The link between a country's growth rate, investment spending as a percent of GDP, and domestic savings can be understood through their interconnected relationship in driving economic growth.
A country's growth rate refers to the percentage change in its Gross Domestic Product (GDP) over a specific period, which is an indicator of the overall economic performance.
Investment spending, as a percentage of GDP, represents the proportion of the economy's resources dedicated to capital formation, such as infrastructure, machinery, and technological development. Higher investment spending can lead to increased productivity, improved technology, and job creation, which ultimately contribute to a higher growth rate.
Domestic savings, on the other hand, refers to the portion of the national income that is not consumed or spent by households and businesses. Savings can be used to finance investment spending, either directly or through financial intermediaries like banks. A higher domestic savings rate allows for more funds to be available for investment spending, leading to a more robust capital formation and, in turn, fostering economic growth.
In summary, a country's growth rate is influenced by the level of investment spending as a percent of GDP and the availability of domestic savings. An increase in investment spending and domestic savings promotes capital formation, leading to improved productivity, technology, and job creation. These factors contribute to a higher economic growth rate, demonstrating the interconnected relationship between these three economic variables.
To learn more about GDP refer here:
https://brainly.com/question/31197617
#SPJ11
please help me anyone
Answer:
i believe its a
Explanation:
hope it helps!!
Answer: It is A
Because Hard Skills are the Technical Skills used to perform daily job functions because Hard Skills allow you to perform a job that include mathematical calculations, equations, Computer engineering, Testing, equations, etc. Good Luck on you Quiz and Hope this Helped!
How do debt repayment and structural adjustment terms hamper economic development? A. Only wealthy nations need to repay their debts, so it slows their progress. B. This is no longer a problem because debt repayment was completely erased after World War II. C. Both measures rob a developing nation of money it could use to invest in social welfare improvements. D. They always penalize highly developed nations rather than underdeveloped ones. Please select the best answer from the choices provided. A B C D
Answer:
c
Explanation:
What Is the Formula for Calculating Earnings per Share (EPS)?
By law, an accountant must hold a CPA designation in order to
?
Answer:
The CPA designation isn't required to work in corporate accounting or for private companies. However, public accountants—which are individuals working for a firm, such as Deloitte or Ernst & Young, that provides accounting and tax-related services to businesses—must hold a CPA designation.
Explanation:
Answer:
Prepare audited or reviewed financial statements.
Hope this helps :)
Umpqua's vision is "to become the world's greatest bank." The company sees its competitors as other financial institutions that perform banking services. This is taking a _________ of its competition.
Answer:
This is taking a industry point of view of its competition.
Explanation:
The statement shown in the question above presents an industry point of view regarding competition. This view was established based on the market in which both Umpqua and competitors are established. The industry's point of view in relation to the market is that the company defines that its competitors offer a product very similar to yours and that is capable of satisfying its customers efficiently, in the same way as the product produced by you same.
Since Umpqua sees its competitors as other financial institutions that perform banking services, it is taking an industry point of view of its competition.
What is competitive advantage?
Competitive advantage can be defined as the factors, conditions, or circumstances that allow a business organization (firm) to manufacture its finished goods or provide services better and perhaps cheaper than rival firms (competitors) in the same industry.
The major benefits of competitive advantage:
An increase in the level of sales.An increase in revenue generation.A higher profit margin than rival firms in the same industry.In this scenario, Umpqua's vision is to be in a more favorable position become superior to other financial institutions (rival firms) that perform banking services, thereby, making it the world's greatest bank.
This ultimately implies that, Umpqua is is taking an industry point of view of its competition because it aimed at becoming the world's greatest bank.
Read more on competitive advantage here: https://brainly.com/question/24106298
As an upcoming project manager, you are required to write a short paper on the following topic to be delivered at an upcoming project management conference in Gaborone. Projects managers bave existed time in memorial. However, the work of a contemporary project manager is challenged by many issues. Identify five issues that a contemporary manager is likely to face today while implementing projects as opposed to their counterparts in olden times.
Contemporary project managers face several challenges that differentiate them from their counterparts in the past. Five key issues they are likely to encounter today include increased complexity, globalization, rapid technological advancements, stakeholder management, and changing market demands.
Contemporary project managers face increased complexity compared to their counterparts in the past.
Projects today often involve multiple stakeholders, intricate supply chains, and interconnected systems, requiring managers to navigate complex organizational structures and dynamic environments.
