With the use of integrated marketing communications, a company's mass-market advertisements, web site, e-mail, and personal selling communications all have the same message, look, and feel.
What is Integrated Marketing Communication?
The goal of integrated marketing communication (IMC) is to give customers a consistent, seamless, and multidimensional brand experience. This means that the brand will communicate with consumers by integrating a variety of media, including television, radio, newspapers, the internet, and personal media like email and phones. The goal of IMC is to effectively target the target audience and influence their purchasing decisions by delivering the message to customers in a smooth and consistent manner across all media.
Through marketing channels including advertising and content production, the IMC method seeks to maximize brand recognition. Larger brands utilize it to maintain their corporate image. Smaller companies use it to stand out in the marketplace.
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In what ways might accounting frauds be similar to cases of academic dishonesty?
The dishonesty attitude is not only displayed by the practitioner or accountant but it is also preceded by a fraud committed by students in formal schooling.
This unethical action occurs when accountants breach the professional code of ethics issued by the Indonesian Accountants Association (IAI). The purpose of this study is to examine the links between attitudes toward academic dishonesty, attitudes toward unethical behavior, and attitudes regarding the likelihood of accounting fraud from the perspective of public accountants.The vignette was used to collect data from the IAPI community of registered public accountants. The sample includes 43 public accountants who attended the IAI XI Congress in Jakarta, as well as public accountants in Surabaya.It was discovered that there is a significant association between views about academic dishonesty and unethical behavior and attitudes toward accounting fraud.
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You own a bike shop, you have
a beginning cash balance of
$4,700, $101,000 in total cash
sales, $3,300 for utilities,
$2,500 in loan payments and
$5,600 for marketing costs.
What is your ending cash
balance?
Answer:
94,300
Explanation:
4,700+101,000=105,700 in total cash. 3,300 +2,500+5,600=11,400 in total cost. Hailey's ending cash balance is $94,300 because 105,700-11,400=94,300
bro it's simple arithmetic
Estimating employee measures
(a) To assist the organisation with its future budgets, I would like you to estimate the number of hours our
employees as a whole would work per week ("WorkHrs") - the days of a 40 hour week have long gone.
(b) As you would realise, employee happiness with their organisation has a direct effect on a company’s culture
and productivity, therefore I’m interested to know if you can estimate the proportion of all employees who
are Very Proud or Somewhat Proud ("ProudOrg") to work for the company
The data can be analyzed to determine the proportion of employees who are ProudOrg by the following formula:Proportion of ProudOrg Employees = (Number of Very Proud Employees + Number of Somewhat Proud Employees) ÷ Total Number of Employeeswhere the number of very proud employees and the number of somewhat proud employees are based on the survey results. The total number of employees is the total number of employees in the organization.
(a) To assist the organization with its future budgets, the estimation of the number of hours employees as a whole would work per week can be done using the historical data and assumptions. One approach can be used for estimating employee measures by the following formula:Total estimated work hours per week = Number of Employees × Average hours worked by an employee per weekwhere the number of employees is the total number of employees in the organization, and the average hours worked by an employee per week are based on the historical data or industry standards.(b) To estimate the proportion of all employees who are Very Proud or Somewhat Proud to work for the company, a survey can be conducted among all the employees to gather the data. The data can be analyzed to determine the proportion of employees who are ProudOrg by the following formula:Proportion of ProudOrg Employees = (Number of Very Proud Employees + Number of Somewhat Proud Employees) ÷ Total Number of Employeeswhere the number of very proud employees and the number of somewhat proud employees are based on the survey results. The total number of employees is the total number of employees in the organization.
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Which of the following things can help you get a lower interest rate when you receive a loan?
A. A low credit score
B. A history of defaulting
C. Using all of your available credit
D. Collateral
Answer:
D. Collateral
Explanation:
Collateral refers to an asset offered to a lender to secure a loan. Borrowers use properties, motor vehicles, or other valuable items to convince lenders to advance credit facilities. Collateral reduces the risk of lending. If the borrower default, lenders have the option of selling the collateral to recover their money.
Because collateral makes a loan less risky, the interest charged is low. A high-interest rate reflects a high-risk borrower.
