A negatively oriented relevant brand need is A) normal depletion.
In the field of marketing, normal depletion can be described as such an expense that a company has to afford in the production of a product that cannot be included in the cost of the product.
Normal depletion is negatively oriented as the burden of the cost of some procedures has to be afforded by the brand itself and hence the brand might try to increase the price of their product to generate more revenue. In this way, normal depletion is negatively oriented for the brand itself but also for the consumers that utilize the product of that brand.
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The refusal of the US Senate to ratify the ITO's charter "doomed" the International Trade Organization (ITO).
True or False
Can Uber Be the Uber of Everything?
Case studies topic ⬆️
The Internet may not make corporations obsolete, but the corporations will have to change their business models. Do you agree? Why or why not?
Answer the question refrence too
Answer: Corporations will not have to change their business model as much as one may think.
Explanation: Uber becoming the Uber of everything isn't a strange idea or anything new: they just get to now insert their name what ever they are expanding to. A glaring example would be the existence in oligarchies in the corporations of the US and the variety of companies owned by a ruler.
Explain any two (2) value chain activities that Coca-Cola makes use of.
Coca-Cola employs marketing and sales activities to create brand awareness and optimize their supply chain and manufacturing process to produce and distribute products efficiently.
Coca-Cola, one of the world's leading beverage companies, employs various value chain activities to produce and distribute its products effectively. Here are two examples of value chain activities that Coca-Cola uses
Marketing and Sales: Coca-Cola invests heavily in marketing and sales activities to create brand awareness and promote its products. They use various channels such as TV commercials, billboards, social media, and sponsorship of events to reach their target customers.
Operations: Coca-Cola has a highly efficient supply chain and manufacturing process that helps them produce and distribute their products efficiently. They have established production facilities in various regions worldwide, allowing them to produce and distribute products locally.
Overall, these value chain activities enable Coca-Cola to produce and distribute its products efficiently while maintaining the quality of its products and building brand loyalty among customers.
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QUESTION 4: PROGRESS REPORT On the 20th of April 2023, The campus manager, Mr Manoto, requested the secretary in the SRC office, to compile a report on the progress of the revival day planning. In your report tasks that are completed are invitations for special guests and booking of live performers; the task committee is still busy with finalizing the design of the banners and T-shirt and sports bottle printing. Due to overspending on budget, you still have not booked catering and security for the day. Your report must be in memo format.
A sample memo based on the given question prompt is given below:
The MemoMemorandum
To: Mr. Manoto, Campus Manager
From: SRC Office Secretary
Date: April 20th, 2023
Subject: Progress update for Revival Day planning
Esteemed Mr. Manoto,
Please find below a status report detailing advancements made in the preparations of the upcoming Revival Day ceremony. We have accomplished issuing invitations to prominent guests and securing prominent musical acts. Our committees are putting the finishing touches to banner design, T-shirt outfits, as well as customizing sport water bottles.
Conversely, budgetary concerns impede us from booking security or catering caterers essential for event operations. However, we are investigating ways to cut expenses while still delivering quality service. We will be prompt with updates about progress made through these alternative strategies.
Thank you for your kind ownership in this venture; rest assured that our team is steadfastly dedicated to ensuring an excellent Revival Day rally session.
Yours faithfully,
[Your name]
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Jamal gets qualified for a 30,000 car loan that has a 5 year term and has an interest rate of 5.9% APR. He decides to take those loan terms to purchase the car. How much is his monthly payment?
Jamal's monthly payment for the car loan is $578.59.
Data and Calculations:
Amount of Jamal's auto loan = $30,000
Term of the auto loan = 5 years or 60 months
Interest rate payable = 5.9% APR
Monthly payment from an online financial calculator:
Monthly Pay = $578.59
Total Loan Amount = $30,000.00
Upfront Payment = $0.00
Total of 60 Loan Payments = $34,715.41
Total Loan Interest = $4,715.41
Total Cost = $34,715.41
Thus, Jamal will be making a monthly payment of $578.59.
