b. false.
When wages for accountants increase, the opportunity cost of leisure time also increases. This is because if accountants choose to enjoy leisure time, they are giving up the higher income they could have earned by working during that time. As wages increase, the value of the time spent working becomes greater, and thus, the opportunity cost of leisure time becomes higher.
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If average annual income for all workers is $37,000 and a person with a bachelor’s degree can expect to earn 32 percent more than average, what is the average annual income for persons holding bachelor’s degrees (round to the nearest thousand)?
Answer:
$48,840.00
Explanation:
If the average income is $37,000
A graduate expects to earn 32% above average.
The graduate will earn $37,000 +( 32% of $37,000)
=$37,000 +(32/100 + 37,000)
=$37,000 + $11,840.00
= $48,840.00
Answer:
49000
Explanation:
(source) TRUST ME
im being serious tho it is 49000
Which of the following illustrates the most economically sound choice for brad? buying both a car and a home leasing both a car and home buying a car and leasing a home leasing a car and buying a home
Buying both a car and a home best illustrates economics sound choice of brad.
What is a brad?A brad is a device that have a slight projection that help to fasten paper or object. It is a thin, soft metal, such as shim brass, wihich has a round head and a flat, split shank, which spread wide on pages or as a cotter pin or a split rivet.
They are use to attach shoe moldings and fastened small ornamental parts on furnitures Brads are use to glue wooden parts together.
Therefore, Buying both a car and a home best illustrates economics sound choice of brad.
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Answer: Keep it simple: A
Explanation:
buying both a car and a home
Your employer asks you to run some errands. The reimbursement rate is $0.54 per mile. You drive 6.5 miles. How much will the reimbursement be?
$8.31
$4.57
$3.51
$12.04
If your employer asks you to run some errands, you may be eligible for reimbursement for the expenses incurred during your work. In this case, your employer has stated that the reimbursement rate is $0.54 per mile. You have driven a total of 6.5 miles while running these errands.
To calculate the reimbursement amount, you simply need to multiply the mileage you drove by the reimbursement rate. Therefore, $0.54 x 6.5 = $3.51. This means that your reimbursement amount for driving 6.5 miles will be $3.51.
It is important to note that not all employers will offer mileage reimbursement or may have different reimbursement rates. It is always a good idea to check with your employer's policy on reimbursement rates and procedures.
If your employer offers reimbursement for mileage, be sure to keep track of the miles you drive for work-related purposes, including running errands, as this can add up over time.
In conclusion, in this scenario, your reimbursement for driving 6.5 miles for work-related errands will be $3.51 at a reimbursement rate of $0.54 per mile.
As an employee, it is always important to keep track of the miles you drive for work and to know your employer's reimbursement policy to ensure you receive the correct amount of reimbursement for any work-related expenses incurred.
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2. When different countries trade commodities and money with one another, we are referring to:
Answer:
We are referring to global economy
Collier Chemicals has redesigned many jobs to make the work more interesting and challenging for its employees. The company encourages its employees to further their education by reimbursing them up to $7,500 per year for tuition and related expenses. Collier also recognizes employee achievements at an annual company picnic each June and a company holiday party each December. Talented employees are given promotions and added responsibilities. These policies suggest that management at Collier Chemicals is using the findings of
Answer:
Finding of Fredrick Herzberg to increase workers or employee motivation
Explanation:
Based on the information given Collier Chemicals is using the findings of Fredrick Herzberg to increase the workers or employees motivation, which is why Collier Chemical was doing the following for their workers:
1.By encouraging their employees to further their education by reimbursing them with the amount of $7,500 per year for tuition as wells other related expenses.
2.Collier chemical recognizes their employee achievements annually through picnic and company holiday .
3. The company as well gives Talented employees promotions and added responsibilities.
Therefore Fredrick Herzberg was very interested in workers or employee motivation as well as their job satisfaction which made him to conduct his research by asking a group of people about their good as well as their bad experiences at work in which he was surprised that the answer that the group of people gave him about their good experiences at works is very differently from the ones about their bad experiences at work which made him to develop his own theory about motivation at work by fully concentrating on the importance and significant of internal job factors as motivating forces for employees or workers which was designed by him to help increase job enrichment for employees or workers .
What macroeconomic and microeconomic factors affect the pricing
of bonds?
