You are buying zucchini at $1.20 a pound, but you must trim 12% of it away before you can use it. How much would the cleaned zucchini cost in a bread recipe that calls for 7 ounces? $4.375
Trades in the British pound gain from financial news stories in two ways. While the second shows higher liquidity, the first is a clear trend. The timing of financial news might vary, but financial firms and governments often disseminate a large amount of material on a regular basis. Most monthly economic figures from the United Kingdom are released between two and one in the morning. and 4:30 a.m. This is a fantastic time to trade because it is Eastern Time in the United States. Announcements of the interest rate by the central bank, which typically occur at predetermined intervals, also have a significant impact on exchange rates. The duration of trading sessions and price movements on the stock market can have a big impact on the British pound.
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Accounts used to accumulate information from one fiscal period to the next.a.temporary accountsb.permanent accountsc.closing entriesd.adjusting entries
Accounts used to accumulate information from one fiscal period to the next are permanent accounts.
Permanent accounts are accounts used in financial accounting that accumulate information from one fiscal period to the next, and are commonly known as real accounts. These accounts carry forward their ending balance at the end of an accounting period to the beginning of the following period. Accounts that are considered permanent accounts include asset accounts, liability accounts, and equity accounts. Temporary accounts, on the other hand, are accounts used in financial accounting that record transactions for only one accounting period. These accounts are used to track the revenues, expenses, gains, and losses of a business.
Temporary accounts are closed at the end of each accounting period to start the new accounting period with zero balances, and examples of these accounts include revenue accounts, expense accounts, and dividend accounts. Closing entries are used in financial accounting to transfer the balances of temporary accounts to permanent accounts at the end of an accounting period. Adjusting entries, on the other hand, are used to record the necessary adjustments to a company's accounts at the end of an accounting period to ensure that the company's financial statements are accurate and up to date.
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Please give an example of the institutional difference between the
Anglo-Saxon model and the European model, and discuss how the
difference affects the economic performance of these two models.
One institutional difference between the Anglo-Saxon model and the European model is the approach to employment protection and labor market flexibility.
In the Anglo-Saxon model, there is generally a more flexible labor market with fewer employment protections and regulations. The emphasis is on individual employment contracts, lower levels of unionization, and easier hiring and firing practices. Employers have greater freedom to adjust their workforce according to market conditions. The impact of these institutional differences on economic performance can be debated.
The flexibility of the Anglo-Saxon model may lead to more dynamic and competitive labor markets, enabling faster adaptation to changing market conditions and fostering innovation. It can attract investment and encourage entrepreneurial activity. However, critics argue that this model can also result in higher income inequality, job insecurity, and lower social protections.In contrast, the European model's emphasis on employment protections and labor market stability may provide workers with a sense of security and promote social cohesion.
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According to the Classical growth model, an economy that increases its saving will grow:
Slowly because consumption and aggregate demand will be reduced.
Quickly since the increase in saving will permit more rapid technological progress.
Slowly because interest rates will fall, causing investment to decline.
Quickly since the increase in saving will permit greater investment.
According to the classical growth model, an economy that increases its saving will grow quickly since the increase in saving will permit greater investment. Option d is correct.
According to the Classical growth model, output rises as the amount of capital increases. If an economy saves a higher percentage of its income, it can create more capital goods in the future, resulting in a larger GDP.
This is due to the fact that if people save more of their income, there will be less consumption and more investment, allowing for the creation of more capital. As a result, the economy can grow more quickly.
An increase in savings will result in a higher amount of investment, which will result in a higher GDP and economic growth. Therefore, an economy that increases its saving will grow quickly since the increase in saving will permit greater investment. Thus, the correct answer is Quickly since the increase in saving will permit greater investment.
Therefore, d is correct.
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Do you agree or disagree that world history revolves around money? Why or why not?
Answer:
I agree
Explanation:
Battles and soldiers during the world wars both 1 and 2 were surrounded by money to me because for instance when Hitler was around he was only there for the money and if it wasnt bc of that it was bc of the aryan race
but thats besides the fact that i believe that history is a mixed up feelng of what happened in that time era
hope this helps
michelle works in retail and cant decide what products to include i the stores front window display what is the first step she should take to solve this problem
The available options are:
A. List the options.
B. Evaluate the decision/choice.
C. State the problem.
D. Determine the pros and cons.
Answer:
State the problem.
