There are several types of companies that would be most interested in segmenting their target market based on age.
Companies targeting age segments may use different marketing strategies for each age segment in order to optimize their reach and sales. Companies can take advantage of age segmentation to target products, services, or advertising campaigns to certain age groups. This would enable businesses to better understand their target market, and thus, create more personalized and relevant marketing campaigns, resulting in a higher response rate.
There are numerous companies that might be interested in dividing their target market into age groups. Some companies include skincare companies, electronics and tech companies, automotive companies, and toy manufacturers. Companies may use age segmentation to better market their products and services to their target audience.
In conclusion, age segmentation is a helpful tool for marketers since it provides companies with useful information about their target market, which enables them to create more effective marketing campaigns.
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from 1981 to 2001, which change was most likely happening in the us economy? a decrease in spending by consumers an increase in the number of workers an increase in spending by consumers an increase in government intervention in the economy
Answer:
C
An increase in spending by consumers
Explanation:
From 1981 to 2001, The change that was most likely happening in the US economy is an increase in spending by consumers. Thus, option third is correct.
What is a kind of economy in U.S.?The United States has a mixed economy, which includes components of the command and market economic models. In terms of consumer products and corporate services, the US economy is a free market.
Although the US economy is currently one of the most stable in the world, consumer spending increased between 1981 and 2001. There are several economic systems in operation around the world. Socialism, communism, and capitalism are a few instances. The United States operates under a capitalist framework.
And in economics, when there is public spending, there is a positive impact in the economy. Therefore, it can be concluded that option third is correct.
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true or false? effective evaluation measures of a sales force should include both input and output measures.
The given statement " effective evaluation measures of a sales force should include both input and output measures." is True. Evaluation measures of a sales force should aim to provide both input and output measures. Input measures provide information on how effective and efficient the sales force is in utilizing available resources to reach the desired outcomes.
On the other hand, output measures offer details about the actual sales and profits made.The input measures of sales force evaluation typically involve assessing the recruitment, training, and deployment of the sales team members, the working environment, and the available sales tools and resources.
The output measures entail examining the sales volume, revenues, and profits attained over a given period. The ratio of sales to the number of sales representatives and customer feedback, are also commonly used as output measures in sales force evaluation.The use of both input and output measures in sales force evaluation is crucial in identifying the areas of strengths and weaknesses of a sales team.
In addition, both types of measures can help organizations to establish effective strategies to optimize the performance of their sales force. Hence, it is true that effective evaluation measures of a sales force should include both input and output measures.
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Consider the following situations. Label them as either A for appropriate or L for less appropriate for application of the EOQ model.
a. Automobile manufacturer ordering screws from a vendor.
b. Automobile manufacturer deciding on how many cars to paint per batch of a particular color.
c. A job shop ordering bar stock.
d. Office ordering copier paper.
e. A steel company deciding how many slabs to move at once between the casting furnace and the rolling mill.
a. A: This situation is appropriate for the EOQ model as it involves the purchase of a single item in large quantities and maintaining inventory levels to meet demand.
b. L: This situation is less appropriate for the EOQ model as it involves batch processing of products rather than inventory management.
c. A: This situation is appropriate for the EOQ model as it involves the ordering of raw materials in large quantities and maintaining inventory levels to meet demand.
d. A: This situation is appropriate for the EOQ model as it involves the purchase of a single item in large quantities and maintaining inventory levels to meet demand.
e. A: This situation is appropriate for the EOQ model as it involves the movement of large quantities of raw materials in batches and maintaining inventory levels to meet demand.
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discuss how businesses can use mind mapping and brainstorming to identify new and innovative business opportunities
Answer: A mind map can be used by businesses to brainstorm thoughts and ideas organically.
Explanation:
By plotting ideas into a diagram, you can turn often complex, monotonous information into an organized, colorful, and memorable centralized format.
two ratios that provide insight on the relationship between credit sales and receivables are: multiple choice accounts receivable turnover and current ratio. average days to collect receivables and asset turnover. accounts receivable turnover and average days to collect receivables. current ratio and inventory turnover ratio.