Answer:
D. Collateral
Explanation:
What does the IRS stand for?
(1 point)
A.Internal Revenue Service
B. nternational Revenue Service
C. Internal Reward Service
D. Internal Revenue Society
Answer:
its A
Explanation:
hope this helps and Mark me
In this activity, you will demonstrate your understanding of visual merchandising by creating a drawing (on paper or through a computer program) of a visual merchandising display. You may choose any type of product to market, except for clothing and accessories.To begin this activity, research effective visual merchandising strategies. The following links can help you get started:
Next, draw the product itself and illustrate how you plan to display it in a retail store. Here are a few guidelines to follow:
Feature the product itself in such a way that it is clear which product or products are being marketed.
Keep your target market in mind when choosing which visual merchandising techniques to use in your illustration.
Use a minimum of three visual merchandising techniques discussed in the online articles you’ve just read.
Now, write an explanation of your visual merchandising plan and why consumers will find it appealing. Be sure to include the following:
Identify the product you are selling and your target market.
Explain which visual merchandising techniques you’ve used in your drawing. Use at least two techniques.
Defend each visual merchandising strategy you used, and explain how it contributes to the intended effect of getting more consumers to buy more products.
Explain why the visual merchandising techniques you chose are well suited for the particular product you are selling and your target market.
Finally, take a picture of your drawing, and submit it along with your paragraph.
Visual merchandising is known ton be a marketing method or process that is said to make use of elements such as color, lighting etc. to bring customer attention to their business or product.
The product i will use this visual merchandising techniques for is hair growth oil for ladies who are my target market.
The visual merchandising techniques i will use is tell a Story or a customer's testimony about the miracle of using the product and also I will use Product Placement method to attract customers.
Who is a visual merchandiser?The work of a visual merchandiser is to help in product promotion as well as hype retail brands and services in-store/online etc.
The use of visual merchandising methods such as telling the product miracle Story or the use Product Placement method will help one to have a lot of customers.
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$7,700 net monthly income - What amount would you use for needs for the month? *
You own a large building with 300 small salon studio that you lease at a rate of $750 per month per unit. When the studios are 80% occupied, monthly operating costs total $150,000,$90,000 of which are variable costs. A nearby university is opening up and there is an expected demand increase for your studios. You expect to be able to operate at 90% capacity. Based on the cost behavior of the current studio rental business, what is the predicted monthly operating income when 90% of units are leased out? A. $30,000 B. $46,875 C. $41,250 D. $161,250 E. Cannot determine from information provided.
Option D is the correct answer. Total operating costs at 90% capacity is $ 161250.
Fixed costs are expenses that remain constant regardless of whether sales or output volumes rise or fall. This is so because they are not involved in the actual process of producing a good or providing a service. Fixed expenses are therefore regarded as indirect costs.
fixed costs = operating costs - variable costs
fixed costs= $150000 -$90000= $60000
fixed costs= cost doesn't change with respect to Chanchange in units.
variable cost at 100% capacity= variable cost at 80% capacity ÷ capacity percentage=
\(\frac{90000}{80} *100 = $112500\)
variable cost at 90% capacity= fixed cost+ variable cost at 90% capacity
= $60000+$101250= $161250
henece the variable cost at 90% capacity= $161250.
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7 of these cuboids of side 3cm are put together to make this shape
The surface area of the shape is 504cm^2.
What is Surface Area?This refers to the sum of all areas of the faces on a three-dimensional shape.
From the complete question, we can see that there is a diagram with the following parameters:
Seven cuboidsEach side 3cmThe surface area of the shape is:
3 3 * 3=9
9 * 7=63
63+9=72 * 7
=504cm^2
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What annual profit did a restaurant make if 26,412 customers were served, the average guest check was $17.60, the fixed costs were $193,764.40, and the variable rate .4? Show all calculations and round them to tenth of decimal unless they naturally round up to tenth of decimal or a whole number. Which of the following statements is false? Select one: a. Directs purchases are a part of the inventory until they are issued for direct usage in production. b. It is the best practice to verify incoming delivery products against purchase specifications. c. Intra-unit transfers include food items exchanged between departments of a food operation. d. To verify the price, the receiving clerk compares the invoice price with the quoted price.