Explanation:
In a situation like this, it is expected that the first step to take to solve the problem is that Michelle should understand the reason, she wants to put the product on the window display. This includes knowing what she will benefit by placing the product on the window display and which product she wants to display. This process which is the first step in the problem-solving technique is known as STATE THE PROBLEM.
Hence, the right answer is State the Problem.
According to the scenario, what is the greatest economic challenge that Country D is facing? unemployment stagflation high production high wages.
Based on the scenario described, Country D is facing an economic challenge known as Stagflation.
Stagflation:
Refers to when the economy has grown stagnant. Refers to a situation where GDP is decreasing yet inflation is rising.Country D is facing a situation where prices are rising which means that inflation is rising. At the same time, wages are not rising and GDP is falling which points to a stagnant economy.
In conclusion, Country D is facing stagflation.
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Answer:
stagflation
Explanation:
I took the test mate
Alton had $725 for Medicare, $3000 for state income tax, and $3100 for
Social Security deducted from his pay last year. How much did Alton have
deducted from his pay for FICA last year?
OA. $3825, because FICA consists of Medicare and Social Security
OB. $3725, because FICA consists of Medicare and Social Security
OC. $3725, because FICA consists of Medicare and state income tax
OD. $3825, because FICA consists of Medicare and state income tax
← PREVIOU
SUBMIT
The amount Alton have deducted from his pay is B. $3725, because FICA consists of Medicare and Social Security.
How to Determine the Amount Deducted from FICA in a year?The correct answer is OB. $3725, since FICA which is the Federal Insurance Contributions Act, is composed of Medicare and Social Security deductions.
The total deductions mentioned in the question include $725 for Medicare and $3100 for Social Security, making a combined total of $3725 for FICA deductions. State income tax is separate from FICA and is not included in the calculation of FICA deductions.
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transactional leaders share a vision around which people can gather, express believe in employees, and trust in their abilities. group of answer choices true false
According to the given statement, the answer is "true." Transactional leaders are known for their focus on achieving specific goals and objectives, and they typically do so by using a rewards and punishment system to motivate their employees. However, they also recognize the importance of having a shared vision that can inspire and motivate their team.
By communicating this vision effectively and expressing belief in their employees, transactional leaders can build a strong sense of trust and commitment among their team members. This can lead to higher levels of engagement, productivity, and overall success for the organization.
Therefore, it is important for transactional leaders to have a clear and compelling vision that aligns with the goals of the organization and the needs of its employees.
The statement "transactional leaders share a vision around which people can gather, express belief in employees, and trust in their abilities" is false.
Transactional leaders primarily focus on task completion, performance, and rewards or consequences for meeting or failing to meet expectations. They are not known for sharing a vision or inspiring employees. On the other hand, transformational leaders are the ones who share a vision, express belief in employees, and trust in their abilities, inspiring and motivating their team to achieve higher levels of performance.
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in an economy with constant velocity, a real gross domestic product growth rate of 2 percent, an ex ante real interest rate of 3 percent, and a money supply that is expected to grow at 7 percent, the nominal interest rate would be percent.
The nominal interest rate would be 12%. Nominal interest rate is the percentage rate of interest that is quoted on a loan or deposit, without adjusting for inflation.
Nominal interest rate is the interest rate as it is stated, without any adjustment for the effect of inflation on the purchasing power of the money that will be received. It is the rate of interest that borrowers pay on loans and the rate of interest that depositors receive on savings and other deposit accounts.
