Which of the following statement(s) is/are true if all of Stahl et al’s hypotheses are true?
a.
Brand equity and behaviour change together
b.
Increases in differentiation are positively associated with customer acquisition
c.
Changes in knowledge are negatively associated with retention rates
d.
Changes in esteem are not associated with changes in acquisition rates

Answers

Answer 1

Stahl et al’s hypotheses are the set of hypotheses that explain how brand equity affects customer acquisition, retention, and the effect of brand equity on customer behavior. The true statement(s) of all Stahl et al’s hypotheses are: Increases in differentiation are positively associated with customer acquisition.  

Changes in esteem are not associated with changes in acquisition rates. Explanation: Stahl et al’s hypotheses explain how brand equity affects customer acquisition, retention, and the effect of brand equity on customer behavior. They suggested that brand equity drives customer acquisition and retention and that changes in brand equity lead to changes in customer behavior. So, the following statement(s) is/are true if all of Stahl et al’s hypotheses are true: Increases in differentiation are positively associated with customer acquisition. Changes in esteem are not associated with changes in acquisition rates.

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Related Questions

What levels of risk does investing in the stock generally carry
medium
medium, high,
low, high
or low?

Answers

Low, high  levels of risk does investing in the stock generally carry. Over the long term, stocks have the highest potential for growth for investors. Investors who have chosen to hold onto stocks for an extended length of time—say let's 15 years.

Typically been rewarded with robust, profitable returns. Utilize your associated banking account to open a risk and trading account. Access that trading account. Choose the shares you want to purchase or sell. Make sure you have the necessary investing funds in your account to purchase the shares stocks. taking dividends in— Many stocks distribute dividends, which are based on the company's earnings per share.

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One of the LEAST effective supplier strategies for lean systems is:____________
A. ​smaller, more frequent stock shipments.
B. a​ short-term, competitive relationship between the company and the supplier.
C. use of local suppliers.
D. to include suppliers during the product design phase.

Answers

Option B is correct. One of the least effective supplier strategies for lean systems is short-term competition between the company and the supplier.

What is a lean supply system?

Lean supply chain management consistently eliminates non-value-added time and consistently shortens lead times at all stages of the supply chain, from raw material production by suppliers to delivery of finished goods to end users.

What is ultimate goal of lean systems?

The goal of all lean systems is to maximize customer profits. Lean thinking can greatly improve the productivity and functioning of teams and departments, but implementing Lean across an organization has the greatest impact on customers.

What does lean system do with suppliers?

Lean systems typically require suppliers to be able to deliver large lots on a regular basis. Lean systems require suppliers who often deliver small batches. Lean buying requires frequent contract offers from multiple sources to ensure competitive pricing for buyers. 

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Will give brainliest to anyone who can explain how to solve this

Will give brainliest to anyone who can explain how to solve this

Answers

Find the amount of markup by subtracting the store cost from sale price:

25-5 = 20

Divide markup amount by cost:

20/5 = 4

Multiply by 100 to get percentage

4 x 100 = 400 %

The answer is B. 400%

Answer:

Explanation:

After-Before/Before = 25-5=20 / 5=4 = 400%B

What is the reason for using progressive taxes on income?
A) Lower-income individuals have a lower cost of living and can afford to pay more in taxes.

B) Higher-income individuals are more likely to spend their income on consumption of goods, and paying more taxes discourages spending.

C) Higher-income individuals are more likely to afford their standard of living and can afford to pay more in taxes.

D) Individuals of all incomes pay the same percentage of their income toward the tax, making it a fair tax.

Answers

The reason for the progressive tax is because the Higher-income individuals can afford a good standard of living and can pay more in taxes.

What is a progressive tax?

This is a type of tax imposed based on a taxpayer's ability to pay, that is, the higher the income. the higher the taxrate applicable to the taxpayer's income.

The reason for progressive tax is that a tax would be a disproportionate burden for people with low incomes.

Therefpre, the Option C is correct.

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the duo growth company just paid a dividend of $1.00 per share. the dividend is expected to grow at a rate of 30% per year for the next three years and then to level off to 5% per year forever. you think the appropriate market capitalization rate is 25% per year. a. what is your estimate of the intrinsic value of a share of the stock?