The annual profit of the restaurant can be calculated by subtracting the total costs from the total revenue. The false statement is option d.
First, we need to find the total revenue generated by the restaurant. This can be calculated by multiplying the number of customers served by the average guest check: 26,412 customers * $17.60 = $464,179.20.
Next, we can calculate the total variable costs by multiplying the total revenue by the variable rate: $464,179.20 * 0.4 = $185,671.68.
The total costs can be obtained by adding the fixed costs and the variable costs: $193,764.40 + $185,671.68 = $379,436.08.
Finally, the annual profit can be calculated by subtracting the total costs from the total revenue: $464,179.20 - $379,436.08 = $84,743.12.
Therefore, the restaurant made an annual profit of $84,743.12.
Now let's analyze the statements:
a. Direct purchases are not part of the inventory until they are issued for direct usage in production. This statement is true. Direct purchases are not considered part of the inventory until they are actually used in the production process.
b. It is indeed considered a best practice to verify incoming delivery products against purchase specifications. This statement is true. Verifying incoming delivery products against purchase specifications ensures that the products received match the quality and quantity specified in the purchase order.
c. Intra-unit transfers do include food items exchanged between departments of a food operation. This statement is true. Intra-unit transfers involve the movement of goods or products between different departments within the same organization.
d. To verify the price, the receiving clerk compares the invoice price with the quoted price. This statement is false. To verify the price, the receiving clerk compares the invoice price with the purchase order, not the quoted price.
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on may 1, 2021, meta computer, inc., enters into a contract to sell 5,700 units of comfort office keyboard to one of its clients, bionics, inc., at a fixed price of $96,900, to be settled by a cash payment on may 1. delivery is scheduled for june 1, 2021. as part of the contract, the seller offers a 25% discount coupon to bionics for any purchases in the next six months. the seller will continue to offer a 5% discount on all sales during the same time period, which will be available to all customers. based on experience, meta computer estimates a 50% probability that bionics will redeem the 25% discount voucher, and that the coupon will be applied to $57,000 of purchases. the stand-alone selling price for the comfort office keyboard is $19.00 per unit.
Journal entries define how transactions influence accounts and balances and act as a simple record of all transactions that a business makes.
What is meant by Journal Entry?The date, the amount to be credited and debited, a brief description of the transaction, and the accounts involved are all included in each journal entry along with other information pertinent to a single business transaction. Depending on the business, it could include a list of the impacted subsidiaries, tax information, and other details.
1. There are two obligations in this contract
a. keyboard
b. Customer option exists for future discount
2.Cash Dr, $69,700
To Deferred revenue - keyboard $66,215
To Deferred revenue - discount coupon of $3,485
Keyboards = 4,100 × $19 = $77,900
Option = $41,000 × (0.25 - 0.05) × 0.50 = $4,100
Allocation
For keyboard = $77,900 ÷ ($77,900 + 4,100) = 0.95
Deferred revenue Keyboard = $69,700 × 0.95 = $66,215
Option = 4,100 ÷ ($77,900 + 4,100) = 0.05
Deferred revenue - discount coupon = $69,700 × 0.05 = $3,485
3. Cash Dr, $69,700
To Deferred revenue Keyboard $69,700
(Being cash is recorded)
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Catherine bought 355 shares of Trochel Office Supplies at $31. 29 per share. Several months later, the price went up and she sold them at $49. 88 per share. How much profit did Catherine make? a. $28,815. 35 b. $17,707. 40 c. $6,599. 45 d. $11,107. 95.
Explain how savers would respond if the interest rate on savings accounts increased. Would they increase or decrease their amount of savings? What about borrowers? Would they increase or decrease their amount of borrowing if the interest rate on loans increased? Explain why.
Answer:
1. Savers increase their savings as interest rate increases
2. Borrowers decrease their borrowing as interest rate on loans increases
Explanation:
1.
Interest rates are a great determinant of what those who save money get on their deposits. When interest rate increases, people tend to save more so as to earn more interest on their deposits. So it encourages savings. Therefore as interest rate increases savers would increase their amount of savings.
2.
For borrowers, more interest rate on loan amount discourages borrowing. More interest rate means that they would have to pay back more money on the loan amount they borrowed. This implies a rise in the cost of borrowing. So the borrower decreases the amount of borrowing if interest rate on loan increases.
