options providing their shareholders with a higher degree of protection than may be available in the home country.
The statements are all true. Cross listing allows foreign investors the chance to invest in that company and calls for higher standards of corporate governance and dedication to shareholders.
Any individual, business, or organization that holds at least one share of a company's stock or unit in a mutual fund is referred to as a shareholder. With specific rights and obligations, shareholders effectively own the business. They are able to benefit from a company's success thanks to this sort of ownership. These benefits take the form of rising stock prices or cash gains paid out as dividends.
On the other hand, when a corporation experiences a loss, the share price always falls, which can result in financial losses for shareholders or declines in their portfolios. Any individual, organization, or entity that has stock in a firm is a shareholder. An investor in a corporation is permitted to own just one share.
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what is the yield to maturity of a corporate bond with a 3 year maturity, 5 percent coupon (semiannual payments), and $1000 face value if the bond sold for $978.30?
The yield to maturity rate is 5.80
the yield to maturity rate is calculated asBond price-$ 980
Face value-$1,000
Annual pasteboard rate- 5
pasteboard frequencies Annual
Times to maturity 10 times
[tex]bond\ price = \sum_{k=1}^{n} \frac{cf}{(1+r)^k}[/tex]
FV = 1000 PV = -978.30 N = 3 * 2 PMT = 50/2 I/ Y = 2.9 * 2 = 5.80
The bond price is the plutocrat an investor has to pay to acquire the bond. It can be set up on utmost fiscal data websites. The bond price of Bond A is$ 980.
Determine the face value
The face value is original to the star of the bond. For our illustration, face value = $1,000.
Determine the periodic pasteboard rate and the pasteboard frequency
In our illustration, Bond A has a pasteboard rate of 5 and an periodic frequency. This means that the bond will pay$1,000 * 5 = $ 50 as interest each time.
Determine the times to maturity
The n is the number of times from now until the bond matures. The n for Bond A is 10 times
Calculate the bond YTM
The YTM can be seen as the internal rate of return of the bond investment if the investor holds it until it matures and reinvests the pasteboard at the same interest rate. Hence, the YTM formula involves concluding the YTM r in the equation below
where
- CF- Cash overflows, i.e., tickets or the star.
- r- YTM; and
- n- Times to maturity.
For Bond A, the equation looks like For Bond A, the equation looks like:
[tex]980 = \frac{\$50}{(1+r)^1} + \frac{\$50}{(1+r)^2} + \frac{\$50}{(1+r)^3} + ... + \frac{\$50}{(1+r)^9} + \frac{\$1,050}{(1+r)^10}[/tex]
After performing the estimation, our YTM calculator gives a YTM th
After performing the estimation, our YTM calculator gives a YTM th
After performing the estimation YTM that's equal to r = 5.80.
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The abc retail company groups activities around its east coast, west coast, and midwest locations. Which type of departmentalization is the company using?.
When Jack Welch served as CEO of GE, he invented the phrase "boundaryless organization," which describes an organization that does away with traditional borders between divisions and obstacles between the firm and the outside world.
What is organization without boundaries?An organization that actively dismantles barriers to innovation is said to be "boundaryless," which means that it is more integrated and has less hierarchy and functional division. This makes it possible for ideas, information, and innovations to flow freely.An organization without boundaries has four dimensions.Boundaryless enterprises benefit from the inherent diversity of their workforce. Diversity will, according to research, boost employee and organizational innovation overall.The concept behind this model is to outsource the majority of the operations while keeping just the strategic and value-generating tasks in-house. Toyota is an illustration of a business that practices this.When Jack Welch served as CEO of GE, he invented the phrase "boundaryless organization," which describes an organization that does away with traditional borders between divisions and obstacles between the firm and the outside world.To learn more about Boundaryless organization refer to:
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a stock will pay dividends of $2, $5, and $9 over the next three years, and then increase dividends at a rate of 8% afterwards. its required rate of return is 19%. what is the value of the stock? round your answer to the nearest cent (one-hundredth). do not include the dollar sign ($).
The dividend discount model (DDM) is a quantitative technique for forecasting the price of a company's stock based on the idea that, when discounted back to their present value, all of the company's future dividend payments are worth the present price of the stock. It considers the dividend distribution criteria and the market expected returns in an effort to determine the fair value of a company regardless of the current market conditions.