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what are 2 different types of budgets and discuss how they complement each other?
There are two main types of budgets: operational budgets and financial budgets.
Operational budgets are used to plan and monitor the day-to-day operations of a business, and typically cover a period of one year. These budgets include items such as revenue projections, production costs, and operating expenses. Operational budgets are crucial for ensuring that a business stays on track and meets its operational goals. Financial budgets, on the other hand, are focused on the long-term financial health of a business. They include items such as capital expenditures, financing costs, and cash flow projections. Financial budgets are used to help businesses plan for the future and make strategic decisions about investments and growth. These two types of budgets complement each other by providing a comprehensive view of a business's operations and financial health. Operational budgets help to ensure that day-to-day activities are aligned with the overall goals of the business, while financial budgets provide a roadmap for achieving long-term success. By using both types of budgets, businesses can make informed decisions about resource allocation, identify potential risks, and maintain a strong financial position over the long term.
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The below two statements are related to mindfulness
a. It is not obscure or exotic.
b. It is evidence-based.
TRUE
FALSE
It is true that mindfulness is evidence based and false that it is exotic.
What is mindfulness?Mindfulness. It's an easy term to understand. It implies that the mind is entirely focused on what is taking place, what you are doing, and the environment you are moving through. That might sound insignificant, but it annoys me that we frequently stray from the topic at hand. When our mind wanders, we get disconnected from our physical selves and quickly become preoccupied with compulsive thoughts about the past or worry about the future. And it stresses us out.
However, awareness is always present to bring us back to where we are, what we are doing, and how we are feeling, no matter how far we go. It's great to give mindfulness a go for a time if you want to understand what it is. You will discover tiny variances in the meaning in books, online, audio, and video since it's difficult to put into words.
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What does greater capital mobility mean? A. Governments impose restricted trade policies. B. Investment money flows freely around the world. C. Foreign investment is tightly controlled. D. Companies can only profit by investing, not producing.
Answer:
B. Investment money flows freely around the world
Explanation:
Capital mobility refers to the movement of investment funds from one country to another. Greater capital mobility implies free movement of capital across borders.
Greater capital mobility is only possible where there are no restrictions on capital movements. Restrictions of capital mobility include taxes, transaction costs, and government regulations.
Answer:
b
Explanation:
Suppose the CPI was 110 last year and is 121 this year.
Instructions: In part a, enter your answer as a whole number. In part b, round your answer to 1 decimal place. If you are entering any negative numbers be sure to include a negative sign (-) in front of those numbers.
a. What is this year’s inflation rate?
____ %
b. In contrast, suppose that the CPI was 110 last year and is 108 this year. What is this year’s inflation rate?
____ %
c. What term do economists use to describe this second outcome?
Inflation or Deflation
The inflation rate is 10%, which can be computed the second answer is -1.8%. third outcome called deflation.
How to calculate CPI?a) The formula to CPI is
\(CPI= \frac{current CPI-past CPI}{past CPI}\)
\(CPI= \frac{121-110}{110}\)
CPI= 0.1 or 10%
b) \(CPI= \frac{current CPI-past CPI}{past CPI}\)
\(CPI= \frac{108-110}{110}\)
CPI= -0.18%
A decrease in the economy's overall price level is referred to as deflation, whereas a temporary slowdown in price inflation is known as disinflation. A decrease in the money supply, reductions in government and consumer expenditure, and reductions in corporate investment can all contribute to deflation, which is bad for an economy.
A progressive drop in consumer prices for products and services is known as price deflation. This is frequently brought on by the deflationary gap, also referred to as the demand gap, which is characterized by high supply and low demand. Consumers and businesses hold on to their money rather than spending it because they anticipate a decrease in pricing.