What is interest rate?
Interest rate is an amount charged by a lender to a borrower for any form of debt given, generally expressed as a percentage of the principal.
Interest rate to savers
Higher interest rate encourages savings. When interest rate increases, people tend to save more so as to earn more interest on their deposits.
The above means that savers will increase their amount in savings if the interest rate on savings accounts increases.
Interest rate to borrowers
Higher interest rate discourages lenders from borrowing more. More interest rate means that they would have to pay back more money on the loan amount they borrowed.
It therefore means that borrowers will decrease the amounts of borrowing if the interest rate on loans increases.
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Use the following information to calculate net present value:
Upfront cash outflow = $20
Cash inflow in one year = $30
Discount rate = 10%
Select one:
a. -$7. 27
b. $7. 27
c. $18. 18
d. $27. 27
The net present value (NPV) is calculated by subtracting the upfront cash outflow from the present value of the cash inflow, resulting in an NPV of $7.27.
1. Calculate the present value of the cash inflow using the formula:
PV = CF / (1 + r)^n, where CF is the cash inflow, r is the discount rate, and n is the number of periods.
PV = $30 / (1 + 0.10)^1 = $27.27
2. Subtract the upfront cash outflow from the present value of the cash inflow to find the net present value (NPV).
NPV = $27.27 - $20 = $7.27
Therefore, the correct answer is b. $7.27.
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At the beginning of the year, a company estimates total direct materials costs of $1,010,000 and total overhead costs of $1,240,000. If the company uses direct materials costs as its activity base to apply overhead, what is the predetermined overhead rate it should use during the year
The predetermined overhead rate that the company should use during the year is approximately 1.22871.
To calculate the predetermined overhead rate, we need to divide the estimated total overhead costs by the estimated total direct materials costs.
The estimated total direct materials costs are as $1,010,000 and the estimated total overhead costs are given as $1,240,000.
So, the predetermined overhead rate can be calculated as follows:
Predetermined overhead rate = Estimated total overhead costs / Estimated total direct materials costs
Predetermined overhead rate = $1,240,000 / $1,010,000
Predetermined overhead rate ≈ 1.22871
Therefore, the predetermined overhead rate that the company should use during the year is approximately 1.22871.
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what is motivation in business
Answer:
La motivación emprendedora es un factor importante para contribuir con el desarrollo de una sociedad. También es importante el proveer instrumentos para canalizar las acciones de los emprendedores/as potenciales para obtener el exito.
[ Entrepreneurial motivation is an important factor in contributing to the development of a society. It is also important to provide instruments to channel the actions of potential entrepreneurs to achieve success..]
Explanation:
Sorry my English is not very good but I hope you understand and help you with something.
How much money a firm will borrow often depends on how long it takes to convert inventory into _______.
Answer:
How much money a firm will borrow often depends on how long it takes to convert inventory into revenue.
I hope this helps...
Have a nice day <3!
when preparing for employment, you must know yourself, know the job market, and know the employment process. when evaluating your professional interests, which question should you ask yourself? how important are working environments, colleagues, and job stimulation to me? how well do i know the required software packages? should i apply online or in person?
Preparing for employment, How important are working environments, colleagues, and job stimulation to me? evaluating your professional interests, as they ask in own basis. Thus, option (b) is correct.
It was the interest on which sector as employment. A person can find the kinds of employment and work situations that would be the most rewarding and satisfying for you by understanding your preferences for working environments, coworkers, and job stimulation.
When preparing for a job, other crucial questions to ask yourself include figuring out your hobbies, values, personality traits, and present skills.
Therefore, option (b) is correct.
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Your question is incomplete, but most probably the full question was.
When preparing for employment, you must know yourself, know the job market, and know the employment process.
when evaluating your professional interests, which question should you ask yourself?
Jake, a store keeper at Triscent Hypermarket, is accused of stealing food products from the store. When confronted by his manager, Jake justifies his act by claiming that his monthly pay is not sufficient to support his family of five members. In this scenario, the defense mechanism used by Jake is _____. Group of answer choices conversion fantasy flight rationalization
Answer:
Rationalisation
Explanation:
Rationalisation is the attempt by an individual to justify an action, behaviour, or attitude with logical reasoning. Mostly the reasons given are not appropriate enough.