Time value of money definitionImagine lending your pal $100 on an interest-free loan. You visit him later to retrieve the money you were lent. Your friend presents you with two choices:
Now take your $100.
After a year, take your $100.
The majority of people will select the first option. You can deposit the money in a bank if you take it now. If the bank offers nominal interest, such as 5%, then your money will increase to $105 after a year. It will be preferable to the second choice, when your friend gives you $100 after a year, that is.
Future Value=Present Value ∗ (1+interest rate%)(for one year)
The time value of money, which can be summed up as "Money's value is reliant on time," is demonstrated by the example above. The same interest rate formula can also be used to determine the present value of an asset or receivable if you know its future value.
Changing the equation's order,
Future Value = (1+interest rate%) / Present Value
In essence, the third factor may be computed given any two factors.
This idea is the basis of the dividend discount model. It computes the net present value (NPV), which is based on the time value of money idea, of the anticipated cash flows a company will produce in the future (TVM).
Essentially, the DDM is based on computing the present value of all anticipated future dividend payments made by the corporation using a net interest rate factor (also called discount rate).
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A sum of money is worth more today than it will be at a later time due to its earning potential, according to the temporal value of money (TVM) theory.
What is the Time value of money? Imagine lending your pal $100 on an interest-free loan. You visit him later to retrieve the money you were lent. Your friend presents you with two choices:Now take your $100.
After a year, take your $100.
The majority of people will select the first option. You can deposit the money in a bank if you take it now. If the bank offers nominal interest, such as 5%, then your money will increase to $105 after a year. It will be preferable to the second choice, when your friend gives you $100 after a year, that is.Future Value=Present Value ∗ (1+interest rate%)(for one year)
The time value of money, which can be summed up as "Money's value is reliant on time," is demonstrated by the example above. The same interest rate formula can also be used to determine the present value of an asset or receivable if you know its future value.Changing the equation's order,
Future Value = (1+interest rate%) / Present Value
In essence, the third factor may be computed given any two factors.This idea is the basis of the dividend discount model. It computes the net present value (NPV), which is based on the time value of money idea, of the anticipated cash flows a company will produce in the future (TVM). Essentially, the DDM is based on computing the present value of all anticipated future dividend payments made by the corporation using a net interest rate factor (also called discount rate).A sum of money is worth more today than it will be at a later time due to its earning potential, according to the temporal value of money (TVM) theory.To Learn more About Time value of money refer to:
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the bbc company is forecasting demand to fluctuate over the next four periods. if the beginning inventory level is 120 units and the company wants a pure level output plan, what level of production is required to avoid back orders during any period and to keep ending inventory for period 4 at a minimum? the forecast is: period 1-1900; period 2-1930; period 3-2260; period 4-910.
The technique of estimating and predicting future consumer demand for a good or service is known as demand forecasting.
The forecast period is: 1990.
What is meant by forecasting demand?Making predictions about the demand from customers over a predetermined time period is known as demand forecasting. In general, historical data and other analytical information are taken into account in demand forecasting to provide the most precise estimates.
By analyzing previous sales data, demand forecasting can be used to predict future sales data. You can meet client needs effectively and make the best business decisions as a result. A corporation can analyze its inventory level, SKU stock levels, overall sales, and revenue for a future period with the use of demand forecasting.
The technique of estimating and predicting future consumer demand for a good or service is known as demand forecasting. It involves applying predictive analysis of past data. Demand forecasting assists the company in making more informed supply choices that predict the overall sales and revenue for the upcoming period of time.
The forecast period is: 1990.
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solve the problem. the total cost of producing x units of a certain commodity is given by does marginal cost increase or decrease with increasing production? not enough information to answer marginal cost is constant. marginal cost is increasing. marginal cost is decreasing.
Marginal cost is increasing with increasing production.
In economics, the marginal cost is the exchange in total production fee that comes from making or producing one extra unit. To calculate the marginal value, divide the change in production expenses by means of the alternate in quantity.
Take your total value of manufacturing and subtract your variable prices improved by using the wide variety of units you produced. t=This could provide you with your overall fixed cost.
An organization's marginal fee is how a great deal greater it charges to produce extra gadgets of goods or services. You may calculate it by dividing the exchange in expenses by the change in amount.
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after doing considerable shopping, pax has just decided what brand and type of athletic shoes to buy and where he's going to buy them. in what stage of the consumer buying decision process is pax?