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On January 1, 2017, Swen paid $184,000 for $200,000 of the 8%, 20-year bonds of Penn Corporation, issued on January 1, 2013, at par. The bonds are held as an investment. Determine the gain and the character of the gain if the bonds are sold on January 1, 2019, for a. $191,000 b. $185,750 C. $183,000
The determination of the gain and the character of the gain if the Penn Corporation bonds are sold by Swen on January 1, 2019, for the proceeds of each sale is as follows:
(a) (b) (c)
Sales proceeds $191,000 $185,750 $183,000
Carrying value $185,600 $185,600 $185,600
Capital gain (loss) $5,400 $150 ($2,600)
What is the carrying value of bonds?The carrying value of a bond is the net amount between the bond's face value plus (minus) any unamortized premiums or discounts.
The carrying value is the book value of the bond.
When a bond receivable is sold, capital gain or loss is realized from the sale, which gives rise to capital gain tax.
Data and Calculations:Bond's price = $184,000
Face value of bonds receivable = $200,000
Premium received = $16,000 ($200,000 - $184,000)
Interest rate = 8%
Maturity period = 20 years
Payment date = January 1, 2017
Straight-line amortization of premium = $800 ($16,000/20)
Carrying value after two years, January 1, 2019, = $185,600 ($184,000 + $1,600)
(a) (b) (c)
Sales proceeds $191,000 $185,750 $183,000
Carrying value $185,600 $185,600 $185,600
Capital gain (loss) $5,400 $150 ($2,600)
Carrying value:
Face value $200,000
Unamortized premium $14,400 ($16,000 - $1,600)
Carrying value $185,600
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A benefit of a monopoly is:
a. greater creativity by authors who can copyright their novels.
b. a wide variety of similar products.
c. decreasing long-run average total costs.
d. lower prices.
A benefit of a monopoly is: a. greater creativity by authors who can copyright their novels.
What is monopoly?Because they give artists and innovators the chance to acquire exclusive rights and financial rewards through intellectual property rights, such as copyright protection, monopolies may be an incentive for creativity and innovation.
Knowing that they may enjoy exclusive ownership and possible financial advantage from their works might motivate authors to invest in producing original and distinctive works.
Therefore the correct option is A.
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what are books of prime entry?
Answer:
A book or record in which certain types of transaction are recorded before becoming part of the double-entry book-keeping system.
Which of the following is not true about amortization of Limited-Life Intangibles a. Amortize by systematic charge to expense over useful life. b. Credit asset account or accumulated amortization. c. Useful life should reflect the periods over which the asset will contribute to cash flows. d. Amortization should be cost less residual value. e. IFRS requires companies to assess the residual values and useful lives of intangible assets at least annually. f. None of the above
Answer:
Amortization of Limited-Life Intangibles:
f. None of the above
Explanation:
IFRS requires limited-life intangibles to be systemically amortized throughout their useful lives using either units of activity method or straight-line method. Intangibles are amortized to reduce their values as per use over their lifespan. Amortization is like depreciation, but depreciation is a term used for tangible assets, while amortization is used for intangible assets.
Choose all that apply.
Select all strategies for correcting credit problems.
Find credit counseling services.
Take a cash advance from one credit card to pay the minimum payment on another credit card.
Continue to use credit responsibly and wait.
Ask your credit card company to waive fees or lower your interest rate.
Get help from a finance company.
Transfer credit card balances to a card or loan with lower interest rates.
Sell something of value.
Answer:
find credit counseling services,
Ask your credit card company to waive fees or lower your interest rate.
Get help from a finance company.
What is the first step for a sports marketer when creating a marketing campaign? A. identifying the target audience B. understanding all of the event details C. creating promotional strategies D. designing a backup plan
Answer: understanding all of the event details
Companies should look at the specific target markets of competitors to benefit from market research efforts already done and to learn about consumers in the target market. True or False
It is a true statement that companies should look at the specific target markets of competitors to benefit from market research efforts already done and to learn about consumers in the target market.
Should companies look at competitors' target markets for research?Companies will benefit from studying the target markets of their competitors as part of their market research efforts because it helps to gain insights into the needs, preferences, and behavior of consumers in those markets.
