you buy a product because your mother uses it and she has used it for years. You have been influenced by what is known as "social influence" or "social proof."
Social influence refers to the impact that the actions, behaviors, and opinions of others have on an individual's own beliefs, attitudes, and decisions. In this case, you are influenced by your mother's usage of the product over the years. Seeing your mother as a trusted and familiar figure, her positive experience with the product creates a sense of trust and reliability for you, leading you to make the decision to purchase the product based on her influence. Social influence is a common factor in consumer behavior and can be influenced by various sources, including family, friends, celebrities, and online reviews.
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federal agencies hold roughly _____ percent of all outstanding treasury bonds.
According to data from the U.S. Treasury, federal agencies hold approximately 5 percent of all outstanding treasury bonds.
This percentage has decreased in recent years due to efforts to reduce the size of the federal government's balance sheet and transfer assets back to the private sector.
federal agencies hold roughly 13 percent of all outstanding Treasury bonds.
According to data from the U.S. Treasury, federal agencies hold approximately 5 percent of all outstanding treasury bonds.
This percentage has decreased in recent years due to efforts to reduce the size of the federal government's balance sheet and transfer assets back to the private sector. federal agencies hold roughly 13 percent of all outstanding Treasury bonds.
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When a company has a diverse workforce, which of the following is likely to
be true?
A. Wages can be decreased.
B. There is potential for discrimination.
C. The workforce will be all male.
D. HR managers will be all males.
The correct option is D. When a company has a diverse workforce, HR managers will be all males is likely to be true.
Because every team member—from the leadership to the frontline staff to mobile workers—brings their own distinct backgrounds, experiences, and viewpoints to the table, workplace diversity fosters creativity and innovation.
How does diversity affect the workplace?Productivity is strongly impacted by the greater variety of talents and abilities that come with workplace diversity. Because diverse employees have a range of talents, skills, and preferred fields of work, workplaces with greater variety typically have higher productivity.
Beyond political correctness, a diverse workforce has several advantages. Including people from all backgrounds and viewpoints can promote better decision-making, more innovation, and increased workplace engagement. Additionally, it might enhance a business's reputation and make it simpler to draw in top employees.
Thus, The right answer is D. A corporation is more likely to have all male HR managers if its workforce is diverse.
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Disadvantages of choosing a job that is extremely popular or in demand
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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what is the estimated change in the company’s net operating income if it can increase sales volume by 725 units and total sales by $2,900
The estimated change in the company's net operating income is $8,025.
To calculate the estimated change in the company's net operating income, we need to use the contribution margin ratio, which is the percentage of each sales dollar that goes toward covering fixed costs and generating profit.
Assuming a contribution margin ratio of 40%, the increase in sales volume of 725 units and total sales of $2,900 would result in an increase in contribution margin of 40% x $2,900 = $1,160.
Since the contribution margin represents the increase in net operating income for each additional unit sold, multiplying the contribution margin by the increase in sales volume of 725 units gives us a total increase in net operating income of $1,160 x 725 = $840,000.
Therefore, the estimated change in the company's net operating income is $8,025 ($840,000/ 105 units).
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Kelly has been told that her blog posts can benefit from using the journalistic pattern. Which of the following describes what this means?
a. Begin with specifics and background information that lead up to the big news.
b. Make sure that every blog posting contains information pulled from the front pages of major newspapers.
c. Emphasize the big news up front, supported with specifics and background information.
d. Make every blog posting controversial in some way to generate discussion.
The given statement 'Kelly has been told that her blog posts can benefit from using the journalistic pattern' describes the meaning by
option c. Emphasize the big news up front, supported with specifics and background information.
Using the journalistic pattern means structuring blog posts in a way that emphasizes the most important information or "big news" at the beginning of the post.
This helps to grab the reader's attention and provide a concise summary of the main point or topic of the blog post.
The big news is then supported with specific details and background information, providing context and further explanation to the readers.
This pattern helps to engage readers quickly and efficiently while still providing them with the necessary information.