Please use bullet points.
Macroeconomic factors:
InflationInterest ratesEconomic growthExchange ratesFiscal policyMonetary policyMarket uncertaintyMicroeconomic factors:
Creditworthiness of the issuer of the bondNature of the bond itselfLiquidity, risk associated with the bondCredit rating of the issuerMaturity date of the bond Supply and demand for the bondGovernment regulationsMarket conditionsInvestor sentimentMacroeconomic and Microeconomic factors affecting pricing of bonds: https://brainly.com/question/33551719
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Assuming an Oil and Gas company undertaking a project wish to gain a better understanding of their reservoirs to improve recovery by investing in reservoir simulation and modeling study. Assuming history matching proves successful, what reserve classification will be most appropriate under the PRMS. What reserve classification and range of uncertainty should development plans be made?
Assuming history matching proves successful, the most appropriate reserve classification under the PRMS would be proved reserves.
If an oil and gas company undertaking a project wishes to gain a better understanding of their reservoirs to improve recovery by investing in reservoir simulation and modeling study and assuming history matching proves successful. The range of uncertainty for development plans should be no more significant than the certainty level established by geoscience and engineering data that supports proved reserves.
Moreover, to be recognized as a proved reserve, the entity must have three criteria that include being technologically feasible, economically viable, and legally permitted. It means that it can be produced, marketed, and sold at current prices in a given market while also complying with environmental and regulatory requirements.
The reserve classification under the PRMS that is most appropriate and the range of uncertainty for development plans should be no more significant than the certainty level established by geoscience and engineering data that supports proved reserves.
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Say IAM YOUR BOSS THEN I WILL GIVE YOU BRAINLIEST AND 100 POINTS ADD ME AS YOUR FRIEND
Answer:
im your boss
Explanation:
The rise of nationalism is evident through all the following except
Multiple Choice
A. Increased domestic lending.
the election of President Trump.
B.WTO protests.
C. Brexit referendum.
D.strong protests to immigration.
Answer:
A. Increased domestic lending.
Explanation:
Give me brainliest if that helped!
bought a computer for ra 25000
double column cash book with discount and cash column
Answer:
Explanation:
41,900
June 01 Balance b/d 16,300
Answer:
41,900
June 01 Balance b/d 16,300
Explanation:
an airline's public relations department says that the airline rarely loses passengers' luggage. it further claims that on those occasions when luggage is lost, is recovered and delivered to its owner within 24 hours. a consumer group who surveyed a large number of air travelers found that only of people who lost luggage on that airline were reunited with the missing items by the next day. does this cast doubt on the airline's claim? explain.
Yes, the consumer group's survey results cast doubt on the airline's claim.
The airline's public relations department claimed that the airline rarely loses passengers' luggage and that if luggage is lost, it is recovered and delivered to its owner within 24 hours. However, the survey results from the consumer group show that only a small fraction of passengers who lost luggage on that airline were reunited with the missing items by the next day. This suggests that the airline's claim may be inaccurate or misleading.
The survey results suggest that the airline may lose passengers' luggage more frequently than it claims, and that the airline may not be able to recover and deliver lost luggage to its owners within 24 hours as often as it claims. This could indicate a problem with the airline's luggage handling procedures or with its communication with passengers about lost luggage. Therefore, the airline may need to investigate the cause of lost luggage and take steps to improve its luggage handling procedures or communication with passengers to ensure that lost luggage is recovered and delivered promptly.
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Price m 2011 Pricem 2012 Oranges $0.50 $0.40 Apples 0.25 0.40 Bananas 0.40 0.50 Suppose 2011 is the base year and the market basket for purposes of constructing a price index consists of 200 oranges, 100 apples, and 100 bananas. What is the value of the price index in 2011? a) 1.15 b) 100 c) 165 d) 190 Te Next yearning Active Learning: Practice Price in 2011 Price in 2012 Oranges $0.50 $0.40 Apples 0.25 0.40 Bananas 0.40 0.50 What is the value of the price index in 2012, using 2011 as the base year? a) 0.97 b) 1 c) 100 d) 103
The value of the price index in 2011, will be option D i.e. 103.