To determine the nominal interest rate you can use this formula:
Nominal interest rate = Real GDP growth rate + Ex ante real interest rate + Expected growth rate of money supply
In this case:
Nominal interest rate = 2 percent + 3 percent + 7 percent
Nominal interest rate = 12%
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Evaluation of Projects or ME Alternatives based on different Economic Worth Analysis: PW analysis of one project Choose... AW analysis of one project Choose... ROR analysis of one project Choose... ROR analysis of two alternatives Choose... PW analysis of ME Alternatives Choose... Machines that have the following costs are under consideration for a robotized welding process. Using an intorn determine which altern " 4 "
Economic worth analysis is the process of analyzing and evaluating the costs and benefits of a project or investment. In this question, we are given a set of machines with different costs, and we need to use the internal rate of return (intorn) to determine which machine is the best alternative for a robotized welding process. The intorn is a measure of the profitability of an investment and is calculated by finding the discount rate that makes the net present value (NPV) of the investment equal to zero. Here are the answers to the given questions:
PW analysis of one project: In present worth (PW) analysis, we calculate the net present value (NPV) of the project by discounting all future cash flows to the present using a chosen interest rate. The project with the highest NPV is considered the best alternative. Therefore, we cannot provide an answer without the cash flows of the project.
AW analysis of one project: In annual worth (AW) analysis, we calculate the equivalent uniform annual cost (EUAC) of the project by dividing the NPV by the annuity factor. The project with the lowest EUAC is considered the best alternative. Therefore, we cannot provide an answer without the cash flows of the project.
ROR analysis of one project: In rate of return (ROR) analysis, we calculate the internal rate of return (IRR) of the project by finding the discount rate that makes the NPV of the project equal to zero. The project with the highest IRR is considered the best alternative. Therefore, we cannot provide an answer without the cash flows of the project.
ROR analysis of two alternatives: In this case, we can compare the IRRs of two alternatives to determine which one is better. The alternative with the higher IRR is considered the best alternative.
PW analysis of ME alternatives: In this case, we need to calculate the NPV of each alternative and choose the one with the highest NPV.
Using an intorn determine which alternative: We cannot provide an answer without the costs and cash flows of the alternatives. However, we can use the intorn to calculate the IRR of each alternative and choose the one with the highest IRR. The machine with the highest IRR is considered the best alternative.
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_______are independent businesses that do not own the products they sell. They act as intermediaries to brinna
buyers and sellers together
Agents and brokers
Wholesalers
Retailers
Final consumers
Answer:
Agents and brokers
Explanation:
Agents and brokers connect buyers and sellers. They are contracted by either sellers or buyers to help them increase sales or find items to buy. Agents and brokers act on behalf of their clients.
Wholesalers and retailers take ownership of the goods they sell. They first buy the goods, which gives them title to the goods before selling to retailers or consumers. Agent and brokers do not buy goods. They look for buyers or sellers for their clients' merchandise.
Your company makes Caffeine Cola, but the market for it disappears overnight when caffeine is discovered to be toxic. The next day, you begin producing Cholesterol Cola, a new product. You have experienced
If the next day, you begin producing Cholesterol Cola, a new product. You have experienced: Reactive change.
What is Reactive change?Reactive change occur when a company or an organization make changes in their product so as to handle unexpected or unforeseen events or situation that occurred.
Based on the given scenario you have experienced reactive change because you implemented a new change to your product that was found toxic without delay.
Therefore you have experienced: Reactive change.
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This type of evacuation is used in case of tornados and other severe storms. a. Shelter-in-place evacuation b. Building evacuation c. Vertical evacuation d. Horizontal evacuation e. Local evacuation
This type of evacuation is used in case of tornados and other severe storms. a. Shelter-in-place evacuation.
Shelter in place approach locating a secure region interior and staying there till you're given an “all clear” or instructed to evacuate. You can be requested to safe haven in region due to an lively shooter; tornado; or chemical, radiological, or different hazard. To lessen the fitness influences following herbal disasters, terrific evacuations shelters are vital to offer brief settlements to internally displaced people. Ultimately, evacuation shelters are supposed to lessen damage and make sure the fitness of the population.
Thus, the correct option is a.
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The type of evacuation used in case of tornados and other severe storms is typically a local evacuation. Option E
Local evacuation involves moving people to a safe location nearby, such as a designated shelter or community center. The goal of a local evacuation is to get people out of harm's way quickly and efficiently.
This type of evacuation may be necessary when severe weather is approaching or when a tornado warning has been issued. In some cases, local officials may issue a mandatory evacuation order, requiring residents to leave their homes and seek shelter in a safe location.
During a local evacuation, it's important for residents to follow all instructions from emergency officials and to take any necessary precautions to protect themselves and their families. This may include gathering emergency supplies, securing their homes, and evacuating quickly and safely.