By presenting the big news up front, the author aims to immediately hook the reader's interest and make them want to continue reading.
This initial statement or introduction should be concise and compelling, giving readers a clear idea of what the blog post is about
and why it is worth their time.
After establishing the big news, the author then provides specific details and background information to support and expand upon the main point.
This may include facts, statistics, examples, expert quotes, or any relevant information that adds depth and context to the topic.
The specifics and background information help to substantiate the big news and provide a comprehensive understanding for the readers.
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the knowledge and skills that can be used to create new products, attract new customers, and increase profits is called
The knowledge and skills that can be used to attract new customers is
called Marketing.
Marketing is done by most organizations to enable them have more
customers thereby increase their profit margin as a result of high sales.
It is a skill that involves convincing people of the products advantages and
durability when compared to others. It also involves gathering information
from consumers to make a better product.
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Which of the following are characteristics of a scarce resource?
Choose 1 answer:
Choose 1 answer:
(Choice A)
A
The supply of the resource exceeds the demand of the resource.
(Choice B)
B
There is a fixed quantity of the resource available but no demand for it.
(Choice C)
C
There is a demand for that resource with limited supply.
(Choice D)
D
There is limited supply of a resource with no demand for that resource.
(Choice E)
E
The resource has unlimited supply and limited demand.
There is a demand for that resource with limited supply are characteristics of a scarce resource. When the demand for a natural resource exceeds the supply, resource scarcity results, which causes the stock of those resources to decrease.
As a result of rising costs that make the demand resource less accessible to those who are least well-off, this might result in unsustainable supply growth and an increase in inequality. When there aren't enough resources to meet everyone's needs, there is scarce resource. Oil is among the most well-known instances of how resource scarcity affects the United States. Local gas prices will surely climb when oil prices around the world do.
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cuanto dura un partido de futbol salA?
La duración del juego es de 90 minutos, con cambio de extremos y un intervalo no mayor de 15 minutos después de los 45 minutos. El árbitro puede tener en cuenta el tiempo perdido en cada mitad. Una vez finalizado el partido, el equipo que marca más goles (el número de veces que el balón entra en la portería) es declarado ganador.
Espero que esto te ayude ❤️Answer:
Un partido de fútbol sala dura 40 minutos dividido en dos tiempos de 20 minutos cada uno.
Explanation:
Whether risk is present in employment
Answer:
Step by step explanation
How many millions are there in 93 601 008?
Answer:
There are 93 millions in 93,601,008.
Answer:
93 million in 93,601,008
Explanation:
Hope this helps have a wonderful day! <3
The US government faces the same risk of bankruptcy as any American family who has budget deficits year after year. True
False.
The given statement, "The US government faces the same risk of bankruptcy as any American family who has budget deficits year after year," is false because the US government has a significantly different financial structure than a typical American family.
Unlike a family, the government has the ability to issue debt by selling bonds to investors. As a result, the government can borrow money to finance its deficits, which allows it to continue operating even if its expenses exceed its revenues in a given year.
Additionally, the US government has the power to levy taxes and control the money supply, which gives it a great deal of flexibility in managing its finances. While budget deficits can certainly have negative consequences for the government and the economy as a whole, the risk of bankruptcy is significantly lower than it is for an individual or family.
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hey yalll how yall day goin
Hey y'all! How is your day going? This is a friendly greeting used to ask someone how their day is going. Y'all is short for "you all" and is used to address multiple people.
What is address?Address is a geographical location that is associated with a particular building, residence, or other place of interest. It is typically composed of a street number, street name, city, state, and postal code. An address can also include additional details such as a unit or apartment number, floor level, or suite number. Addresses are used to identify and locate individuals, businesses, and other entities.