Globalization is another challenge faced by contemporary project managers. Projects are frequently executed across different geographical locations, involving diverse cultures, regulations, and communication challenges.
Managers must possess the skills to effectively collaborate and manage teams across borders.
Rapid technological advancements present both opportunities and challenges for project managers.
The integration of emerging technologies, such as artificial intelligence, internet of things, and big data, requires managers to adapt to new tools, processes, and methodologies to ensure successful project implementation.
Effective stakeholder management is crucial in contemporary project management.
Project managers must engage and align the expectations of various stakeholders, including clients, team members, sponsors, and communities, to ensure project success and maintain positive relationships.
Learn more about Contemporary project managers here:
brainly.com/question/28332265
#SPJ11
What is a real account?
Answer:
A real account is a publicly generalized account that does not close at the end of the considered year. Apparently, the balances in real accounts are carried over to become the start of balances of the next period. Real accounts are also permanent accounts.
Answer:
Explanation:
A real account is a acccount that’s valid until one year
true or false... the part of fungus that produces is the fruiting body?
Answer:
false
Explanation:
I think it is false
You are responsible for implementing a new employee performance measurement system that will provide factory supervisors with detailed information about each of their employees on a weekly basis. In conversation with some of these supervisors, you are surprised to learn they do not believe these reports will be useful. They explain that they can already obtain all the information they need to manage their employees simply by observing the shop floor. Comment on that opinion. How could formal reports supplement and enhance what the supervisors learn by direct observation
Formal employee performance measurement reporting can complement and improve what supervisors learn through direct observation by providing greater detail on individual employee actions.
To carry out good management, it is necessary for the leader to know his team, as his role is to organize, coordinate and control the team so that organizational objectives and goals are met.
Through the formal report, the leader has an instrument to analyze qualitative and quantitative information of each employee individually, which provides subsidies for more effective decision-making to understand the potential and needs of each one.
Therefore, the formal report can complement and improve what supervisors learn through direct observation through the implementation of actions that correct the flaws and encourage positive performance, which generates greater motivation, satisfaction and productivity at work.
Learn more here:
https://brainly.com/question/18579573
If the labor force is 1000 workers, but 32 are unemployed, what is the unemployment percentage?
3.2% is the unemployment percentage, if the labor force is 1000 workers, but 32 are unemployed.
What is the reason of unemployment?Unemployment is influenced by a lot of circumstances on both the demand and supply sides. Rising interest rates, a global recession, and a banking meltdown may all contribute to demand-side decreases. Underemployment and structural employment have a big impact in the supply side.
Thus, it is 3.2 percent.
For more details about reason of unemployment, click here:
https://brainly.com/question/9288794
#SPJ1
An apple farmer must decide how many apples to harvest for the world apple market. He knows that there is a 20% chance that the world price will be $1.00, a 50% chance that it will be $1.50, and a 30% chance that it will be $2.00. What is the expected price in the world apple market?
type in $ format, like $10.00
To find out the expected price in the world apple market, we need to calculate the weighted average of the prices based on their probabilities.
The formula for calculating the expected value is:
\($$\text{Expected value} = (\text{Probability of event 1} \times \text{Value of event 1}) + (\text{Probability of event 2} \times \text{Value of event 2}) + \cdots$$\)
So, we can substitute the given values into the formula and solve for the expected price. Here are the calculations:Let P1, P2, and P3 be the probabilities of the world price being $1.00, $1.50, and $2.00, respectively.
So:P1 = 0.2P2 = 0.5P3 = 0.3Let V1, V2, and V3 be the values of the world price being $1.00, $1.50, and $2.00, respectively. So:V1 = 1.00V2 = 1.50V3 = 2.00Now we can plug in the values into the formula for the expected value:Expected value = (0.2 × 1.00) + (0.5 × 1.50) + (0.3 × 2.00) = 0.20 + 0.75 + 0.60 = 1.55.Therefore, the expected price in the world apple market is $1.55.
To know more about probabilities visit:
https://brainly.com/question/29381779
#SPJ11
Specialty Products Company has a high turnover rate among its employees, especially those
who are young parents. Solution to this problem
The company has to first investigate the reason why young parents are leaving the company. This is the first step towards resolving the issues of high turnover.
If it is because of the inability to care for their kids while at work, then the company can solve this problem by:
Turnover in human resources refers to the act of replacing one employee with a new employee. Termination, retirement, death, interagency transfers, and resignations are examples of separations between organizations and personnel.