In the given instance Jake is accused of stealing food products from the store, he justifies his act by claiming that his monthly pay is not sufficient to support his family of five members.
This is not enough reason to still but he still tries to rationalise his action based on his low salary.
The project will need an initial investment of $1,200,000 and will generate $600,000 (after-tax) cash flows for three years. However, at the end of the fourth year, the project will generate -$500,000 of after-tax cash flow due to dismantling costs. Calculate the IRR for the project if the cost of capital is 15%.
Answer:
6.53%
Explanation:
Internal rate of return is the discount rate that equates the after tax cash flows from an investment to the amount invested
IRR can be calculated using a financial calculator
Cash flow in year 0 = $-1,200,000
Cash flow each ueaar from year 1 o 3 = $600,000
Cash flow in year 4 = $-500,000
IRR = 6.53%
To find the IRR using a financial calculator:
1. Input the cash flow values by pressing the CF button. After inputting the value, press enter and the arrow facing a downward direction.
2. After inputting all the cash flows, press the IRR button and then press the compute button.
Now that Amazon does collect sales tax in most states, what other loopholes has Amazon found to evade other taxes?
(In depth response)
Another area in which Amazon has found another tax loophole in order to evade taxes is:
They make use of foreign based companies to receive payments from customers in another country.What is a Tax Loophole?This refers to the legal clauses which the rich people and corporations exploit in order to evade paying tax or paying as much as other people.
One tax loophole which is being used by Amazon to evade tax is the use of foreign based companies to receive payments from customers in another country and bypass HMRC.
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Olde ple designs and manufactures shoes Olde ple can select only one of two protsenth of which wow Depending on the state of the economy, nach project has different throws Project Casual shoes Formal shoes Weak Economy 200,000 800,000 Strong Economy 1.600.000 1.400,000 The probability of a weak economy is 45% and a strong economy in 65%. The firm needs to raise 600.000 cott toner om next year Calculate the total firm wealth for both projects in both scenarios. If Olde ple's managers wish to maximize the total wealth of the who they invest in? Calculate the wealth available to shareholders for both projects in both scenarios. It Olde ple's managers wish to maximize shareholder en which proact should they invest in? mark it.
To calculate the total firm wealth and wealth available to shareholders for both projects in both scenarios, we can multiply the profits of each project by their respective probabilities.
Let's calculate the total firm wealth: For Project Formal shoes: Weak Economy: 800,000 * 0.45 = 360,000 Strong Economy: 1,400,000 * 0.65 = 910,000 Now, let's calculate the wealth available to shareholders: Assuming the cost of capital is 600,000: For Project Casual shoes: Weak Economy: 90,000 - 600,000 = -510,000 (Loss) Strong Economy: 1,040,000 - 600,000 = 440,000 To maximize total firm wealth, Olde Ple should invest in the project with the highest total firm wealth. In this case, it would be Project Formal shoes, which has a higher total firm wealth in both scenarios. To maximize shareholder wealth, Olde Ple should invest in the project that provides a positive wealth available to shareholders. In this case, it would be Project Formal shoes in the strong economy scenario, which has a wealth available to shareholders of 310,000.
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Which of the following is usually an effect of an embargo?
A. Prices fall because consumers have more options
B. Prices rise because consumers have fewer options
C. Countries benefit because open trade is encouraged
D. Smaller countries give in to the demands of larger countries
Answer: b
Explanation:
Answer: Correct option is B
Price rise because consumers have more options
Explanation: Lack of competition drives up INCREASE in the prices for consumers. In a price of increase for such product such as drugs. As fewer large players have controlled more of the market, mark-ups have tripled increase the price, and consumer has a few options. Families are paying higher prices for necessities things like prescription drugs, hearing aids, and internet service. Prohibited for such product so that's why the price will rise in this condition consumer have fewer option.
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in the island of microtania, the marginal propensity to consume is 0.80. the government of microtania is considering a proposal to spend $10 million to upgrade its roads and bridges. how much in aggregate expenditures will this spending generate for the economy? $8 million $10 million $50 million none; government spending does not affect aggregate expenditures.