Answers

Based on the assumptions and calculations given, the estimated intrinsic value of one share is $8.98.

To estimate the intrinsic value of a stock, you can use the Dividend Discount Model (DDM), assuming the stock is valued based on future dividend payments. Therefore, we can calculate the intrinsic value.

Calculate expected dividends for the next three years.

Dividend Year 1:

$1.00

Year 2 Dividend:

$1.00 ˣ (1 + 30%) = $1.30

3rd Year Dividend:

$1.30 ˣ (1 + 30%) = $1.69

Calculate the terminal value representing the value of a stock over a three-year period in which dividend growth plateaus.

Final Dividend:

$1.69 ˣ (1 + 5%) / (0.25 - 0.05) = $11.27

Note:

Divide the final dividend by the difference between the market capitalization rate (25%) and the terminal growth rate (5%).

Calculate the present value of each dividend.

Present value of year 1 dividend:

$1.00 / (1 + 0.25)¹ = $0.80

Present Value of Year 2 Dividends:

$1.30 / (1 + 0.25)² = $0.93

Present value of the third year dividend:

$1.69 / (1 + 0.25)³ = $1.08

Present value of final dividend:

$11.27 / (1 + 0.25)³ = $6.17

Calculate the intrinsic value by summing the cash values ​​of the dividends.

Intrinsic Value = $0.80 + $0.93 + $1.08 + $6.17 = $8.98

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How much of the total did Raul contribute himself

Answers

1. The total balance in the account after 40 years would be $192,520.

What is balance?

Balance is a fundamental concept in a wide range of disciplines, including physics, biology, finance, and psychology. It refers to the ability to maintain equilibrium or stability, and the ability to adapt and adjust when faced with external challenges. Balance is achieved by creating internal stability and harmony, and by avoiding extremes and unnecessary risks. In physical terms, balance is achieved when the forces acting on a system are equal and opposite.

2. Raul contributed $120,000 himself.
3. Raul made $92,520 through compound interest in the savings account.
4. Raul could have increased the total amount of money he made over the 40 years by investing his money instead of keeping it in a savings account. Investing has the potential to earn higher returns than a savings account and has the potential to increase the total amount of money made over the 40 years.

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Complete Question:
Raul Raul is a saver. He sets aside $100 per month during his career of 40 years to prepare for retirement. He does not like the idea of investing because he prefers to minimize his risk as much as possible, so he puts his money in a savings account which earns 1.596 interest per year 1. What is the total balance in 2. How much of the total did 3. How much money did Raul the account after 40 years? Raul contribute himself? make through compound interest in this savings account? N 4. Identify one way Raul could have increased the total amount of money he made over the 40 years. Explain your reasoning.

True or false: Flexible prices help to explain how unexpected changes in demand lead to the fluctuations in GDP and employment that occur over the course of the business cycle.

Answers

Answer:

True this is the answer thanks please rate

Which of the following correlation coefficients is the strongest? a. -48 b. 45 c. −26 d.42

Answers

When assessing the strength of a correlation coefficient, it is important to consider its absolute value. The absolute value disregards the sign (+ or -) and only focuses on the magnitude of the coefficient. The closer the absolute value is to 1, the stronger the correlation.

In the given s, the correlation coefficients are -48, 45, -26, and 42. By comparing their absolute values, we find that the absolute value of -48 is the highest. This means that the correlation represented by -48 is the strongest among the s provided.

It's important to note that the negative sign in front of the correlation coefficient indicates a negative correlation, meaning that as one variable increases, the other tends to decrease. Positive correlations, on the other hand, indicate that as one variable increases, the other also tends to increase.

In summary, the strongest correlation among the given s is represented by a. -48, indicating a strong negative relationship between the variables being examined.

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Choose the preferred sentence from each pair and justify your choice. a. (1) Lindsay's request to telecommute was denied, but she will begin a flextime schedule in two weeks. (2) Although her request to telecommute was denied, Lindsay will begin a flextime schedule in two weeks.

Answers

Answer:

(2). Although her request to telecommute was denied, Lindsay will begin a flextime schedule in two weeks.