Turnover in human resources refers to the act of replacing one employee with a new employee. Termination, retirement, death, interagency transfers, and resignations are examples of separations between organizations and personnel.
Learn more about high turnover:
https://brainly.com/question/2309682
#SPJ1
What is the distinction between the ""protection"" and ""promotion"" role in antipoverty policies? List an example of a policy focusing on protection and a policy that focuses on promotion.
An anti-poverty programme is one that is designed to both prevent individuals from becoming poor and to assist those who are already struggling with it. The condition of being impoverished and unable to meet basic necessities is called poverty.
An anti-poverty programme is one that aims to prevent individuals from slipping into or remaining in poverty, as well as to minimise the degree of suffering they are already experiencing. These programmes are crucial because by identifying and treating the numerous components of poverty, they aid in the battle against it.
The present government policy for reducing poverty is centred on two key areas or concepts, namely, promoting economic growth and implementing anti-poverty programmes that will serve as focused sources of action.
To learn more about economic, click here.
https://brainly.com/question/14355320
#SPJ4
Which of the following businesses describes a branch?
A. CarCity is a car dealership that is old by a large company but operated by a group.
B. Easy as Fries, a fast-food restaurant, is operated by one person but still owned by a large company.
C. Photo Finish, a sports photography business, has many locations that are owned an operated by the company.
D. Hit the books, a Tutoring business, has one location in San Diego, California
Photo Finish, a sports photography business, has many locations that are owned an operated by the company is the businesses describes a branch. Hence, option C is correct.
What is meant by photography business?A variety of services are offered by professional photography studios, including portraiture, commercial photography, event photography including weddings, family gatherings, bar mitzvahs, and more, convention photography, and more.
Their creativity, which is the art or process of making images by the influence of radiant energy, particularly light, on a sensitive surface, is expressed through shades, tones, smiles, joy, and even sadness.
To start, you can increase brand awareness by including brand-specific colors in your images. Additionally, your image might inspire bto take action. Good pictures elicit an emotion. Within that attitude, an emotion develops, which inspires potential customers to become clients.
Thus, option C is correct.
For more information about photography business, click here:
https://brainly.com/question/21095261
#SPJ2
The adjusted trial balance columns of the worksheet for DeSousa Company are as follows. The owner did not make any additional investments in the business in April.
Debits :
Buildings $128,800
Accounts Receivable 14,800
Prepaid Insurance 4,000
Notes Payable 96,400
Equipment 61,300
Land 69,000
Insurance Expense 600
Depreciation Expense 7,000
Interest Expense 2,400
$306,900
Credits
Owner's Capital $119,300
Accumulated Depreciation-Buildings 42,300
Accounts Payable 11,200
Cash 19,000
Accumulated Depreciation-Equipment 18,300 Interest Payable 2,900
Service Revenue 16,500
$306,900
a. Prepare an Income statements
b. Post the closing entries to income summary and Retained Earnings
c. Prepare a post-closing trail balance at April 30
To prepare an income statement, we need to list all the revenues and expenses of DeSousa Company for the month of April. From the adjusted trial balance columns of the worksheet, we can see that there are no revenue accounts, so we only need to list the expenses. Option c
Expenses:
- Salaries and Wages Expense $42,000
- Rent Expense $8,000
- Insurance Expense $2,400
- Supplies Expense $3,800
- Depreciation Expense-Equipment $3,100
- Interest Expense $2,900
Total Expenses $62,200
To calculate the net income, we subtract the total expenses from zero, since there are no revenues:
Net Income $0
To prepare a post-closing trial balance at April 30, we need to list all the accounts with their adjusted balances after closing entries have been made:
Cash $23,700
Accounts Receivable $14,000
Prepaid Insurance $7,200
Equipment $87,000
Accumulated Depreciation-Equipment $18,300
Accounts Payable $9,700
Interest Payable $0
Salaries and Wages Payable $0
Unearned Rent Revenue $6,000
Owner's Capital $74,800
Owner's Drawings $5,000
Depreciation Expense-Equipment $0
Insurance Expense $0
Interest Expense $0
Rent Expense $0
Salaries and Wages Expense $0
Supplies Expense $0
Total Debits $130,200
Total Credits $130,200
This post-closing trial balance confirms that all the temporary accounts have been closed to the Owner's Capital account, which has a balance of $74,800, reflecting the net effect of the company's operations and any owner investments or withdrawals during the month of April. The Interest Payable account has a balance of zero, indicating that the interest expense for the month has been paid. Option c
For more such questions on income
https://brainly.com/question/28390284
#SPJ11
A pure monopolist is producing an output such that ATC= $12, P= $10, MC $6, MR = $5, and AVC = $7. This firm is realizing
Multiple Choice
O an economic profit that could be increased by producing more output.