1. Multiply the price of each item in 2011 by the quantity in the market basket:
- Oranges: $0.50 * 200 = $100
- Apples: $0.25 * 100 = $25
- Bananas: $0.40 * 100 = $40
2. Add the results from step 1 to find the total cost of the market basket in 2011:
- $100 + $25 + $40 = $165
3. Divide the total cost of the market basket in 2011 by the total cost in the base year (2011) and multiply by 100:
- ($165 / $165) * 100 = 100
The value of the price index in 2011 is 100 (option b).
Next, to calculate the value of the price index in 2012 using 2011 as the base year, follow these steps:
1. Multiply the price of each item in 2012 by the quantity in the market basket:
- Oranges: $0.40 * 200 = $80
- Apples: $0.40 * 100 = $40
- Bananas: $0.50 * 100 = $50
2. Add the results from step 1 to find the total cost of the market basket in 2012:
- $80 + $40 + $50 = $170
3. Divide the total cost of the market basket in 2012 by the total cost in the base year (2011) and multiply by 100:
- ($170 / $165) * 100 ≈ 103
The value of the price index in 2012 using 2011 as the base year is 103 (option d).
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On January 1, 2021. Hum Enterprises Inc. had 80.000 common shares, recorded at $560,000. The company follows IFRS. During the year, the following transactions occurred: Apr. 1 June 15 Declared a 5% stock dividend to shareholders of record on September 5, distributable on September 20. The shares were trading for $11 a share at this time. Sep. 21 Nov 1 Announced a 1-for-2 reverse stock split. Shares were trading at 59 per share at the time. Dec. 20 Issued 4,000 common shares at $9 per share. Issued 3,000 common shares at $20 per share. Repurchased 10,000 common shares for $18 per share. This was the first time Hum had repurchased its own shares. Record each of the transactions. Keep a running balance of the average per share amount of the common shares.
On January 1, 2021, Hum Enterprises Inc. had 80,000 common shares with a recorded value of $560,000. The corporation complies with the International Financial Reporting Standards (IFRS).
Transactions made during the year are as follows: April 1: Declared a stock dividend of 5% to shareholders of record on September 5, distributable on September 20. The shares were trading for $11 per share at this time.June 15: The company announced a 5% stock dividend to shareholders of record on September 5, payable on September 20.
Shares were trading at $11 per share at the time. September 21: The company announced a 1-for-2 reverse stock split. Shares were trading at $59 per share at the time. November 1: The corporation announced a 1-for-2 reverse stock split. Shares were trading at $59 per share at the time.
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Brower corporation owns a manufacturing plant in the country of Oust. On December 31, 20X1, the plant had a book value of $5,000,000 and an estimated fair value of $8,000,000. Oust's government has clearly indicated that it will expropriate the plant during the coming year and will reimburse Brower for only 40% of the plant's estimated fair value. Required:
What journal entry (if any) should Brower make on December 31, 20X1, to record the intended expropriation? (If no entry is required for a transaction/event, select "No journal entry required" in the first account field. )
The journal entry (if any) should Brower make on December 31, 20X1, to record the intended expropriation (If no entry is required for a transaction/event, select "No journal entry required" in the first account field is 1800000.
Transaction Particulars Debit ($) Credit ($)
1. Estimated loss on expropriation of the foreign plant ( 5000000-(8000000*40%)) 1800000
Allowance for estimated loss on foreign plant 1800000
An organization is an agency—normally a collection of people or a business enterprise—legal by way of the country to act as an unmarried entity (a felony entity recognized by private and public law "born out of statute"; a prison character in felony context) and recognized as such in regulation for certain purposes.10 Early integrated entities were mounted by charter (i.e. through an ad hoc act granted by means of a monarch or surpassed through a parliament or legislature).
Maximum jurisdictions now allow the advent of the latest organizations thru registration. businesses are available in many different types however are usually divided by means of the regulation of the jurisdiction wherein they may be chartered based totally on aspects: by way of whether they are able to trouble stock, or through whether or not they are shaped to make a profit. relying on the wide variety of proprietors, a company can be labeled as a combination (the problem of this article) or sole (a legal entity including an unmarried incorporated workplace occupied by means of a single natural character).