Explanation:

The second choice would be the most preferred as it conveys the idea in a formal and precise manner. The complex sentence beginning with the subordinate clause already hints the listener that the key message is yet to come. It helps him/her in understanding the intended message without any confusion. The first sentence fails to create that specificity as it connects two independent ideas which remove the listener's focus from the main idea i.e. 'she will begin a flextime schedule in two weeks.' Thus, option (2) adopts the correct format and sentence structure to deliver the message effectively, efficiently, and precisely.

started business with cash Rs 100000 and furniture Rs 50000​

Answers

Answer:

See below

Explanation:

Cash and furniture are assets. An increase in assets is debited. The amounts used to buy the in facilitating the transactions is the capital.

The journal entry will be as below,

Cash  A/c       Dr.  Rs 100,000

Furniture A/c   Dr.  Rs  50,000

Capital      A/c Cr.        Rs 150,000

The ________ function allows for multiple criteria in multiple ranges to be evaluated and counted.

Answers

The COUNTIF function enables the evaluation and counting of many criteria across various ranges. Use the COUNTIF function if you want to use numerous criteria at one time. The COUNTIF function has the following syntax: =COUNTIF (range, criteria).

The range specifies which cells must be counted, and the criterion control specifies which cell values must be counted and which must not. Using Excel's COUNTIF function to count using the AND condition is quite simple. For counting cells with two or more criteria, use the COUNTIFS function.

For purposes of partial matching, the COUNTIF function's criteria can also incorporate a variety of logical operators and wildcards. Excel's COUNTIF function does not allow the use of arrays and always requires a range of cells.

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Bob makes his frst $1,100 deposit into an IRA eaming 7.9% compounded arnually on his 24 th birthday and his last $1,100 deposit on his 44 th birthday (21 equal deposits in all . With no additional deposts, the money in the IRA continues to eam 7.9% interest compounded annually unti Bob rotires on his 65t birthday, How much is in the IRA when Bob retires? The amount in the IRA when Bob retres is $ (Round to the nearest cent as needed)

Answers

With no additional deposits, the money in the IRA continues to grow at 7.9% interest compounded annually untii Bob retires on his 65t birthday, the amount in the IRA when Bob retires is $$324,454 (Round to the nearest cent as needed).

To find the amount in the IRA when Bob retires, we need to calculate the future value of his deposits and interest over the years.
First, let's calculate the future value of Bob's deposits. He makes 21 equal deposits of $1,100 into his IRA. We can use the formula for the future value of an annuity to calculate this.
Using the formula:
Future Value = P × ((1 + r)ⁿ - 1) / r
Where:
P = deposit amount per period = $1,100
r = annual interest rate = 7.9% = 0.079 (expressed as a decimal)
n = number of periods = 21
Plugging in the values:
Future Value of deposits = $1,100 × ((1 + 0.079)²¹ - 1) / 0.079

Future Value of deposits = $54,714
Next, let's calculate the future value of the IRA from the time of Bob's 44th birthday to his 65th birthday. Since there are no additional deposits, we can use the formula for the future value of a lump sum to calculate this.
Using the formula:
Future Value = P × (1 + r)ⁿ
Where:
P = initial principal = Future Value of deposits calculated earlier
r = annual interest rate = 7.9% = 0.079 (expressed as a decimal)
n = number of years from Bob's 44th to 65th birthday = 65 - 44 = 21
Plugging in the values:
Future Value of IRA = Future Value of deposits × (1 + 0.079)²¹

Future Value of IRA = $54,714 × (1 + 0.079)²¹

Future Value of IRA = $269,740.02
Now, we can calculate the total amount in the IRA when Bob retires by adding the future value of deposits and the future value of the IRA:
Total amount in IRA = Future Value of deposits + Future Value of IRA

Total amount in IRA = $54,714 + $269,740.02

Total amount in IRA = $324,454.02

Total amount in IRA ≈ $324,454.