O an economic loss that could be reduced by producing more output.
O an economic loss that could be reduced by producing less output.
O an economic profit that could be increased by producing less output
First option is correct. The firm is realizing an economic profit that could be increased by producing more output.
In a monopolistic market, a firm has the power to set the price and quantity of its output. In this scenario, the average total cost (ATC) is $12, the price (P) is $10, the marginal cost (MC) is $6, the marginal revenue (MR) is $5, and the average variable cost (AVC) is $7.
To determine whether the firm is earning an economic profit or loss, we compare the price (P) with the average total cost (ATC). If P is greater than ATC, the firm is earning an economic profit. Conversely, if P is less than ATC, the firm is experiencing an economic loss.
Here, the price of $10 is greater than the average total cost of $12, indicating that the firm is earning a profit per unit of output. Additionally, since the marginal revenue (MR) is less than the marginal cost (MC), the firm is operating in an area of diminishing returns. This means that the firm could increase its profit by producing more output until marginal revenue equals marginal cost.
Therefore, the firm has the opportunity to increase its economic profit by expanding production and increasing output.
Learn more about firm
brainly.com/question/31687318
#SPJ11
The following data are the amounts that a sample of 15 customers spent for lunch ($) at a fast-food restaurant. Complete parts (a) through (d) below. 7.48 6.34 5.84 6.52 8.35 9.51 7.14 6.85 5.86 4.93 6.52 5.49 7.95 8.32 9.65 a. Construct a 95% confidence interval estimate for the population mean amount spent for lunch ($) at a fast-food restaurant.
___ ≤ μ ≤ ____
(Round to two decimal places as needed. Do not include the $ symbol in your answer.) b. Interpret the interval constructed in (a). Choose the correct answer below. A. 95% of the sample data fall between the limits of this confidence interval. B. Conclude with 95% confidence that the population mean amount in dollars spent for lunch at the fast-food restaurant is contained in the interval. C. Conclude with 95% confidence that the mean amount in dollars spent for lunch at the fast-food restaurant for the sample is contained in the interval. D. The mean amounts in dollars spent for lunch at the fast-food restaurant of 95% of all samples of the same size are contained in the interval. c. What assumption must you make about the population distribution in order to construct the confidence interval estimate in (a)? A. The population distribution is normally distributed. B. The population distribution is uniformly distributed. C. The population distribution is skewed left. D. The population distribution is skewed right. d. Do you think that the assumption needed in order to construct the confidence interval estimate in (a) is valid? Explain. The assumption is ____ for n = ___ since ____
a. The 95% confidence interval for the population mean lunch expenditure at a fast-food restaurant is $6.04 to $8.38.
b. With 95% confidence, we can conclude that the population mean amount spent for lunch falls within the calculated interval.
a. The 95% confidence interval estimate for the population mean amount spent for lunch ($) at a fast-food restaurant is $6.04 ≤ μ ≤ $8.38.
b. The correct interpretation of the interval constructed in (a) is: B. Conclude with 95% confidence that the population mean amount in dollars spent for lunch at the fast-food restaurant is contained in the interval.
c. In order to construct the confidence interval estimate in (a), the assumption that must be made about the population distribution is: A. The population distribution is normally distributed.
d. Regarding the validity of the assumption needed to construct the confidence interval estimate in (a), it depends on the information given. The assumption is valid for n = 15 since the sample size is reasonably large. However, if additional information about the population distribution or the sampling method is provided, a more accurate assessment of the assumption's validity can be made.
Learn more about confidence interval here: brainly.com/question/32546207
#SPJ11
On the production possibilities curve in Figure 2.1 the gain from decreasing manufacturingproduction from 600 tons to 500 tons is:(c) 200 tons of agriculture
The gain from decreasing manufacturing production from 600 tons to 500 tons on the production possibilities curve is 200 tons of agriculture. The production possibilities curve represents.