The marginal propensity to consume (MPC) is the portion of additional income that people consume rather than save. In this case, if the MPC in Microtania is 0.80, it means that for every additional dollar earned, 80 cents will be spent on consumption.
Now, if the government spends $10 million to upgrade its roads and bridges, it will generate additional income for the firms that are involved in the project. As these firms receive the $10 million, they will spend a portion of it on wages, supplies, and other expenses, which will generate additional income for other firms. This chain reaction of spending continues until the entire $10 million is spent.
The total amount of aggregate expenditures generated by the government spending can be calculated by dividing the initial spending by the MPC. Thus, in this case, the total amount of aggregate expenditures generated will be $10 million / 0.80 = $12.5 million. Therefore, the correct answer is none of the options provided, as the government spending of $10 million will generate $12.5 million in aggregate expenditures.
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In its first year of operations, Roma Company reports the following. Earned revenues of $57,000 ($49,000 cash received from customers). Incurred expenses of $31,500 ($24,450 cash paid toward them). Prepaid $9,750 cash for costs that will not be expensed until next year.Compute the company's first year net income under both thecash basis and the accrual basis of accounting.
Answer:
Computation of expenses under Cash basis
Particulars Amount$
Expenses paid $24,450
Add: Prepaid expenses paid $9,750
Total expenses paid $34,200
Computation of the Net Income
Particulars Cash basis Accrual basis
Revenue $49,000 $57,000
Less: Expenses $34,200 $24,450
Net Income $14,800 $32,550
3. Businesses not associated with the government are referred to as what type of jobs?
a. Public Sector
b. For Profit Sector
C. Private Sector
d. None of the above
Answer:
Private Sector
Explanation:
I'm fairly confident this is it, but I'm not too sure. Sorry to disappoint
Why is compound interest more advantageous than simple interest?.
Explanation:
Compound interest makes a sum of money grow at a faster rate than simple interest, because in addition to earning returns on the money you invest, you also earn returns on those returns at the end of every compounding period, which could be daily, monthly, quarterly or annually.
1. Do you believe E-sports will continue to grow in the future? Why or why not?
Answer: I don’t really know but I think it will still be popular and lots of people will still play no matter what
Answer:
In terms of video games, yes. Because, everyone can play videogames, but not everyone can compete in physical sports.
Explanation:
I don't need to give an explanation since it's my opinion. So don't report this answer please...
a sales associate receives a binder deposit from a prospective buyer on thursday morning. later that same day, the associate gives the binder deposit to his broker. by the end of business on what day of the week must the broker deposit the funds into her escrow account?
The broker is required to deposit the funds into her escrow account on Tuesday of each week.
If the sales associate receives escrow funds on a Tuesday, when must the broker deposit them?By Tuesday's end of business, the broker must put the money in the escrow account. True: The rent deposit was received on Thursday by a sales associate, who has three business days to deliver it. The first day is Thursday, the second day is Monday, and the third day is Tuesday.
A listing agreement should be terminated for which of the following reasons?According to real property law, there are three certain ways to end a listing agreement: the broker or seller's death, insanity, or bankruptcy. Someone with power of attorney for the seller may be able to continue the home sale, depending on the contract.
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What are two types of goods/services that lend themselves well to price competition? Discuss these goods/services and reasons why price competition works best for them.
Explanation:
The two types of goods / services where price competition works best are those classified by a market model of perfect competition and imperfect competition.
In perfect competition, there is a predominance of a homogeneous market, with the presence of many companies and without barriers to entry, where there is the possibility of free price competition, such as the food industry.
In imperfect competition, there is also the presence of many industries in the market, but there is a differentiation of products, which causes price competition but depending on the benefits, functionality and degree of differentiation of the good perceived by the consumer.
The two types of goods/services that lend themselves well to price competition are those that are classified by a market model of perfect competition and imperfect competition.
It should be noted that in perfect competition, there is a homogeneous market. Also, no one can influence the price. There's also free entry and exit.
On the other hand, in imperfect competition, there is also the presence of many industries in the market, but there is a differentiation of products, which causes price competition. Also, the producers can influence the price.
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