Pax is the post-purchase evaluation stage of the consumer purchasing decision process.
What are the stages of the consumer buying process?There are five primary stages in the consumer decision-making process. This is the process by which consumers evaluate whether or not to make a purchase. Problem identification, information search, alternative evaluation, purchase decision, and post-purchase evaluation are the five steps. A stimulus, need recognition, information search, evaluations of alternatives, purchasing decisions, and evaluation of purchase decisions are the seven steps in the consumer decision-making process. These steps can serve as a guide for marketers to better understand and communicate with their customers. Consumer behavior is divided into four categories: habitual buying, variety-seeking, dissonance-reducing, and complex buying.
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What term is used to describe the practice of unloading materials from an incoming trucks or rail cars and loading these materials onto outbound trucks or rail cars, with little or no storage or warehousing in between?.
—in its most basic form, cross-docking is the process of loading products onto departing rail cars or trailers after they have been loaded into arriving ones. This eliminates the need for warehousing (storage).
The term "person or firm who transports freight under contract to a limited number of shippers" refers to which sort of transportation company?a person or business that transports freight for a single or a small group of shippers under contract. not required to assist the public. A person or firm that hauls its own goods as part of a venture that makes, uses, sells, or purchases the goods being transported. Cross-docking is a LEAN idea since it minimizes some wasteful transit and the requirement to keep inventory. REDUCED LOT SIZES and SHIPPING Numbers - By decreasing lot sizes and shipping quantities, a business can boost warehouse productivity and expedite shipping.
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if a firm's current ratio , its liquidity . a. increases; increases b. decreases; increases c. increases; decreases d. increases; remains the same
If a firm's current ratio increases , its liquidity remains the same. Companies measure their ability to fulfil short-term financial obligations using liquidity. It's a gauge of your company's capacity to turn over any possessions with a monetary value into cash.
It is quick and simple to convert liquid assets into money. The term "liquidity" refers to the capacity to convert an asset into cash. An asset is more liquid firm it is simpler to turn it into cash. And the most liquid asset is often thought to be cash. A bank transfer or ATM withdrawal can be used to swiftly and simply access the cash in a bank account or credit union account.
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a small manufacturing company is considering purchasing a maintenance contract for its air conditioning systems. since all of its systems are new, the company plans to begin the contract in year four and continue through year ten. the cost of the contract is $3,200 per year and the company's minimum attractive rate of return is 12% per year. the present worth of the contract is nearest to: a) $6,605 b) $10,395 c) $14,604 d) $18,081
A small manufacturing company is considering purchasing a maintenance contract for its air conditioning systems. Since all of its systems are new, the company plans to begin the contract in year one and continue through year ten. The cost of the contract is $3,200 per year and the company's minimum attractive rate of return is 12% per year. The present worth of the contract is nearest to $18,080.71.
This can be computed by using the formula for calculating the present value of an ordinary annuity as follows:
PV = P × [{1 - [1 ÷ (1 + r)]^n} ÷ r] …………………………………. (1)
Where;
PV = Present value or worth of the contract?
P = yearly cost of the contract = 3,200
r = annual rate of return = 12%, or 0.12
n = number of years = 10
Substitute the values into equation (1) to have:
PV = $3,200 × [{1 - [1 ÷ (1 + 0.12)]^10} ÷ 0.12]
PV = $3,200 × 5.65022302841087
PV = $18,080.71
Therefore, the present worth of the contract is nearest to $18,080.71.
An annuity that has its cash flows or payments made at the end of the period is referred to as an ordinary annuity. A typical annuity of $100 annual cash inflows for five years looks like this: At the conclusion of years 1 through 5, the cash flows take place. At the conclusion of year 1, there is also the first cash flow.
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motor works has total assets of $919,200, long-term debt of $264,500, total equity of $466,900, net fixed assets of $682,800, and sales of $1,021,500. the profit margin is 6.2 percent. what is the current ratio?
Current ratio is 1.26.
Define total assets.Total Assets are defined as the assets owned by the company that have an economic worth and from which benefits may be gained in the future. This term is most frequently used in the context of a corporation. In the company's balance sheet, assets are included.