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the types of companies that make particularly attractive acquisition targets when employing an unrelated diversification strategy are

Answers

The types of companies that make particularly attractive acquisition targets when employing an unrelated diversification strategy

are those that operate in different industries or have diverse product/service offerings.  These companies can bring complementary expertise, resources, and customer bases to the acquiring company, reducing its reliance on a single industry or market. By diversifying into unrelated industries, the acquiring company can mitigate risks associated with economic fluctuations or industry-specific challenges, and potentially unlock new growth opportunities. Additionally, acquiring companies with strong management teams, established brand recognition, and scalable business models can further enhance the attractiveness of such acquisition targets for unrelated diversification strategies.

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Which situation most directly illustrates a possible outcome of a fiscal
policy?
A. New environmental regulations make drinking water in a city safer.
B. The government decides it is time to print a great deal of new
money
O C. Struggling farmers receive less assistance from the government.
O D. A company decides to expand its operations into several new
states

Answers

Answer:

C

Explanation:

The correct answer would be option C that says that the struggling farmers receive less assistance from the government as fiscal policies are associated with determining the expenses and taxation policies to the various sectors to regulate the direction of the economy.

There are two types of Fiscal Policy that are Expansionary and Contractionary.

Expansionary fiscal policy:

deals with an increase in spending and/ or relaxing in taxation by the government so that consumers in the economy get more money.

Contractionary policy:

deals with reducing spending and/ or increasing taxation.

In this case, farmers did not get assistance from the government due to reducing the amount of Federal money available for farming and farmers is an illustration of Contractionary fiscal policy.

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Which situation most directly illustrates a possible outcome of a fiscalpolicy?A. New environmental regulations

According to a survey of recent college graduates, opportunities for _____________ are important in attracting and retaining employees.

Answers

According to a survey of recent college graduates, opportunities for professional growth and development are important in attracting and retaining employees.

The survey highlights that college graduates place great value on opportunities for professional growth and development when considering potential employers and deciding whether to stay with a company long-term. This indicates that young professionals are seeking organizations that provide avenues for expanding their skills, acquiring new knowledge, and advancing their careers.

By offering such opportunities, employers can attract and retain talented individuals who are motivated to continually enhance their capabilities and contribute to the company's success. Recognizing and investing in the professional development needs of employees has become a crucial factor in attracting and retaining top talent in today's competitive job market.

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if a group of private investors successfully borrowed a large sum of money and purchased the firm from its current owners, we would call this event a

Answers

The event is known as Leveraged buyout.

Leveraged buyout is used to describe a transaction where an organization is acquired by an individual or group of individuals, through debt gotten elsewhere.

In other word. when a company's acquires another company using a significant amount of borrowed money to meet the cost of acquisition, it is known as Leveraged buyout.

In conclusion, when this group of private investors in the question successfully acquired the firm from its current owners with borrowed money, then the event is known as Leveraged buyout.

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during the early stage of an economic expansion, it is generally easier to buy expensive assets, such as a car or home, on credit due to lower product prices and interest rates. true or false

Answers

True.  

During the early stage of an economic expansion, businesses are more likely to invest in new projects, which leads to increased demand for goods and services.

services. This increased demand can drive up prices for some assets, such as cars and homes. However, interest rates are typically lower during economic expansions, which makes it easier for consumers to borrow money to buy these assets.  

In addition, consumers may have more disposable income during economic expansions, which can also make it easier to buy expensive assets. This is because wages tend to rise during economic expansions, and consumers may have more confidence in the economy , which leads them to spend more money.  

However, it is important to note that not all assets appreciate in value during economic expansions. For example, stocks may not perform as well as other assets during this time, as investors may be more cautious about taking on risk.  

Here is a more detailed explanation:  

* Lower product prices: During the early stage of an economic expansion, businesses are often trying to increase market share, so they may offer lower prices on their products. This can make it more affordable for consumers to buy expensive assets, such as cars and homes. * Lower interest rates: Interest rates are typically lower during economic expansions, which makes it easier for consumers to borrow money to buy assets. This is because banks are more willing to lend money when the economy is doing well.

* Increased disposable income: During economic expansions, wages tend to rise, which gives consumers more disposable income. This disposable income can be used to buy expensive assets, such as cars and homes.  