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Chemical costs associated with a packed-bed flue gas incinerator for odor control have been decreasing uniformly for 5 years because of increases in efficiency. If the cost in year 1 was $100,000 and it decreased by $5,000 per year through year 5, the present worth of the costs at 10% per year is closest to
The present worth (PW) of the costs at 10% per year is closest to PW = AW x PWF= $250,000 x 3.7908≈ $947,700.
The correct answer is $947,700
First of all, we need to calculate the decreasing cost of the chemical costs in each of the 5 years, which is given as $5000.
So, cost in year 2 = cost in year 1 - decrease in cost= $100000 - $5000 = $95000
Similarly, the cost in year 3 = cost in year 2 - decrease in cost= $95000 - $5000 = $90000
And so on till we get the cost for year 5.
Now, we can apply the present worth method to find the total cost present worth at 10% per year.
Present worth (PW) = Annual worth (AW) x Present worth factor (PWF)
Annual worth (AW) = [Uniform series] x [Decrease in cost] = [$100,000 - $50,000] x [Decrease in cost] = $50,000 x $5,000 = $250,000
Present worth factor (PWF) = (1 - 1/(1 + i)^n)/i
Here, n = number of years = 5i = interest rate = 10% = 0.10
Putting these values in the formula for the present worth factor (PWF), we get: PWF = (1 - 1/(1 + i)^n)/i= (1 - 1/(1 + 0.10)^5)/0.10= 3.7908
So, the present worth (PW) of the costs at 10% per year is closest to PW = AW x PWF= $250,000 x 3.7908≈ $947,700
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Calculating the present worth of the costs involves using the present worth or present value formula and summing up for all 5 years. The present worth of the costs at 10% per year comes to approximately $346,287.
Explanation:A detailed answer to the question: Chemical costs associated with a packed-bed flue gas incinerator for odor control have been decreasing uniformly for 5 years because of increases in efficiency. If the cost in year 1 was $100,000 and it decreased by $5,000 per year through year 5, the present worth of the costs at 10% per year can be calculated using the present worth or present value formula where PV = FV/ (1 + r)^n. Here, the future value (FV) is the cost for each year, r is the rate of interest, which is 10%, and n is the year number.
Year 1: PV = 100000/ (1 + 0.10)^1 = $90,909
Year 2: PV = $95,000/ (1 + 0.10)^2 = $78,512
Year 3: PV = $90,000/ (1 + 0.10)^3 = $68,120
Year 4: PV = $85,000/ (1 + 0.10)^4 = $58,720
Year 5: PV = $80,000/ (1 + 0.10)^5 = $50,026
The total present worth is the sum of these, so $90,909 + $78,512 + $68,120 + $58,720 + $50,026 = $346,287 approximately. So, the present worth of the costs at 10% per year is closest to $346,287.
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In order to get senior management to approve an increase in the social media advertising budget, the marketing manager made a presentation detailing the campaign's click-through rate, number of site visits, and the number of leads generated through the banner ads. What type of influence tactic was the marketing manager using
There are different types of persuading techniques. Rational persuasion is the type of influence tactic was the marketing manager using.
Rational persuasion is commonly known to be a simple tactic. It uses different kind of request of the pressure approach along with the use of logical arguments aiding the request.
With this tactic, leaders use logical arguments and factual evidence to show that a request can be melt and needed to reaching said objectives.
Conclusively, It often rely on the use of facts and a big argument that is effective.
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Break-Even Sales and Sales Mix for a Service Company
Zero Turbulence Airline provides air transportation services between Los Angeles, California, and Kona, Hawaii. A single Los Angeles to Kona round-trip flight has the following operating statistics:
Fuel $10,378
Flight crew salaries 7,949
Airplane depreciation 3,753
Variable cost per passenger--business class 50
Variable cost per passenger--economy class 40
Round-trip ticket price--business class 550
Round-trip ticket price--economy class 260
It is assumed that the fuel, crew salaries, and airplane depreciation are fixed, regardless of the number of seats sold for the round-trip flight.
a. Compute the break-even number of seats sold on a single round-trip flight for the overall enterprise product, E. Assume that the overall product mix is 20% business class and 80% economy class tickets.
Total number of seats at break-even _ _ _seats
b. How many business class and economy class seats would be sold at the break-even point?
Business class seats at break-even _ _ _ seats
Economy class seats at break-even _ _ _seats
Break-Even Analysis:
Break-Even is a powerful accounting tool which determines the minimum level of operations a company must achieve to service all costs. The analysis can be calculated in sales dollars or units.