While local evacuation may not always be required during severe storms, it's important for residents to be prepared and to have a plan in place in case an evacuation order is issued. By staying informed and taking proactive steps to stay safe, residents can help ensure that they and their loved ones are protected during severe weather events. Option E is the correct answer.
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Net Income ($82)
Charges in Working Capital $100
FCFO
$[?]
$150
Fill in the blanks
on this financial
statement.
Disposal of PPE
Purchase of PPE
FCFI
Issuance of Stock
($27)
$[ ]
$540
Dividend Payment ($110)
Issuance of Debt
$68
Debt Repayment ($25)
Interest Expense
($75)
FCFF sĩ
Total FCF $[
FCFO = $182
FCFI = $216
FCFF = $ -82
Total FCF = $583
What are the above terminologies and how did we arrive at the answers?FCFO - Free Cahs Flow to Firm is derived by adding Net Income to Charges in Working Captial
= $82 + $100
= $182
FCFI - Free Cash flow to Firm (Investing
= Disposal of PPE - Purchase of PPE + Issuance of Debt + Debut repayment
= 150 - 27 + 68 + 25
= $216
FCFF = Free Cash Flow to Firm
= Dividend payment + Interst Exprense + FCFI
= $110 + 75 + 216
= $401
Total FCF = FCFO + FCFF
= $182 + $401
= $583
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Is eating a tomato bias?
Answer:
hindi ko po maintindihan ang tinatanong nyo
Explanation:
sa susunod po kumpletuhin nyo para masagut ko ang tanong mo
what is the average price for a super bowl ticket this year?
The price of Super Bowl tickets can vary depending on several factors, such as the location, time, and availability. However, historically, the price of Super Bowl tickets can range from a few hundred dollars to several thousand dollars.
The price of Super Bowl tickets is affected by factors such as demand Yes, that's correct. The price of Super Bowl tickets is influenced by a range of factors, including demand, supply, and external factors such as the performance of the teams, the location of the game, and even weather conditions. Demand is a significant factor that impacts the price of Super Bowl tickets. The Super Bowl is one of the most watched and anticipated sporting events in the United States, and many people are willing to pay a premium to attend the game. As a result, when demand for tickets is high, the price of tickets will increase. Conversely, if demand is low, ticket prices will likely be lower. If the supply of tickets is low, the price of tickets will be higher, as demand will likely exceed supply. External factors such as the performance of the teams, the location of the game, and weather conditions can also impact the price of Super Bowl tickets. For example, if a particularly popular team is playing in the Super Bowl, demand for tickets will likely be high, which can lead to higher prices. Similarly, if the game is being played in a particularly desirable location, such as a warm climate or a city with many attractions, ticket prices may be higher. And if the weather forecast is particularly bad, ticket prices may be lower, as some fans may decide not to attend the game.
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Susan took out a personal loan for $3,500 at an interest rate of 13% compounded monthly. She made arrangements to pay the loan off in 3 years. What will her monthly payment be? a. $99. 34 b. $105. 32 c. $117. 93 d. $156. 60 Please select the best answer from the choices provided A B C D.
The correct statement is that Susan's monthly payment for a personal loan which is to be paid off in three years will be $143.3. So, the correct from the given choices is not given above.
The computation of monthly payment can be done by calculating the annuity and then dividing it by the number of months of the duration of payment of such loan.
Calculation of monthly paymentPutting the given values into the formula for compounded annuity, the values obtained will be as, \(\rm Compounded\ Annuity= Principal(1+\dfrac{r}{n})^n^t\\\\\rm Compounded\ Annuity= 3500(1+\dfrac{0.13}{12})^1^2^ x ^3\\\\\\\rm Compounded\ Annuity= \$5158.60\)Now dividing the total compounded annuity by number of months which is given as 36 months will be calculated as, \(\rm Monthly\ Payment = \dfrac{Annuity}{Period}\\\\\\\rm Monthly\ Payment = \dfrac{5158.60}{36}\)So, the monthly payment will be, \(\rm Monthly\ Payment = \$143.29\)Hence, the correct option is not given above and the monthly compounded payment on a personal loan of $3500 for a period of 36 months will be $143.3.