So, this can inform their own marketing strategies and product development. Also, its helps to analyse the strengths and weaknesses of competitors' marketing approaches which help companies identify opportunities for differentiation and competitive advantage.
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What is TRUE about non-depository financial institutions?
A.
They do not offer other types of accounts, such as savings and checking accounts.
B.
Traditionally, they focused on providing loans and other money management services.
C.
They are all federally insured.
D.
They include commercial banks and credit unions.
Answer:
D.
Explanation:
Non-Depository financial institutions are those institutions that provide various financial assistance. These institutions serves as an intermediaries between borrowers and savers. It also looks between the two groups. The deposits that they do are not federally insured.
The non-depository financial institutions include commercial banks, credit unions, and saving banks.
Therefore, option D is correct.
Assume that in recent years both expected inflation and the market risk premium (r M − r RF) have declined. Assume also that all stocks have positive betas. Which of the following would be most likely to have occurred as a result of these changes?a. Required returns have increased for stocks with betas greater than 1.0 but have declined for stocks with betas less than 1.0.b. The required returns on all stocks have fallen, but the decline has been greater for stocks with lower betas.c. The required returns on all stocks have fallen by the same amount.d. The average required return on the market, rM, has remained constant, but the required returns have fallen for stocks that have betas greater than 1.0.e. The required returns on all stocks have fallen, but the fall has been greater for stocks with higher betas.
Answer: e. The required returns on all stocks have fallen, but the fall has been greater for stocks with higher betas.
Explanation:
The beta of a stock reflects the stock's sensitivity to a movement in market returns. Used in the Capital Asset Pricing Model, it can be used to calculate Required Return by the formula;
Required return = Risk free rate + Beta * Market risk Premium.
This formula shows that if market risk premium were to decrease, the decrease in required returns will be more for stocks with higher betas.
For instance, Assume two stocks. Stock A has a beta of 4 and Stock B has a beta of 2.
Assuming that the risk free rate is 4% and the Market premium went from 10% to 6%, the stock required return will be;
Stock A
Initial required return = 4% + 4 * 10% = 44%
Return after fall in Market premium = 4% + 4 * 6% = 28%
Return fell by = 44 - 28 = 16%
Stock B
Initial required return = 4% + 2 * 10% = 24%
Return after fall in Market premium = 4% + 2 * 6% = 16%
Return fell by = 24 - 16 = 8%
Stock A required return fell more than Stock B's because it had a higher beta.
A measure of the burden of continual deficit financing over time is the ratio of:.
A measurement of the burden of continual deficit financing over time is the ratio of the debt to the GDP.
Budget DeficitA budget deficit emerges when costs exceed revenue, and can indicate the financial health of a country. The government normally uses the period budget deficit when referring to spending rather than firms or individuals. Accrued deficits form national debt.
One of the direct risks of a budget deficit is inflation, which is the constant boost of price levels. In the United States, a budget deficit can compel the Federal Reserve to release more money into the economy, which feeds inflation.
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If I have an F and have nothing to do. what should I do
Answer: ask for extra credit work that will bring your F to something higher or if you can redo anything you have missed or better yet do both there's never nothing to do. all you have to do is ask for something to do
Explanation:
f-1. Assume that no intra-entity inventory or land sales occurred between Placid Lake and Scenic. Instead, on January 1, 2020, Scenic sold equipment (that originally cost $170,000 but had a $84,000 book value on that date) to Placid Lake for $118,000. At the time of sale, the equipment had a remaining useful life of five years. What worksheet entries are made for a December 31, 2021, consolidation of these two companies to eliminate the impact of the intra-entity transfer
Answer:
Journal 1
Debit : Other Income $34,000
Credit : Equipment $34,000
Journal 2
Debit : Accumulated depreciation $6,800
Credit : depreciation $6,800
Explanation:
Step 1 : Eliminate the Income resulting from sale and the additional value of equipment sitting in the buyer books
Income = Selling Price - Carrying Amount
where,
Carrying Amount = Cost - Accumulated depreciation
= $84,000
therefore,
Income = $118,000 - $84,000 = $34,000
Journal;
Debit : Other Income $34,000
Credit : Equipment $34,000
Step 2 : Eliminate the unrealized profit as a result of additional asset value
unrealized profit = income ÷ remaining useful life
= $34,000 ÷ 5
= $6,800
Journal;
Debit : Accumulated depreciation $6,800
Credit : depreciation $6,800
Question 7 of 10
If you borrow $2,000 at 5 percent simple interest, how much will you owe
after one year?