The maximum combinations of two goods that an economy can produce given its resources and technology. In this case, the two goods being considered are manufacturing and agriculture. When manufacturing production decreases from 600 tons to 500 tons, there is a shift of resources towards agriculture. The gain refers to the increase in agriculture production resulting from this shift. Since the decrease in manufacturing is 100 tons (600 tons - 500 tons), the corresponding gain in agriculture must be 200 tons. This gain represents the additional agricultural output that can be produced when resources are reallocated from manufacturing. Therefore, the gain from decreasing manufacturing production from 600 tons to 500 tons on the production possibilities curve is 200 tons of agriculture.
learn more about production here :
https://brainly.com/question/30333196
#SPJ11
9.6 Mondrian plc is a new business that aims to maximise the wealth of its shareholders. The board of directors is currently trying to decide upon the most appropriate dividend policy to adopt for the business's shareholders. However, there is strong disagreement among three of the directors concerning the benefits of declaring cash dividends: - Director A argues that cash dividends would be welcomed by shareholders and that as high a dividend payout ratio as possible would reflect positively on the market value of the business's shares. - Director B argues that whether a cash dividend is paid or not is irrelevant in the context of shareholder wealth maximisation. - Director C takes an opposite view to Director A and argues that dividend payments should be avoided as they would lead to a decrease in shareholder wealth. 438 CHAPTER 9 MAKING DISTRIBUTIONS TO SHAREHOLDERS Required: (a) Discuss the arguments for and against the position taken by each of the three directors. (b) Assuming the board of directors decides to pay a dividend to shareholders, what factors should be taken into account when determining the level of dividend payment?
(a) Director A argues that cash dividends would be welcomed by shareholders, indicating that regular income would attract investors and increase the market value of shares. Director B believes dividend payment is irrelevant to shareholder wealth maximization. Director C opposes dividends, suggesting they decrease shareholder wealth by hindering reinvestment opportunities.
(b) Factors to consider for determining dividend payment level: financial performance, growth opportunities, shareholder preferences, legal/regulatory considerations, and industry norms.
(a) Arguments for the positions taken by each of the three directors:
Director A: Director A believes that cash dividends would be welcomed by shareholders and that a high dividend payout ratio would positively impact the market value of the company's shares. This argument is based on the assumption that shareholders prefer receiving regular income from their investments and that higher dividends indicate strong financial performance, attracting more investors and potentially increasing demand for the company's shares.
Director B: Director B argues that the payment or non-payment of cash dividends is irrelevant to shareholder wealth maximization. This perspective suggests that shareholders are primarily concerned with the overall returns on their investments, which can be achieved through capital appreciation and reinvested earnings, rather than immediate cash dividends.
Director C: Director C takes the opposite view, suggesting that dividend payments should be avoided as they would lead to a decrease in shareholder wealth. This viewpoint may stem from the belief that retaining earnings within the company allows for reinvestment in growth opportunities, such as research and development, acquisitions, or debt reduction. These investments could potentially generate higher returns in the long run, leading to increased shareholder value.
(b) When determining the level of dividend payment, several factors should be taken into account by the board of directors:
- Financial Performance: The company's financial health, profitability, and cash flow position should be evaluated to ensure that the dividend payment is sustainable and does not jeopardize the company's ability to meet its operational and investment needs.
- Growth Opportunities: The potential for future growth and investment opportunities should be considered. If the company has promising growth prospects that require significant capital, it may be prudent to retain earnings for reinvestment rather than paying out large dividends.
- Shareholder Preferences: Understanding the preferences and expectations of the company's shareholders is important. Some shareholders may prioritize receiving regular dividends, while others may be more interested in long-term capital appreciation.
- Legal and Regulatory Considerations: Compliance with legal and regulatory requirements, including any restrictions on dividend payments imposed by the company's articles of association or applicable laws, should be taken into account.
- Industry Norms: Benchmarking dividend policies against industry peers can provide insights into market expectations and help align the company's approach with industry standards.
For more such questions on retaining earnings
https://brainly.com/question/15175380
#SPJ8
when significant conflict (of opinion) exists regarding the setting of a transfer price for an exchange between two internal business units, the most practical approach may be to use the ______.
When significant conflict arises regarding the setting of a transfer price for an exchange between two internal business units, the most practical approach may be to use the negotiated transfer pricing method.
The negotiated transfer pricing method involves the business units involved in the exchange negotiating and mutually agreeing upon a transfer price. This approach allows the units to consider their respective costs, market conditions, and overall profitability when determining the transfer price. By engaging in negotiations, the units can strive to reach a price that is acceptable to both parties and aligns with their interests.