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Bonnie claims single with 2 federal withholding allowances, and contributes state tax of 20% of her federal tax. Below is a copy of Bonnie's biweekly statement of earnings. Bonnie knows that her gross earnings and federal tax are correct, but she thinks that her net pay is not correct. Using the fact that Social Security is 6.2% and Medicare is 1.45% of gross pay, explain why the given net pay is not correct. Determine how the error can be corrected, and what the net pay should be.
Answer:
The given net pay is not correct because Medicare is not 1.45% of her gross pay. The Medicare should be $11.02, making the correct net pay $641.86.
Answer:
The amount of Medicare tax has been calculated incorrectly. The Medicare tax should be $11.02, not $110.20. The actual net pay should be $641.86.
Explanation:
From Ed. :)
What is demand comprised of
Click this link to view O*NET's Work Activities section for Postsecondary Education Administrators.
Note that common activities are listed toward the top, and less common activities are listed toward the bottom.
According to O*NET, what are common work activities performed by Postsecondary Education Administrators?
Check all that apply.
making decisions and solving problems
operating vehicles
communicating with supervisors, peers, or subordinates
establishing and maintaining interpersonal relationships
repairing and maintaining electronic equipment
drafting, laying out, and specifying technical devices, parts, and equipment
Answer:
BDE
Explanation:
Answer:
A C D
Explanation:
Pernell company reported lifo reserves of $150,000 and $100,000 in year 2 and year 1, respectively. The company utilized the fifo assumption for internal purposes. Based on this information, we can conclude that pernell's pretax income for the year 2 fiscal year would have been.
First-in, first-out (FIFO) inventory value would have resulted in Pernell Company's cost of goods sold (COGS) in 2016 being $50,000 lower.
The inventory value for the firm in 2016 was $50,000 more than it would have been if it had utilized the FIFO approach since it used the last-in, first-out method. Since COGS tend to rise over time, scenarios like these are frequent.First-In, First-Out ("FIFO") bases its production costs on the presumption that the oldest items in an organization's inventory have been sold first. The LIFO ("Last-In, First-Out") technique substitutes such expenses for those incurred by assuming that the most recent goods in an organization's inventory have been sold first.The Last-In, First-Out (LIFO) method is predicated on the idea that the most recent or most recent unit to enter inventory is sold first. The oldest item of inventory is supposed to be sold first according to the First-In, First-Out (FIFO) technique.Thus this is the Pernell's pretax income for the year 2.
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Type the correct answer in the box. Spell all words correctly.
Which cost is dependent on production volume?
_____ cost is dependent on production volume.
Answer:
Variable costs
Explanation:
Variable costs are dependent on production output. The variable cost of production is a constant amount per unit produced. As the volume of production and output increases, variable costs will also increase.
Answer:
Variable cost
Explanation:
What is the major difference between a nonprofit organization and a for-profit organization?.
Answer:
nonprofits have a social mission, while for-profits aim to offer products and services that are valuable and that make them a tom of money. Then they get money. and also non profits don't make a profit they just pay for themselves and their product.. 0 profit
Explanation:
Under the Electronic Fund Transfer Act, financial institutions have ____ to resolve disputes in customers' monthly statements.
Under the Electronic Fund Transfer Act, financial institutions have certain obligations to resolve disputes in customers' monthly statements.
The Electronic Fund Transfer Act (EFTA) establishes certain obligations for financial institutions when it comes to resolving disputes in customers' monthly statements. According to the Act, financial institutions are required to investigate and address customer complaints regarding unauthorized transactions, errors, or other discrepancies in their statements. This includes conducting a thorough investigation, providing provisional credit to the customer during the investigation process, and resolving the dispute within a reasonable timeframe. The Act also mandates that financial institutions provide customers with written notification of the results of the investigation and any actions taken to resolve the dispute. These provisions ensure that customers are protected and have recourse in the event of any discrepancies in their monthly statements.
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How important is money
Answer:
very important
Explanation:
money is a global income source for everyone. we all have different types but it is all still money. now say one country got rid of money and had people pay for stuff using other things. if china did that lots of different countries wouldn't be able to get stuff from there unless they had so much of that product they could just give it up.