However, there are some risks associated with buying expensive assets during economic expansions:  

* Asset prices may fall: Asset prices may fall during economic contractions, which could result in losses for consumers who bought assets during economic expansions. * Interest rates may rise: Interest rates may rise during economic contractions, which could make it more difficult for consumers to afford the payments on their loans.

* Consumer confidence may decline: Consumer confidence may decline during economic contractions, which could lead to a decrease in demand for goods and services. This could make it more difficult to sell expensive assets.  

Overall, it is generally easier to buy expensive assets during the early stage of an economic expansion. However, there are some risks associated with doing so, so it is important to weigh the risks and rewards before making a decision.

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Why did Constantine establish a new capital of the Roman Empire in Byzantium?

Answers

Answer:

From the year 330 and by order of the Emperor Constantine, the city of Byzantium became the capital of the Roman Empire. The main motivation behind this decision was strategic: the city of Byzantium, later renamed Constantinople, was located in what we know today as Istanbul, Turkey, on the intercontinental passage between Europe and Asia. Thus, this city was right in the middle of the main route that connected the Roman Empire with the cities of the Middle East, India and China, being fundamental for the control of said trade and the exercise of a notable political and economic influence in the region.

(10) Acme is considering expanding their remote packaging facility. After-tax cash flows (ATCF) for their primary alternative are presented in the table below. If the general price inflation rate (f) is estimated to be 4.3% per year during the 6-year analysis period, what is the real-dollar ATCF that is equivalent to the actual-dollar ATCF on 4th year? The base time period is year zero (b=0). End of Year ATCF (A$) 0 -380,000 70,000 120,000 120,000 180,000 180,000 180,000 1 2 3 4 (a) 108863 (b) 106761 (c) 260761 (d) 152102

Answers

We must account for the general price inflation rate (f) across the analysis period in order to determine the real-dollar after-tax cash flow (ATCF) that is equivalent to the actual-dollar ATCF in the fourth year.

First, let's determine the fourth year's cumulative inflation factor (IF): IF = (1 + f)^4 = (1 + 0.043)^4 = 1.184243 The real-dollar equivalent is then calculated by dividing the actual-dollar ATCF in the fourth year by the cumulative inflation factor: Actual-dollar ATCF / IF = Real-dollar ATCF Real-dollar ATCF equals 180,000 / 1.184243 152,102 As a result, the actual-dollar ATCF in the fourth year is about similar to $152,102 in real dollars. The right response is (d) 152,102.

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If a loss of $25,000 is incurred in selling (for cash) office equipment having a book value of $90,000, the total amount reported in the cash flows from investing activities section of the statement of cash flows is.

Answers

The total amount reported in the cash flows from investing activities section of the statement of cash flows is $65,000.

This is because when a company sells an asset such as office equipment, the cash received from the sale is reported as a cash inflow in the investing activities section of the statement of cash flows. In this case, the cash received from the sale of the office equipment is $90,000.

However, since the company incurred a loss of $25,000 on the sale, this loss would also be reported in the investing activities section. The net cash inflow from the sale of the office equipment would then be $90,000 - $25,000 = $65,000.

It is important to note that this $25,000 loss is not reflected in the income statement, it is only reflected in the statement of cash flows.

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can a 14 year old work? where?

Answers

Answer:

Yes!!

Explanation:

They can work at Chick-Fil-A!!

They can be a babysitter

wash cars

and more!

How would a two percent rise in interest rates most likely affect new housing?​

Answers

A two percent rise in interest rates would most likely affect new housing by making the price of the houses fall in the long run.

As the interest rate of possessing a mortgage rises, many individuals would not afford a house with a mortgage.

Subsequently, as people are shying away from possessing mortgages with high-interest rates, home investors and sellers need to reduce their house prices to attract buyers.

Hence, in this case, it is concluded that a two percent rise in interest rates would most likely affect new housing by making the price of the houses reduce in the long run.

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Which of the following affects employers’ decisions on how much to pay their workers? Maximizing costs
Maximizing profits
Minimizing profits
Minimizing benefits

Answers

What  affects employers’ decisions on how much to pay their workers is : Maximizing profits.

What is  profit maximization?