The two ratios that provide insight on the relationship between credit sales and receivables are accounts receivable turnover and average days to collect receivables.
The accounts receivable turnover ratio measures the efficiency of a company's credit sales and collection process. It is calculated by dividing net credit sales by the average accounts receivable balance. A higher turnover ratio indicates that the company collects its receivables more quickly, while a lower ratio suggests a slower collection process. The average days to collect receivables ratio provides additional insight into the time it takes for a company to collect its receivables. It is calculated by dividing the average accounts receivable balance by the average daily credit sales. This ratio gives an estimate of the number of days it takes, on average, to collect outstanding receivables. A lower number of days indicates a faster collection process and better cash flow management.
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A value _________ is accomplished when a company makes an effort to connect their internal value chains.
The blank space in the statement should be filled with Creation.
What is a Value Chain?A value chain is characterized by the combination of activities undertaken in a business in a bid to move a product or service along its life cycle, including design, marketing, distribution, and customer support. The company's objective is value creation, particularly in the form of profit.
On this note, Value creation is accomplished when the value chains are connected.
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Someone has shared some information with you without proof, therefore you dismiss it as a __________. Later on that day, you hear others repeating the information, you now realize that everyone involved in sharing the unofficial information, has become a part of the _________________.
Answer: Rumors
Explanation: i had this topic last year
On January 1, the first day of the fiscal year, a company issues a $1,450,000, 5%, five-year bond that pays semiannual interest of $36,250 ($1,450,000 × 5% × ½), receiving cash of $1,408,720.
Complete Question:
On January 1, the first day of the fiscal year, a company issues a $1,450,000, 5%, five-year bond that pays semiannual interest of $36,250 ($1,450,000 × 5% × ½), receiving cash of $1,408,720
Journalize the first interest payment and the amortization of the related bond discount using the Straight line method
Answer:
Kindly check Explanation
Explanation:
Given the following :
Face value of bond issued = $1,450,000
Cash received on Issuance = $1,408,720
Number of Interest payment on bond = 5 × 2 = 10(semiannual)
Therefore, discount on bond :
$(1,450,000 - 1,408,720) = $41,280
Spreading or amortizing diacou t on bond over the bond duration (use te straight line method)
Discount / period
$41,280 / 10 = $4,128
Interest expense a/c Dr $40,378
To discount on bond payable a/c Cr $4128
To cash a/c $36,250
Kerr Company's account balances at December 31 for Accounts Receivable and Allowance for Doubtful Accounts were $2,100,000 and $20,000 (Cr.), respectively. An aging of accounts receivable indicated that $170,000 are expected to become uncollectible. The amount of the adjusting entry for bad debts at December 31 is
Answer:
$150,000
Explanation:
Calculation to determine what The amount of the adjusting entry for bad debts at December 31 is
Using this formula
Bad debts=Accounts receivable-Allowance for Doubtful Accounts
Let plug in the formula
Bad debts=$170,000-$20,000
Bad debts=$150,000
Therefore The amount of the adjusting entry for bad debts at December 31 is $150,000
Even an economically sound economy will have problems managing risk and with solving investment issues. As these are resolved, it is most crucial to maintain _____. Liquidity in the market low transaction costs areas of high risk in the securities market new opportunities for savings and investment
Answer:
liquidity in the market
Explanation:
In business, market liquidity can be regarded as the trade off that exist between the price one want to sell an asset and how it can be sold out on time. It is a feature in which a particular firm as well as individuals can sell out any asset without serious change in the price of the asset. It should be noted that Even an economically sound economy will have problems managing risk and with solving investment issues. As these are resolved, it is most crucial to maintain Liquidity in the market
Laura is carefully estimating the time required for each phase of a proposed system development project to determine whether her company can meet the client's desired completion date. Laura is checking on _____.
Laura is carefully estimating the time required for each phase of a proposed system development project to determine whether her company can meet the client's desired completion date. Laura is checking on project feasibility.
Feasibility refers to the assessment of whether a project can be completed within the specified time, budget, and resources while meeting the desired outcome.
By carefully estimating the time required for each phase of the system development project, Laura is determining if the project is feasible and if her company can meet the client's desired completion date.