Depending on their liquidity, assets are divided into two categories:
liquid assets and illiquid assets. Assets that can be quickly sold for cash or turned into cash are referred to as liquid assets; otherwise, they are referred to as illiquid assets.On the balance sheet, assets are further divided into current assets and long-term assets. A current asset is one that can be liquidated in less than a year, whereas a long-term asset can be liquidated over a period longer than a year.To solve the question :
Given,
Total assets = $919,200
Net fixed assets = $682,800
Long-term debt = $264,500
Total equity = $466,900
(Total assets - net fixed assets) / (Total assets - long-term debt - total equity)
($919,200 - 682,800) / ($919,200 - 264,500 - 466,900)
= 1.26
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imagine that instead of hiring each assistant right away in the hiring assistant problem, we wait until the end to hire the best one. what are the best-, worse-, and average-case costs in this case? explain
An algorithm's running time is typically analyzed using probabilistic analysis. Simply put, probabilistic analysis is the application of probability to problem solving.
What is the issue with hiring?
In the analysis of algorithms, a well-known decision-making issue is the hiring issue.An effective algorithm for selecting the best candidate from a list of n candidates is developed to solve the issue.
Write the hiring problem using a random algorithm.
If a random number generator's values partly determine an algorithm's behavior, it is randomized. This necessitates a modification to the hiring issue scenario: The employment agency provides us with a list of n candidates in advance and lets us select the order in which we want to interview them. We select at random.
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which of the following is a positive economic statement? group of answer choices reducing unemployment should be the highest priority of the federal government. an increase in unemployment benefits will increase the unemployment rate. corporations should be prohibited from laying off workers during a recession. congress should increase unemployment benefits during a recession.
An increase in unemployment benefits will increase the unemployment rate is a positive economic statement.
Unemployment, according to the OECD, is humans above a distinctive age now not being in paid employment or self-employment however presently to be had for paintings throughout the reference period. Unemployment is measured via the unemployment fee, which is the range of individuals who are unemployed as a percent of the labour pressure
The term unemployment refers to a scenario wherein someone actively searches for employment but is not able to locate work. Unemployment is considered to be a key measure of the fitness of the economy. The most often used measure of unemployment is the unemployment rate.
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berry co. purchases a patent on january 1, 2021, for $30,000 and the patent has an expected useful life of five years with no residual value. assuming berry co. uses the straight-line method, what is the amortization expense for the year ended december 31, 2022?
$6000 is the amortization expense for the year ended December 31, 2022 if the patent has an expected useful life of five years with no residual value.
purchase cost a patent on january 1, 2021= $30,000
expected useful life = 5 years
$30000/5years =$6000 amortization per year
$6000 is the amortization expense for the year ended December 31, 2022.
Amortization expenses reflect the cost of long-term assets (such as computers and vehicles) over their useful life. They show up on a company's income statement as depreciation expenses.
In business, amortization is the practice of depreciating the value of an intangible asset, such as a patent or a copyright, over the course of its useful life. Amortization expenses can have an impact on a company's income statement, balance sheet, and tax liability.
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goods and service features and performance characteristics that differentiate one customer benefit package from another and win the customer's business are called .
In marketing, the goods & service features and performance characteristics that differentiate one customer benefit package from another and win the customer's business are called an order winners.
What is an order winners?In marketing, an order winners refers to those variables which permit differentiating the company from competitors while an order qualifiers are the prerequisites for engaging in a transaction. This view of orders can be seen as a unifying approach between the operations management and marketing
Going forward, the order winners are seen as a competitive advantages such as quality, delivery speed, reliability, product design, flexibility and image that cause a firm's customers to select that company's products or services. The order winner is the main reason why customers purchase a company's product. For instance, the Shine family vacations at Lake Tahoe for prestige and quality while they order all of their products from Pramazon for quick delivery speed.
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which of the following items are netted against sales revenue to arrive at net sales (sales revenue to net sales)? (select all that apply.) multiple select question. cost of goods sold sales returns gross profit sales allowances deferred revenue sales discounts
Sales discounts, sales returns, sales discounts
These 3 are subtracted from sales revenue, then cost of goods sold is subtracted from sales revenue to get gross profit
Revenue is the money a business earns by selling products or offering services. Sales and revenue can and often are used interchangeably to refer to the same thing in accounting. It is important to remember that income does not always equal money received. One portion of the sales proceeds may be paid in cash and the other portion may be paid on credit using methods such as accounts receivable.