Profit maximization can be defined as the way in which a company or an organization tend to determine the price level that enables them  to maximize profit.

Every company or organization  goals is to make profit based on this company that is determine to make profit must tend to make use of profit maximization approach.

Profit maximization is important as it can tend to lead to sustainable growth for companies which is why  most companies make use of  profit maximization strategy so as to make higher profit.

Therefore what  affects employers’ decisions on how much to pay their workers is : Maximizing profits.

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Dali Ltd. Dali Ltd. reported the following aged receivable listing at December 31, 2019. Days Outstanding Amount ($) Estimated Uncollectible Percentage 0-30 31-60 1% 250,000 60,000 30,000 60-90 10% 50% The Allowance to Doubtful Accounts had a debit balance of $6,000 before the year-end adjusting journal entry was made. Dali Ltd. (Refer to Figure 1) The correct balance for the Allowance for Doubtful Accounts after the year-end adjustment is made will be Select one: O a. $17,500 O b. $6,000 OC. $29,500 d. $23,500 Figure 1. Dali Ltd. PIELI..... A 103 Dali Ltd. reported the following aged receivable listing at December 31, 2019. acer stion 9 4

Answers

The correct balance for the Allowance for Doubtful Accounts after the year-end adjustment is made is $23,500.Long answer:Dali Ltd. is a company that has reported the following aged receivable listing at December 31, 2019. The table below summarizes the data.

Dali Ltd. Aged Receivable Listing:Days Outstanding Amount ($) Estimated Uncollectible Percentage 0-30 250,000 1% 31-60 60,000 1% 60-90 30,000 10% 90+ 5,000 50%The total accounts receivable at December 31, 2019, is $345,000.The estimated uncollectible percentage for each category is given in the table, except for the 90+ days category, which has a fixed percentage of 50%.The Allowance to Doubtful Accounts had a debit balance of $6,000 before the year-end adjusting journal entry was made.

We are to find the correct balance for the Allowance for Doubtful Accounts after the year-end adjustment is made.The aging method is used to estimate the amount of the adjusting entry for doubtful accounts. The aging method uses different percentages of estimated uncollectible for each category based on the length of time each account is past due. In general, the longer the account has been past due, the greater the estimated uncollectible percentage.The first step is to calculate the estimated uncollectible amount for each category.

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true or false? projected benefits - cost of countermeasure = countermeasure value

Answers

True, projected benefits minus the cost of a countermeasure equals the countermeasure value.

The statement is true. When evaluating the value of a countermeasure, it is common practice to compare the projected benefits it provides with the cost of implementing that countermeasure. By subtracting the cost from the projected benefits, we arrive at the countermeasure value.

Countermeasure value represents the net impact or value gained from implementing a particular countermeasure. It takes into account the anticipated benefits or advantages that the countermeasure will bring and offsets them against the associated costs. The projected benefits may include factors such as risk reduction, cost savings, improved efficiency, increased security, or any other positive impacts.

By subtracting the cost of the countermeasure from the projected benefits, organizations can assess whether the countermeasure is economically viable and whether the expected benefits outweigh the associated costs. This analysis helps decision-makers make informed choices regarding resource allocation and prioritize countermeasures based on their value and return on investment.

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Which statement best illustrates the relationship between three different
elements of the circular flow of products?
A. Product markets offer labor to businesses, which creates jobs for
households.
B. Resource markets sell goods to product markets, which sell the
goods to businesses
C. Households pay wages to businesses, which can then set up
product markets.
D. Businesses create goods for product markets, which sell them
directly to households.

Answers

Answer: is D

Explanation:

The statement, businesses create goods for product markets, which sell them directly to households, is best illustrates the relationship between three different elements of the circular flow of products.

What is a circular flow?

The most popular version of this model displays the circular flow  of revenue between the consumer and business sectors. The product market and the resource market are placed between the two.

Consumer spending is the mechanism through which households' money flows to the market for goods and services when they are in need of them. The product market purchases goods and services from companies and sells them to households, making a profit.

As a result, option (d) is correct.