Teen entrepreneurs in Florida find sweet
success in honey business
Why did the author MOST LIKELY conclude the article by describing future possibilities for Black Bee Honey?
because this demonstrates the danger of food deserts and the need for more honey access
because this shows how giving students ownership can help them develop new skills and goals
because this emphasizes the importance of ensuring that student businesses are successful
because this helps the reader understand how Black Bee Honey contributes to the community
The author most likely conclude the article by describing future possibilities for Black Bee Honey because this emphasizes the importance of ensuring that student businesses are successful.
What is an article?An article is a piece of writing about a particular subject that is included in a magazine, newspaper, etc. It is a nonfictional prose composition usually forming an independent part of a publication.
Teen entrepreneurs in Florida find sweet success in honey business. This statement emphasizes the importance of ensuring that student businesses are successful.
Therefore, the statement mentioned in C is correct.
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Marketers should keep track of all sources they review during secondary research, even if they do not utilize the information in their report.
True
False
True. Marketers should keep track of all sources they review during secondary research, even if they do not utilize the information in their report.
Keeping track of all sources during secondary research is important for several reasons:
1. Transparency and Credibility: By documenting all the sources reviewed, marketers can demonstrate transparency in their research process. It allows others to see the range of information considered and ensures the credibility of the research findings.
2. Accountability: Tracking sources helps marketers take responsibility for the information they use or discard. It allows for accountability in case there are any questions or concerns regarding the sources or validity of the information.
3. Verification and Validation: Keeping a record of all sources enables others to verify the information and validate the research. It allows for cross-referencing and fact-checking if needed.
4. Avoiding Duplication: Market may come across similar sources or information during different research projects. By keeping track of all sources, they can avoid duplicating efforts and refer back to previously reviewed sources when relevant.
5. Future Reference: Even if certain information is not utilized in the immediate report, it may prove valuable for future projects or as a reference point. Having a comprehensive record of sources makes it easier to retrieve and use information in the future.
Overall, tracking all sources during secondary research promotes good research practices, enhances the integrity of the findings, and facilitates transparency and accountability within the marketing field.
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Zipster is a local manufacturer of athletic shoes. Zipster has decided it wants to expand to global markets and to offer a larger selection of items. It plans to offer not just athletic shoes but also luggage and car accessories. Zipster is engaging in ______.
According to the research, Zipster is engaging in product diversification by expanding to global markets and offering a larger selection of items.
What is product diversification?It is a strategy focused on the creation of new products or services, with the aim of finding other consumer profiles with needs or desires to serve and entering new sectors in the global markets.
It is generally linked to the fact that the company has reached a stage of growth or maturity that allows it to offer a larger selection of items that, over time, tends to consolidate the corporate brand.
Therefore, we can conclude that according to the research, Zipster is engaging in product diversification by expanding to global markets and offering a larger selection of items.
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if a manufactuerer had a full range of products, in a number of different container sizes, which kind of store would the company be least likely to choose as a retialing partner
**A convenience store** would be the least likely retailing partner for a manufacturer with a full range of products in different container sizes.
Convenience stores typically focus on providing a limited selection of products that cater to immediate consumption needs. Due to their smaller store size and limited shelf space, they often prioritize fast-moving and frequently purchased items. Therefore, a manufacturer with a full range of products and varying container sizes may find it challenging to partner with a convenience store as their retailing partner. The limited space in convenience stores may not accommodate the diverse product offerings and different container sizes. Instead, manufacturers with a wide range of products and packaging options are more likely to seek retailing partners such as supermarkets, hypermarkets, or department stores that have larger store sizes and can accommodate a broader selection of products. These types of retailers typically have more extensive shelf space and a wider variety of products to offer customers.
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I own a candy store in my country. I am free to choose the products I sell and I am able to complete against other stories using innovative ideas. After a white selection of candies are various prices what type of economic system does my country most likely utilize
Answer:
The country most likely utilizes a free market economy.
Explanation:
A free market economy is characterized by the price system: in this system, prices signal economic activity in order to coordinate the forces of supply and demand in order to reach a market equilibrium.
In a free market economy, competition is stiff because firms can freely enter and exit the markets, and this also influences the price of goods and services.
Firms try to out-compete other firms by improving production processes, innovating, and lowering costs.