To compute the break-even number of seats sold on a single round-trip flight for Zero Turbulence Airline, we need to consider the fixed costs and the variable costs per passenger.
The round-trip ticket prices for business class and economy class are also provided. Additionally, we are asked to determine the number of business class and economy class seats sold at the break-even point.
To calculate the break-even number of seats sold on a single round-trip flight, we need to find the point at which the revenue from ticket sales covers the fixed costs. Let's assume the overall product mix is X% business class and (100-X)% economy class.
The total fixed costs for a single round-trip flight are the sum of fuel, flight crew salaries, and airplane depreciation: $10,378 + $7,949 + $3,753 = $22,080.
To compute the break-even number of seats, we can set up the following equation:
(X% of business class ticket price × number of business class seats) + ((100-X)% of economy class ticket price × number of economy class seats) = $22,080.
Using the given information, we can plug in the numbers and solve for the break-even number of seats.
After finding the break-even number of seats, we can calculate the number of business class seats and economy class seats sold at the break-even point using the given product mix percentages. This will allow us to determine the specific allocation of seats between the two classes.
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According to the product life-cycle theory, as the market in the United States and other advanced nations matures and the product becomes more standardized, __________ becomes the main competitive weapon.
-standardization
-placement
-customization
-price
-marketing
Option 4) According to the product life-cycle theory, as the market in the United States and other advanced nations matures and the product becomes more standardized, "price" becomes the main competitive weapon.
This is because customers begin to care less about the specific features of the product and focus more on the price. As a result, companies need to focus on price to stay competitive in the market. Therefore, the correct option is price.
What is the product life-cycle theory, The product life-cycle theory is a business concept that attempts to explain how the sales of a product change over time. The theory suggests that every product goes through four stages in its life cycle, which are introduction, growth, maturity, and decline. In the introduction stage, the product is new to the market and there are few customers.
During this stage, companies spend a lot of money on advertising and promotional activities to make people aware of the product. In the growth stage, the product gains more acceptance in the market, and sales begin to rise. At this point, companies start to focus on increasing their market share. In the maturity stage, sales begin to level off, and the product becomes more standardized.
During this stage, companies focus on reducing costs to stay competitive. In the decline stage, sales begin to decline as customers look for newer, more innovative products. Companies can choose to either exit the market or reduce the costs of their products.
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the accounting department should only have access to ________ since its function is to
The function of the accounting department is to record and verify changes in money and to do this, the department should have access to financial records.
The accounting department is an important department in all companies that deals with money and registers the changes of it. The functions of the department include:
Verifying money changes are accurate.Registering these changes of money.Moreover, to verify and register all changes in money, this department requires having access to all types of financial records including:
Copies of checks.Copies of receipts.Copies of any bank account transactions.Learn more in https://brainly.com/question/13815204
a copy of the list of checks; record the change in cash. (Accounting 101)
which is a way to increase your net worth
Ways to increase your net worth are
Contribute more money to your retirement fund.Reduce your spending.It's time to get rid of high-interest loans.Make a contingency fund. This is further explained below.What is net worth?Generally, taking into consideration all financial assets and obligations of a person/company/household.
In conclusion, Consolidate or renegotiate your debts.
Keep your vehicles for as long as you can.
Boost your wages
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This year the cost of steel used in manufacturing cars has increased by 15%. With the costs for manufacturing cars now up, what effect will this have on the car market?
The increase in the cost of steel used in manufacturing cars is expected to have a ripple effect on the car market. This is because the cost of manufacturing cars will increase and ultimately lead to higher prices for consumers.
The cost of steel is a major factor in the production of cars and a 15% increase is significant. The increased costs will impact the profits of car manufacturers and could lead to a decrease in supply if they are unable to absorb the increased costs.
If the car manufacturers pass on the increased costs to consumers, this could lead to a decrease in demand for cars. Consumers may choose to delay their purchases or opt for more affordable options.
Additionally, if the cost of steel continues to rise, this could lead to car manufacturers seeking alternative materials to use in car production. This could lead to new innovations in car manufacturing and ultimately change the landscape of the car market.