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Open systems emphasize the influence of the dynamic interplay between internal and external factors in organizational structure and behaviour
a. True
b. False

Answers

a. True Open systems theory, which is frequently applied to organisations, emphasises how internal and external influences interact dynamically to affect organisational structure and behaviour.

Organisations are seen as complex systems that interact with their external environment, exchanging resources, information, and feedback, according to the open systems concept. The open systems theory acknowledges that elements including market conditions, technology developments, social trends, legal and regulatory frameworks, and competition have an impact on organisations. Internal elements that affect organisational behaviour and operation include organisational culture, leadership, structure, and processes. The open systems concept aids organisations in adapting to, responding to, and thriving in a changing environment by understanding the interconnection and interaction between internal and external forces. Consequently, the claim is real.

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Disadvantages of choosing a job that is extremely popular or in demand

Answers

The disadvantage of choosing a job that is very popular or a job that is in high demand is that after a while such a job may become saturated or it would become monotonous.

What is a high demand job?

This is the term that is used to refer to a job that the people that wpould employ labor are constantly in need of. Such a job is one that would require the people that have the qualification to opt in and get the places and the roles that they are to fill.

The issues that may arise from such a job that is in high demand is that after a period, such a job may have a lot of persons that would want to fulfil the role.

The number of qualified persons may become more than the job that is available for the people to do in the long run.

Hence this is a disadvantage. Therefore I would conclude by saying that the disadvantage of choosing a highly popular job is that the number of persons that are willing to fulfil the role may exceed the job overtime.

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Absolute PPP states that an exchange rate can be reduced to a ratio of the: Real Incomes Monetary Aggregates Price Levels Velocities QUESTION 2 Relative PPP alters Absolute PPP to state exchange rates as a relationship between: a depreciation rate and the inflation differential an appreciation rate and the monetary ratio real GDP growth and the inflation differential inflation expectations and the unemployment rate QUESTION 3 The one variable presumed constant in the monetary approach is: Money Real Output Depreciation Liquidity

Answers

The monetary approach assumes the constant of the money supply. These concepts help us understand the relationship between exchange rates and various economic factors.

The concept of Purchasing Power Parity (PPP) is used to explain the relationship between exchange rates and the prices of goods and services in different countries.

There are two main types of PPP: Absolute PPP and Relative PPP.

Absolute PPP states that the exchange rate between two currencies can be determined by comparing the price levels of goods and services in each country.

In other words, the exchange rate can be reduced to a ratio of the price levels. For example, if the price level in Country A is twice as high as in Country B, then the exchange rate between the two currencies would be 2:1.

Relative PPP alters Absolute PPP by considering other factors, such as inflation differentials, in addition to price levels.

It states that exchange rates can be determined by the relationship between the appreciation or depreciation rate of a currency and the inflation differential between two countries.

For instance, if Country A has a higher inflation rate than Country B, the exchange rate between their currencies would reflect the depreciation of Country A's currency.

In the monetary approach, one variable is presumed constant, and that is the money supply or monetary aggregates. This approach assumes that changes in the money supply have a direct impact on the exchange rate.

Other variables such as real output, depreciation, and liquidity may vary, but the money supply is considered constant in this context.

To summarize, Absolute PPP states that the exchange rate is determined by comparing the price levels of goods and services in different countries, while Relative PPP takes into account factors like inflation differentials.

The monetary approach assumes the constant of the money supply. These concepts help us understand the relationship between exchange rates and various economic factors.

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5. Imagine you are buying a new guitar. Describe how you would make the purchase using the
research-based approach

Answers

Answer:

What I would do is make sure it is a good quality item and see if it is worth my money after that I would go to the cashier and buy my product.

Explanation:

At the time of purchasing a new guitar, or any new thing, the purchase would be made by keeping a few things in mind, like the quality of the product, usage of the product, whether it is worth investing that amount or not, and many more.

What is a research-based approach?

A research-based approach is one in which the search for any material, text, or anything done for exploring things that are relevant and important also carries interesting questions and challenges.

One can use a research-based approach in any segment, like learning new things, investing money, purchasing any asset, and many more.

Therefore, while purchasing a new guitar, quality, usage, and other things can be found with the help of a research-based approach.

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