Project feasibility is an important consideration for any project manager, as it helps them determine if a project is worth pursuing and if the resources are available to complete it successfully.
By checking on project feasibility, Laura is ensuring that her company can meet the client's expectations and deliver a high-quality system development project on time.
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Where do insurance companies get the money to pay for losses suffered by their customers?
Answer:
Through the Insured premium paid
Explanation:
Insurance is a form of contract where the insureds are indemnified by the insurer against potential future losses.
The primary way through which insurance generate money is through the premium , which is the amount of money that is periodically contributed by the policy holders. This premium is thereafter re-invested into other profit generating investment portfolio.
It is from this that the insurances pull out money for compensation for losses suffered by their customers whenever there is one.
What is the difference between limited liability and unlimited liability
Answer:
Limited liability means the business owners' liability for debts is restricted to the amount they put into the business. With unlimited liability, the business owner is personally responsible for any loss the business makes.
Explanation:
If the price of bananas increases from $0.75 a pound to $1.00 per pound, in the market for bananas this will cause:_______
If the price of bananas increases from $0.75 a pound to $1.00 per pound, in the market for bananas this will cause: decrease in demand.
What is demand?
Demand can be defined as the amount of goods that consumer are willing and ready to buy at a particular period of time.
The law of demand states that the higher the price the lower the demand and the lower the price the higher the demand.
Therefore If the price of bananas increases from $0.75 a pound to $1.00 per pound, in the market for bananas this will cause: decrease in demand.
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What are internal source and external source
Which cable news network produces the most straight reporting?
A. MSNBC
B. ESPN
C. CNN
D. FOX
Answer:
C.
Have a good morning✨
Answer:
A
Explanation:
The Farmers' Alliance was originally formed to a break the economic grip of the railroads through farmers' cooperatives. b join poor black and white farmers in a political alliance to advance their similar economic interests. c drive up farm prices by reducing crop production. d undermine eastern bankers by providing low-cost loans to farmers. e advance agriculturally useful education in state land-grant colleges
Answer:
a. break the economic grip of the railroads through farmers' cooperatives.
Explanation:
Farmers' Alliance was an American agrarian economic movement created by the farmers living and farming in the United States of America during the 1870s and 1880s. The Farmers' Alliance was aimed and focused on improving the economic conditions for all American farmers to grow, develop and flourish excellently through the establishment of cooperatives and political advocacy groups.
Furthermore, the Farmers' Alliance believed majority of the economic problem and challenges was caused by industrial monopolies, eastern bank and railroads.
Hence, the Farmers' Alliance was originally formed in order to break the economic grip considered to be caused by the railroads, through the establishment of farmers' cooperatives.
Rashida purchased a machine for $5600. She sold it six years later for $500. At that date, the
provision for depreciation had a credit balance of $5040.
What entry was made in the income statement?
A credit $60
B debit $60
C credit $560
D debit $560
The entry made in the income statement in this scenario would be a debit of $560. So, the correct answer is D debit $560.
The provision for depreciation represents the accumulated depreciation of the machine over the six-year period. Since the provision had a credit balance of $5040 at the time of sale, it means that the total depreciation expense recognized over the six years was $5040.
To calculate the depreciation expense per year, we divide the total accumulated depreciation by the number of years (6). So, the annual depreciation expense is $5040/6 = $840.
When Rashida sold the machine for $500, it implies that the machine's carrying value or book value was reduced to $500. To account for this loss on disposal, the income statement entry will be a debit to Depreciation Expense for the remaining balance of the machine's book value, which is $840 - $500 = $340.
However, since the question asks for the specific entry made in the income statement, the amount to be debited will be the difference between the machine's original cost and its book value at the time of sale, which is $5600 - $500 = $5100.
Hence, the entry in the income statement will be a debit of $5600 - $500 = $5100. So, the correct answer is D debit $560.
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The product life cycle impacts marketing strategies in which way?.
Answer:
The stage of a product's life cycle impacts the way in which it is marketed to consumers. A new product needs to be explained, while a mature product needs to be differentiated from its competitors.