Overall, the increase in the cost of steel used in car manufacturing is likely to have an impact on the car market. The extent of this impact will depend on how car manufacturers respond to the increased costs and whether or not they are able to pass on these costs to consumers.
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QUESTION 8 of 10: What is a focus group?
what's a focus group, well it's a group that focus
How many order ready reminders are sent and what is the cadence?
Cadence has always been associated with rhythm—the rhythm of music, of marching, of a person's voice, and of natural noises. As our definition demonstrates, the word has also been used for other purposes for a very long time, most of which still relate to sound. In business lingo, "cadence" refers to how frequently a regularly scheduled event takes place.
A call cadence, also known as a sales cadence, is a strategy that specifies how frequently and how long a salesperson should wait before contacting a lead. A call cadence aids in keeping you in your sales lead's thoughts.
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if there's a increase of 1% p a. in the rate growth of money
supply will automatically increase inflation in the long run by how
much ?
If the rate of growth of money supply increases by 1% per annum, inflation in the long run will increase by approximately the same percentage.
Inflation refers to the general increase in prices of goods and services in an economy over time. It is influenced by various factors, including the rate of growth of the money supply. When the money supply expands, there is more money available in the economy, leading to an increase in demand for goods and services. This increased demand, in turn, puts upward pressure on prices.
An increase of 1% per annum in the rate of growth of the money supply will result in a similar percentage increase in inflation in the long run.
When the rate of growth of the money supply increases by 1% per annum, it means that the amount of money circulating in the economy expands at that rate. This expansion of the money supply leads to an increase in aggregate demand, as individuals and businesses have more money to spend. As a result, there is a greater demand for goods and services in the economy.
With the increased demand, producers and sellers can raise their prices, taking advantage of the willingness of consumers to pay higher prices. As a consequence, the general price level in the economy rises, leading to inflation. The extent of the inflationary effect will be approximately equal to the rate of increase in the money supply growth.
It is important to note that the relationship between money supply growth and inflation is not immediate or linear. In the short run, other factors, such as changes in productivity, supply shocks, or government policies, can influence the overall price level. However, over the long run, the general trend suggests that a sustained increase in the rate of growth of the money supply will eventually translate into a similar percentage increase in inflation.
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Choose a type of company you would like to work for or start up yourself, and then answer the questions below.
a. Describe the type of company and the product it would sell. TIP: This can be the same or different from the company you described in Assignment 1R. (1-3 sentences. 1.0 points)
b. Describe at least two categories you could group the company's target customers into, if the company were using channel management. (1-2 sentences. 1.0 points)
c. Describe at least two ways that the company might decide to treat those two categories of customers differently, and explain why it might do that. (1-5 sentences. 4.0 points)
d. Would the type of channel management described in questions 2b and 2c above be likely to lead to unfair treatment of some groups? Why or why not? How could you make sure that didn't happen? (1-5 sentences. 4.0 points)
The type of company I would like to start is an eco-friendly and sustainable clothing brand that offers stylish and comfortable clothing made from environmentally friendly materials like organic cotton, etc.
B. The two categories the company's target customers could be grouped into are environmentally conscious consumers who prioritize sustainability and fashion forward customers.
C. 1. Marketing: The company could target environmentally conscious consumers with messaging that emphasizes the brand's commitment to sustainability and eco-friendliness.
2. Pricing: The company could offer environmentally conscious consumers a discount or loyalty program to incentivize them to make repeat purchases.
D. The type of channel management described above would not necessarily lead to unfair treatment of any groups, as long as both groups receive equal access to the same products and services at the same level of quality. To ensure fairness, the company could have a transparent pricing and marketing policy that treats all customers equally, regardless of their motivations for purchasing the product.
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Olde ple designs and manufactures shoes Olde ple can select only one of two protsenth of which wow Depending on the state of the economy, nach project has different throws Project Casual shoes Formal shoes Weak Economy 200,000 800,000 Strong Economy 1.600.000 1.400,000 The probability of a weak economy is 45% and a strong economy in 65%. The firm needs to raise 600.000 cott toner om next year Calculate the total firm wealth for both projects in both scenarios. If Olde ple's managers wish to maximize the total wealth of the who they invest in? Calculate the wealth available to shareholders for both projects in both scenarios. It Olde ple's managers wish to maximize shareholder en which proact should they invest in? mark it.