Using the negotiated transfer pricing method can help mitigate conflicts by allowing the units to have an active role in determining the transfer price, fostering cooperation and communication between them. It acknowledges that different units within an organization may have different cost structures, goals, and market dynamics, and aims to find a mutually beneficial solution.
However, it's important to note that the negotiated transfer pricing method may not always be feasible or practical, especially in cases where there are significant differences in bargaining power between the units or when there is a lack of trust or cooperation. In such situations, alternative transfer pricing methods, such as market-based pricing or cost-based pricing, may be used to establish a fair transfer price.
Ultimately, the choice of transfer pricing method depends on the specific circumstances, the nature of the business units involved, and the goals and constraints of the organization.
Learn more about transfer pricing method here:
https://brainly.com/question/32640093
#SPJ11
A van rental charges P^(6),500 flat rate for a whole day tour in CALABARZON of 6 passengers and each additional passenger added P 800.00 to the tour fare. Express a piecewise function for van rental.
Let V be the total cost of van rental and N be the number of passengers. The van rental charges a flat rate of P6,500 for 6 passengers. For each additional passenger beyond 6, an additional charge of P800 is added to the tour fare.
We can express the piecewise function for van rental as follows: In this function, if the number of passengers is less than or equal to 6, the total cost is P6,500. However, if the number of passengers is greater than 6, the total cost is P6,500 plus the additional charge of P800 for each additional passenger beyond 6. Let V be the total cost of van rental and N be the number of passengers. The van rental charges a flat rate of P6,500 for 6 passengers. For each additional passenger beyond 6, an additional charge of P800 is added to the tour fare. A van rental charges P^(6),500 flat rate for a whole day tour in CALABARZON of 6 passengers and each additional passenger added P 800.00 to the tour fare. Express a piecewise function for van rental. Let V be the total cost of van rental and N be the number of passengers. The van rental charges a flat rate of P6,500 for 6 passengers. For each additional passenger beyond 6, an additional charge of P800 is added to the tour fare.
learn more about passenger here:
https://brainly.com/question/18593364
#SPJ11
Consider the following balance sheet:
BestCare HMO
Balance Sheet
June 30, 2011
(in thousands)
Assets
Current Assets:
Cash $2,737
Net premiums receivable 821
Supplies 387
Total current assets $3,945
Net property and equipment $5,924
Total assets $9,869
Liabilities and Net Assets
Accounts payable—medical
Services $2,145
Accrued expenses 929
Notes payable 382
Total current liabilities $3,456
Long-term debt $4,295
Total liabilities $7,751
Net assets—unrestricted
(equity) $2,118
Total liabilities and net
Assets $9,869
a. How does this balance sheet differ from the one presented in Exhibit 4.1 for Sunnyvale?
b. What is BestCare’s net working capital for 2011?
c. What is BestCare’s debt ratio? How does it compare with Sunnyvale’s debt ratio?
a. The balance sheet for BestCare HMOB is different from the one presented in Exhibit 4.1 for Sunnyvale. b. BestCare’s net working capital for 2011 is $3,945 - $3,456 = $489 thousand. c. BestCare’s debt ratio is 78.9%.
Exhibit 4.1 for Sunnyvale in that it includes an entry for “Net premiums receivable” and “Notes payable”. It also includes a separate line item for “Net property and equipment” which was not present in Sunnyvale’s balance sheet.
BestCare’s debt ratio is 7,751/9,869 = 78.9% which is higher than Sunnyvale’s debt ratio of 71.2%, suggesting that BestCare has higher leverage and more debt than Sunnyvale. This is likely because BestCare is a larger organization and has more assets and liabilities than Sunnyvale.
know more about property here
https://brainly.com/question/29528698#
#SPJ11
Measuring conversions is a good way to calculate your ROI. Which of the following is a commonly calculated conversion? a shares, b sediment, c downloads, d likes
A commonly calculated conversion from the list is shares. The answer to this question is option a.
What are shares?Shares can be described as a unit that is called mutual funds. The owner of a share is regarded as a shareholder.
Shares can be converted to be money. Therefore it is the best answer to this question.
Read more on shares here:
https://brainly.com/question/25818989
______permits companies to tailor offers and content to needs and interests of carefully defined segments, which in turn helps develop long-lasting customer relationships as well as resulting in immediate responses.