A. You will owe 5 percent of the principal only.
OB. You will owe the principal of $2,000 only.
C. You will owe the principal of $2,000 plus 5 percent of the principal.
D. You will owe the principal of $2,000 minus 5 percent of the
principal.
You will owe the principal of $2,000 plus 5 percent of the principal.The correct answer to this question is C.
Simple interest is calculated by multiplying the principal by the interest rate and the time period. In this case, the principal is $2,000 and the interest rate is 5 percent. After one year, the interest accrued would be $100 (5% of $2,000).
Therefore, the total amount owed after one year would be $2,100 ($2,000 principal + $100 interest). It is important to note that simple interest is calculated only on the principal amount borrowed, and not on any interest that has already accrued.
Additionally, the interest rate is usually expressed as an annual rate, so it is important to adjust the time period accordingly if the loan term is less than one year. The correct answer to this question is C.
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Assume the government sets a price ceiling, or maximum price800 rent per month Based on the graphwhat will be the outcome of this price
The outcome of the ceiling price $800 rent is that the quantity supplied will remains at the same.
What is a price ceiling?This refers to a price order by the government that keeps a price from rising above a certain level known as the “ceiling”.
In the graph, the horizontal line at the price of $800 shows the maximum price set by the rent control law.
The forces that shifted the demand curve to the right are still there, but, at this price, the quantity supplied will remains at the same 15,000 rental units although the quantity demanded is 19,000 rental units.
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Answer: There will be a rental housing shortage.
Explanation:
Break-Even Analysis. Help needed please!
Explanation:
break events points is a situation whereby there is no profit or loss
the formula for break even point is fixed cost divided by contribution
break even points = fixed cost
_________
contribution
contribution = revenue - variable cost
examples of variable cost had been given in the picture you sent which are rent,insurance,administrative etc
The Better Business Buniau is a consumer protection organization sponsored by consumer groups.
O a. True
O b. False
Beckett Rice submitted a new Form W-4 for 2022 as presented below. If Beckett is paid gross wages of $3,000 for the semimonthly period, determine Beckett’s income tax withholding using the percentage method and the wage bracket method.
For the semimonthly period, Beckett Rice's federal income tax withholding is zero according to the wage bracket approach.
What justifies the response given above?We can determine Beckett Rice's income tax withholding using the data given using both the percentage technique and the pay bracket method:
Using a percentage-
Step 1: Multiply the semimonthly salaries by the quantity of pay periods in a year to arrive at the annual wages.
Annual salaries are $3,000 multiplied by 24 to equal $72,000.
Step 2: To determine the taxable income, deduct the annual withholding allowances from the annual pay.
$72,000 - ($4,000 x 2) = $64,000 is the taxable income.
Step 3: Calculate the annual federal income tax withholding using the IRS tax tables. The annual federal income tax withholding for a married taxpayer filing jointly with $64,000 in taxable income is $8,392.
Step 4: To calculate the semimonthly federal income tax withholding, divide the yearly federal income tax withholding by the number of pay periods in a year.
federal income tax withheld on a bimonthly basis = $8,392 / 24 = $349.67
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Consider the following BPMN diagram:
If we look at the process model, we can see that Task A is the first task and must always be completed in order for the model to be run. Further observation reveals that because an exclusive gateway is employed, any of the two jobs, B and C, is carried out individually rather than simultaneously. As we continue to move through the BPMN diagram, we see that task M is the conversing task and is therefore always run along with a networks message flow from it to task F, which is done as soon as a message is received in pool 2 and finishes.