To calculate the total firm wealth and wealth available to shareholders for both projects in both scenarios, we can multiply the profits of each project by their respective probabilities.
Let's calculate the total firm wealth: For Project Formal shoes: Weak Economy: 800,000 * 0.45 = 360,000 Strong Economy: 1,400,000 * 0.65 = 910,000 Now, let's calculate the wealth available to shareholders: Assuming the cost of capital is 600,000: For Project Casual shoes: Weak Economy: 90,000 - 600,000 = -510,000 (Loss) Strong Economy: 1,040,000 - 600,000 = 440,000 To maximize total firm wealth, Olde Ple should invest in the project with the highest total firm wealth. In this case, it would be Project Formal shoes, which has a higher total firm wealth in both scenarios. To maximize shareholder wealth, Olde Ple should invest in the project that provides a positive wealth available to shareholders. In this case, it would be Project Formal shoes in the strong economy scenario, which has a wealth available to shareholders of 310,000.
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How important is money
Answer:
very important
Explanation:
money is a global income source for everyone. we all have different types but it is all still money. now say one country got rid of money and had people pay for stuff using other things. if china did that lots of different countries wouldn't be able to get stuff from there unless they had so much of that product they could just give it up.
Sometimes events on Salesforce need to be handled by an external system due to the scale or type of process being executed. Consider the use case of a user in Salesforce needing to get pricing for an order they are building in Salesforce while on the phone with a customer. The pricing logic already exists in a third-party system. Instead of creating this logic in Salesforce, it will be leveraged by making a request of the third-party system. The response, in this case the pricing, will be returned and stored back in Salesforce. What is the optimal solution
Answer:
A trigger that upon saving
customer order, will make a real time callout saving the pricing back in Salesforce
Explanation:
Salesforce a software that is used to organise customer interactions in such a way that transactions between the company and customer is effectively managed by the software.
In the given scenario pricing needs to be handled by an external system. The response will be returned and stored back in Salesforce.
Instead of doing this manually the best solution will be to have an trigger that starts a real-time callout, saving the pricing back in the salesforce.
An trigger allows one to perform customised actions before or after an event. The action can be an update or deletion.
Suppose that a sales tax is levied on milk at rate T, such that if a litre of milk is sold at price P, then the payment actually received by the seller is P/(1+T). Let p = log P and t := log(1 +T), so that log[P/(1+T)] = p — t. The log demand and supply for milk
The log demand and supply for milk can be represented by equations involving the log of the milk price.
To determine the log demand and supply for milk, we need to consider the relationship between price and quantity in the logarithmic form. Let's denote the quantity demanded as Qd and the quantity supplied as Qs.
The log demand equation can be expressed as Qd = f(p), where p represents the log of the milk price. The log demand equation indicates how the quantity demanded changes in response to price variations.
The specific form of the demand equation depends on the factors affecting milk demand, such as income, taste, and the price of substitutes. Without additional information, we cannot provide an exact functional form for the log demand equation.
Similarly, the log supply equation can be expressed as Qs = g(p), where p represents the log of the milk price. The log supply equation represents the relationship between the quantity supplied and the price of milk.
It depends on factors such as production costs, technology, and the availability of inputs. Again, without specific information about these factors, we cannot provide a precise functional form for the log supply equation.
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a firm acquired an assset on 1st Apri, 1990 at a cost of Le 30,000. The useful life of the asset is expected to be 10 years. The estimated scrap value of the asset at the end of the year is Le 2,000. Show the provision for depreciation account for the first 3 years in the life of the asset using the Straight line method
Answer:
First year : Le 2100
Second year : Le 2800
Third year : Le 2800
Explanation:
Given the following :
Cost of equipment = 30,000
Useful years = 10
Salvage or scrap value = 2,000
depreciation account for the first 3 years in the life of the asset using the Straight line method :
Straight line Depreciation :
(Cost - salvage value) / useful years
First year: (April - December 1990)
April - December 1990 = 9 months
(30,000 - 2000) / 10 × 9/12
28000 / 10 × 0.75 = Le 2100
Second year:
(30,000 - 2000) / 10 × 12/12
28000/ 10 = Le 2800
Third year:
(30,000 - 2000) / 10 × 12/12
28000/ 10 = Le 2800