Explanation:
The product life cycle influences marketing strategies by requiring companies to adapt their marketing efforts and strategies at each stage of the product's life cycle to effectively address changing market conditions and consumer needs.
What is marketing?Marketing is the process of identifying, promoting, and selling products or services to meet the needs and wants of customers, while achieving the goals of a business or organization.
It involves understanding consumer behavior, conducting market research, developing marketing strategies, creating and implementing marketing plans, and managing customer relationships to build and maintain a strong brand image and achieve business objectives.
The product life cycle impacts marketing strategies in several ways and a company may use different strategies to effectively promote and sell the product.
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which one of the following statements regarding the investment strategy of value averaging is correct? A)
Can require a sale of the securities being averaged.
B)
Buys fewer shares in a bear market than would dollar-cost averaging.
C)
Uses varying periods between investments.
D)
Invests the same dolla
The correct statements regarding the investment strategy of value averaging is A) Can require a sale of the securities being averaged.
What is investment strategy?Investing plans are a set of recommendations designed to help individual investors meet their financial and investment goals. This approach guides an investor's decisions in light of their objectives, risk tolerance, and anticipated capital needs. They can be exceedingly aggressive or incredibly cautious, using a low-risk approach in order to protect their money (seeking rapid growth by focusing on capital appreciation). Investors have two options for building portfolios: either utilizing their own methods or working with a financial counselor. Strategies are not static and must be regularly revised as circumstances alter.
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PLEASE HELP ASAP
Last year, $3,155.24 was withheld from your pay for federal taxes. When you calculate the amount of federal tax you owe, it comes to $2,791.80. What does this mean?
A.You must pay an additional $363.44.
B.The remaining $363.44 will be applied to your state taxes.
C.You have lost $363.44.
D.You will get $363.44 refund from the government.
The fact that your federal taxes paid were more than you calculated means that D.You will get $363.44 refund from the government.
What happens when we overpay taxes?When a person pays too much in taxes, the Internal Revenue Service can be able to give you a refund for the amount that you overpaid.
In this case, that amount would be:
= 3,155.24 - 2,791.80
= $363.44
To get the refund, you would have to fill in your annual tax returns and the Internal Revenue Service would find the refund.
In conclusion, you can expect a tax refund of $363.44 from the government.
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Answer:
D. You will get $363.44 refund from the government.
Explanation:
connexus
multiple answers
These statements are true regarding association with a headhunter or recruiter:
1)referring other hard workers is appreciated by headhunters and recruiters
2) headhunters and recruiters work for you
3) instead of burdening your headhunter or recruiter, you should save time and contact an employer directly
4) headhunters and recruiters work for the employer
Headhunters and the recruiters both of them work for the employer of the company.
Option fourth is the correct answer.
Who is an employer?An employer is an individual who controls and manages the affairs of a company.
During the recruitment process, the recruiters hired individuals who are new to employment, that is, the freshers. In contrast, the headhunters hire those employees who already have an experience in the concerned field.
Therefore, the employer of the company is associated with both the headhunters and the recruiters.
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If you invest $1,000 at 12% interest, how much money will be in the account after two years, compounded annually? $1,240 $1,120 $1,254.40 $1,300
Answer:
FV= $1,254.4
Explanation:
Giving the following information:
Initial investment= $1,000
Number fo years= 2
i= 12% compunded annually
To calculate the future value, we need to use the following formula:
FV= PV*(1+i)^n
PV= present value
FV= 1,000*(1.12^2)
FV= $1,254.4
g what is a difference between passive and actively managed funds? question 18 options: active portfolios try to add value. passive portfolios try to add value. index mutual funds are active investments.
The difference between passive and actively managed funds is active portfolios try to add value.
In essence, actively managed funds have investment managers or management teams that select companies or assets they anticipate will exceed their benchmark or otherwise add value to the total portfolio. Instead of having managers choosing investments, passively managed funds follow an index. Investors should be aware of the advantages and disadvantages of each of those strategies.
If transactions are made more frequently, actively managed funds may become more expensive. Additionally, frequent trading may have tax repercussions. But if the index has a lot of turnover, the fund will too, therefore high turnover may potentially be a factor for passively managed funds.