An item of networking hardware or software called a gateway is used in telecommunications networks to allow data to go from one distinct network to another.
The way that gateway differ from routers and switches is that they can join various networks using more than one protocol to communicate and that they can function at any of the seven OSI levels.
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Briefly describe the key advantages and disadvantages of the three approaches to management education. Under what conditions would you recommend that an organization send its managers to an executive MBA programs?
There are three main approaches to management education: on-the-job training, off-the-job training, and executive MBA programs. Each approach has its own advantages and disadvantages. On-the-job training allows managers to learn while doing their job, but it may not provide a comprehensive understanding of management principles. Off-the-job training, such as workshops and seminars, can provide a more comprehensive understanding of management principles, but it may not be as practical as on-the-job training. Executive MBA programs provide a comprehensive understanding of management principles and practical experience, but they can be expensive and time-consuming.
\( \)
An organization should consider sending its managers to an executive MBA program if they want to provide their managers with a comprehensive understanding of management principles and practical experience. Executive MBA programs are best suited for managers who have several years of experience and are looking to advance their careers. An organization should also consider the cost and time commitment of an executive MBA program before sending their managers. If an organization has the resources and is committed to investing in their managers' development, an executive MBA program can be a valuable investment.
A-TMI Construction Company has a contract to construct a €4,000,000 bridge at an estimated cost of €3,000,000. The contract is to start in July 2014, and the bridge is to be completed in October 2016. The following data pertain to the construction period.
Related cost is as following
2016 2105 2014
$500000 $1800000 $700000. Required You are required to journalize the revenues recognition entries during the contract period
Here are the journal entries for revenue recognition during the contract period for A-TMI Construction Company:
How to journalize the entry2014
July 1:
Dr. Accounts receivable 1,000,000
Cr. Construction revenue 1,000,000
This entry records the initial recognition of revenue on the contract, which is 25% of the total contract price.
December 31:
Dr. Construction costs 700,000
Cr. Accounts payable 700,000
This entry records the costs incurred during 2014.
2015
March 31:
Dr. Accounts receivable 1,000,000
Cr. Construction revenue 1,000,000
This entry records the recognition of additional revenue on the contract, which is 25% of the total contract price.
December 31:
Dr. Construction costs 1,800,000
Cr. Accounts payable 1,800,000
This entry records the costs incurred during 2015.
2016
July 1:
Dr. Accounts receivable 1,000,000
Cr. Construction revenue 1,000,000
This entry records the recognition of the final amount of revenue on the contract, which is 25% of the total contract price.
October 31:
Dr. Construction costs 500,000
Cr. Accounts payable 500,000
This entry records the costs incurred during 2016.
Totals
Dr. Accounts receivable 4,000,000
Cr. Construction revenue 4,000,000
Dr. Construction costs 3,000,000
Cr. Accounts payable 3,000,000
This shows that the total revenue recognized on the contract is equal to the total costs incurred on the contract.
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Lux Ladies, Inc., is a company that specializes in expensive and unusual gifts for all occasions. It keeps a large file of information on all of its regular customers, including names, addresses, and type of gifts they have ordered in the past, and the size and frequency of their orders. The electronic file which stores this information is a(n)
Select one:
a. spreadsheet.
b. MP3 file.
c. PERT file.
d. database.
Option D. The database is the The electronic file which stores this information for the company Lux Ladies, Inc.
What is a database?A database in computing is a structured collection of data that is electronically accessible and stored. Large databases are housed on computer clusters or cloud storage, whilst small databases can be stored on a file system.
A database is a collection of data that has been organized to make it simple to manage and update. Data records or files containing information, including as sales transactions, customer information, financial data, and product information, are often aggregated and stored in computer databases.
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