Direct Marketing permits companies to tailor offers and content to needs and interests of carefully defined segments, which in turn helps develop long-lasting customer relationships as well as resulting in immediate responses.
How Does Direct Marketing Work?Any form of marketing that communicates or distributes with consumers directly, as opposed to indirectly through a third party like the media, is considered direct marketing. Campaigns can be sent using mail, email, social media, and texting, among other distribution methods.
The act of presenting an offer directly to a target client and providing them with a way to respond immediately is known as direct marketing. It is sometimes referred to as direct response marketing among practitioners. Advertising, in contrast, is a form of mass messaging.
To know more about Direct Marketing, refer:
https://brainly.com/question/14008832
#SPJ4
anyone know how to do these economic credit score problems??
Answer:
please share the question nicely fristy
Explanation:
Why is it important to be aware of your direct and indirect competitors? What will you do to gain a competitive advantage and stand out
Answer:
Why is it important to be aware of your direct and indirect competitors? What will you do to gain a competitive advantage and stand out
It's also important to continuously monitor and analyze your competitors' activities, so you can stay abreast of any changes in the market and adapt your own strategy accordingly. This could involve regularly checking your competitors' websites, social media accounts, and other online platforms to see what they are doing, as well as keeping an eye on industry news and trends.
In addition to staying informed about your competitors, it's also important to regularly review and assess your own business's strengths, weaknesses, opportunities, and threats (also known as a SWOT analysis). This can help you identify areas where you can improve and areas where you have a competitive advantage, so you can make informed decisions about how to position your business in the market.
Which inventory measure is best for a company to maximize? group of answer choices inventory turns years of supply safety stock work-in-process inventory.
Inventory turns years of supply safety stock work-in-process inventory.
Inventory refers to all the objects, goods, merchandise, and substances held by means of a business for promoting inside the marketplace to earn earnings.
Instance: If a newspaper vendor makes use of an automobile to supply newspapers to the clients, most effective the newspaper can be taken into consideration in inventory.
The styles of inventory control are raw substances, Works-In-system, upkeep, repair, and Operations or MRO, and completed goods.
Learn more about Inventory here: https://brainly.com/question/24868116
#SPJ4
A company paid dividends of $15,000, generated total sales of $845,000, and incurred total expenses of $792,000 in the current year. If ending retained earnings is $165,000, what was beginning retained earnings?
Answer:
The beginning retained earnings will be "127,000".
Explanation:
The given values are:
Total sales,
= $845,000
Company paid,
= $15,000
Total expenses,
= $792,000
Retained earning,
= $165,000
Now,
⇒ \(Retained \ earning \ this \ year = Profits-Dividends\)
⇒ \(=845,000-792,000 -$15,000\)
⇒ \(=38,000\)
and,
⇒ \(Beginning \ retained \ earnings = Ending \ RE-this \ year \ RE\)
⇒ \(=165,000-38,000\)
⇒ \(=127,000\)
Sylvester is 57 and his company is downsizing. He knows that his position is one that will be cut so he has started to prepare his resume to look for a new job. Hunter tells him not to bother, as he will not get another job, at least not one that is equivalent to his current job. He tells Sylvester that things have changed since Sylvester went to college and that he couldn’t realistically offer too much in the workforce today. Hunter is demonstrating a(n)
Answer:Age Stereotype
Explanation:
Picture your ideal retirement and describe.
Answer:
Lots of money
Explanation:
I would want to save up in order to play sports and video games all day. I would also like to travel a lot
Answer:
Explanation:
I am retired. I have a pension that takes care of my needs for now. It won't once the economies realize what they've done. Practically no one will be able to retire.
So I'm lucky in that I can pretty much do what I want within the jurisdiction where I live. Right now the virus is leading us on a merry chase and our borders are closed. I'm told it's a good thing because the medical care is being overwhelmed. I certainly didn't plan that.
I have the best care that anyone could wish for. I have Cancer but my two specialists take of me with a medication that only 10% of the population respond to, so I'm lucky. That's something I didn't plan on either but I should have. Both my parents succumbed to Cancer. And you have to take into account the bad with the good.
I love to travel and look forward to the borders opening up. Nothing is going to hold me up. You must always figure on what interests you have to become what you like to do. Everyone where I am does have an interest, but I don't think watching television should really count. I do like answer questions on Brainly. I've learned how to write answers that I'm satisfied with, even if students are not.