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Which policy is a way the SEC protects investors?
O helping investors diversify their portfolios
O guaranteeing the value of certain stocks
O insuring the amounts of people's investments
O requiring companies to disclose financial information
Helping investors diversify their portfolios is the policy is a way the SEC protects investors. Hence, option A is correct.
What is SEC protects investors?The Securities Act of 1933, also referred to as the "truth in securities" law, has two main purposes: it requires investors to get financial and other important information about securities that are being offered for public sale; and When selling stocks, refrain from lying, making false assertions, and other types of fraud.
One of the three foundations of the United States is investor protection. the direction of the Securities and Exchange Commission. Maintain a fair, efficient, and structured market. support the creation of capital.
Thus, option A is correct.
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Who prioneered a manufacturing method based around the principle of take the work to the man, not the man to the work?.
The belt is boss, as one worker put it, or as Ford said in 1925, "the point is to keep everything in motion and convey the job to the man not the work to the man." The former method required 14 hours to assemble a Model T in 1913.
Explain about the manufacturing method?A business constructs or produces a product is through a manufacturing process. Using computers, robots, and cloud-based technologies, it can be a complex process involving a variety of machines, tools, and equipment with several levels of automation.
Manufacturing is the process of creating products—either manually or mechanically—that the company then sells to a client. Rough materials or smaller portions of a larger product are both examples of items utilized in manufacturing.
Manufacturing is the process of creating new goods from components or raw materials. Automotive businesses, bakeries, shoemakers, and tailors are all examples of manufacturing because they all produce goods rather than provide services
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sonal and preeti started working on a project and they can complete the project in 30 days. sonal worked for 16 days and preeti completed the remaining work in 44 days. how many days would preeti have taken to complete the entire project all by herself?
The number of days it would take Preeti to complete the entire project all by herself is equal to 60.
The number of days Preeti would take to complete the entire project all by herself can be calculated by using an algebraic expression.
If we consider that there are 30 units of work overall, then
Efficiency of Preeti + Efficiency of Sonal = 1
If we consider the efficiency of Sonal = x
Then the efficiency of Preeti = 1 - x
As Sonal worked for 16 days;
Total Work left = 30 - 16x
Now the efficiency of both can be calculated as follows;
Days in which Preeti completed the remaining work = Work left ÷ efficiency of Preeti
44 = 30 - 16x ÷ 1 - x
44 (1 - x) = 30 - 16x
44 - 44x = 30 - 16x
14 = 28x
x = 14/28 = 1/2
Therefore, efficiency of Sonal = 1/2
efficiency of Preeti = 1 - 1/2 = 1/2
Now we can calculate the number of days Preeti would have taken to complete the entire project all by herself as follows;
Days Preeti would have taken = Total work ÷ efficiency of Preeti
Days Preeti would have taken = 30 ÷ (1/2) = 60 days
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if a firm with market power maximizes profit by producing at the unit elastic point on the demand curve, then a. it has no direct competitors. b. its marginal cost must be zero at the profit-maximizing level of output. c. demand must be perfectly elastic. d. it cannot be in long-run equilibrium.
(B) A company's marginal cost must be zero at the profit maximizing level of output if a firm producing at the unit elastic point. It is because at the point with unit elasticity, changes to prices do not affect total revenue.
The demand curve can be described as a graphical representation of the relationship between the quantity demanded for a given period of time and the price of a good or service. In a typical representation, the quantity demanded on the horizontal axis while the price will appear on the left vertical axis. Based on the statement above, a marginal cost must be zero because changes in quantity exactly offsets changes in price.
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a company's product sells at $12.34 per unit and has a $5.51 per unit variable cost. the company's total fixed costs are $96,300. the break-even point in units is:
Break-even point in units= 14,088 units
Giving the following information about the breakeven pointA company`s product sells at $12.30 per unit and has a $5.45 per unit variable cost. The company's total fixed costs are $96,500.
To calculate the break-even point in units, we need to use the following formula:
Break-even point in units= fixed costs/ contribution margin per unit
Break-even point in units= 96,500/ (12.3 - 5.45)
Break-even point in units= 14,088 units
The breakeven factor is the factor at which the overall price line intersects the overall sales line . It is the range of devices a organization have to promote to generate a 0 profit.
Sales under the breakeven factor imply a loss, while income above the breakeven factor imply a profit.
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