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each listed stock option contract gives the holder the right to buy or sell shares of stock. each listed stock option contract gives the holder the right to buy or sell shares of stock. 10 100 1000 1
The correct statement is:
Each listed stock option contract gives the holder the right to buy or sell 100 shares of stock.
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Suppose that a firm's long-run average total costs of producing hand-crafted chairs is $300 when it produces 10,000 chairs and $325 when it produces 11,000 chairs. For this range of output, the firm is likely experiencing
Answer:
Coordination Problem
Explanation:
Below is the given values:
Average total cost of producing 10000 chairs = $300
Average total cost of producing 11000 chairs = $325
The coordination problem arises when an increase in total output increases the average total cost due to the non-coordination of the inputs used in the production process. Therefore coordination is correct answer.
the following data relate to direct labor costs for the current period: standard costs 7,500 hours at $11.70 actual costs 6,000 hours at $12.00 what is the direct labor time variance? group of answer choices $17,550 favorable $17,550 unfavorable $18,000 favorable $18,000 unfavorable
The direct labor time variance is $17,550 favorable if the standard costs 7500 hours at $11.70 and the actual costs 6000 hours at $12.00
Labor time variance can be described as the difference between the actual and standard direct labor rate per hour for the total number of hours worked.
The direct labor time variance can be calculated using the following formula;
direct labor variance = (Standard hours allowed - Actual hours) × Standard rate
As the standard hours were 7500 and the actual hours were 6000 and the standard rate is $11.70 we substitute these values in this equation of direct labor time variance as follows;
direct labor variance = ( 7500 - 6000 ) × 11.70
direct labor variance = 1500 × 11.70
direct labor variance = 17,500
Therefore, the direct labor time variance is calculated to be $17,550 favorable.
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Present value. A promissory note will pay $25,000 at maturity 5 years from now. How much should you be willing to pay for the note now if money is worth 6.25% compounded continuously?
We use formula P = A * e^(-rt) to calculate the present value of a promissory note that will pay $25,000 at maturity 5 years from now with a continuous compounding interest rate of 6.25%. It is calculated that you should be willing to pay approximately $19,442.50 for the promissory note now.
A = $25,000.
r = 0.0625 (6.25% expressed as a decimal).
t = 5 years.
P = $25,000 * e^(-0.0625 * 5).
e^(-0.0625 * 5) ≈ 0.7777.
Multiplying by $25,000.
P ≈ $25,000 * 0.7777.
P ≈ $19,442.50.
Therefore, you should be willing to pay approximately $19,442.50 for the promissory note now, considering a continuous compounding interest rate of 6.25%.
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which term refers to everything you own minus debts (such as a mortgage on your home and credit card debt)?
Wealth refers to everything you own minus debts (such as a mortgage on your home and credit card debt). It is the only thing that you can own completely.
What is Wealth?
Wealth refers to the total value of all assets of worth owned by any person, group or any country. It is the accumulation of all the scarce resources. It can seen into three types: personal property ( homes, automobiles) , monetary savings and real estate, stocks, bonds and shares.
Wealth = Total market value( physical and intangible assets) - Debts.
Characteristics of wealth are
It is scarceIt can be utilizedIt can be transferred from one person to anotherTherefore, Wealth refers to everything you own minus debts (such as a mortgage on your home and credit card debt). It is the only thing that you can own completely.
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As a manager, your decisions must always improve the function of an organization and contribute toward _____.
increased revenue
meeting the vision
meeting the goals
increased staff
Answer:
It's C.
Explanation:
It's definitely not meeting the vision(s) or increased staff so I narrowed it down to A and C, increased revenue and meeting the goals, saying them both in the sentence for the blank it flows and makes sense so you have to go by common-sense or knowledge so I have a good guess that it would be meeting the goals. Managers do sell stuff but rarely, and selling stuff is how you increase revenue. Trying to meet the goals is more of managers isle and from what I know of managers it wouldn't be meeting the vision in any postion.
Answer:
B. Meeting The Vision
Explanation:
I took the Instruction/Assignment and got it wrong, It's Meeting The Vision