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Culinary Solutions Inc. manufactures cooking and baking equipment and has its base in the country of Vandevar. It has approximately 300 stores across the country and is already active in three foreign countries. It attempts to establish itself in the country of Balalaika, and uses its low-cost strategy to do so. However, due to the additional costs associated with training, coordinating across geographic distances, and other costs associated with doing business in an unfamiliar cultural and economic environment, Culinary Solutions Inc. incurs huge financial losses in Balalaika. In this scenario, Culinary Solutions Inc.'s failure to establish itself successfully in Balalaika occurs most likely because
you expect whirlpool corporation (whr) to have earnings per share of $6.10 over the coming year. if whirlpool stock is currently trading at $87.00 per share, then whirlpool's p/e ratio is closest to: group of answer choices
Based on the information provided, we can calculate Whirlpool's P/E ratio using the formula P/E ratio = Price per share / Earnings per share.
Using the expected earnings per share of $6.10 and the current stock price of $87.00 per share, we get a P/E ratio of approximately 14.26.
Therefore, the closest answer choice would be 14.
The P/E ratio is an important metric used by investors to determine the relative value of a company's stock. A high P/E ratio can indicate that the market has high expectations for a company's future earnings potential, while a low P/E ratio may suggest that a company is undervalued or facing challenges.
In the case of Whirlpool, a P/E ratio of 14.26 suggests that the market is reasonably optimistic about the company's future earnings prospects, but not excessively so. However, it is worth noting that the P/E ratio is just one of many factors that investors should consider when evaluating a stock.
Other factors such as the company's financial health, competitive position, and industry trends can also have a significant impact on its performance over time.
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If you pick up a rider for an Uber X trip, how
do you determine the route?
Answer: Go into the app, then there should be a map button or route button. Click on it and then press route.
Explanation:
Read the following descriptions. Decide who demonstrates good habits and attitudes.
Michael likes his job. He decides to take a few finance classes so that he becomes better at his job. This will also help in case he wants to transfer to a new position in the same company.
Bryan thinks he has the best job. He thinks he is already doing the best he can and doesn't do anything to improve his skills.
Answer:
Michael demonstrates good habits and attitude
Explanation:
Michael likes his job and takes the initiative to do better so he can get a new position,however Bryan is very cocky and doesn't try to get better.
Sales of cases of bottled water are up 7% from last year. You sold 900 cases of bottled water last year. Based on current percentage demand trends, what would the forecast be for total sales of cases of bottled water in 3 years.
Answer:
1,180 cases
Explanation:
The applicable formula in this case is the formula for calculating future value.
A = P x ( 1 + r)^n
where A is the number of cases after 3 years
P is the number of case sold this year
r is percentage increase: 7 %
n is the number of periods : 3 years
Number of cases sold this year = 900 Plus 7% of 900
=107% x 900
=1.07 x 900
=963
A = 963 x ( 1 +7/100)^3
A= 963 x( 1.07 )^3
A =963 x 1.225043
A =1,179.716
A= 1,180 cases
Number of cases = 1,180
FactSet’s Ownership database uses which sources: 13F filings Proxies S793 documents All of the above
FactSet's Ownership database provides ownership information on publically traded firms and their shareholders. This information is beneficial for different stakeholders, such as financial analysts, institutional investors, and regulators. FactSet obtains ownership information from various sources, including 13F filings, proxies, and S793 documents.
Firstly, 13F filings are reports that institutional investors must file with the Securities and Exchange Commission (SEC) at the end of every quarter. These reports disclose a list of the institutional investors’ stock holdings and other securities worth over $100 million. FactSet uses this data to supplement its Ownership database.
Secondly, FactSet's Ownership database relies on proxies. A proxy is a document that allows a person to act on behalf of another person. In this case, FactSet uses the proxy documents of publically traded firms to gather ownership information about their shareholders. The Ownership database uses the information to track the ownership structure of the companies and their major stakeholders.
Lastly, FactSet obtains ownership data from S793 documents. S793 documents are reports that institutional investors must file when they acquire 5% or more of the shares of a publically traded firm. This information is vital as it gives insights into the key shareholders and their influence on the company's decision-making process.
In conclusion, FactSet's Ownership database is an essential resource that provides ownership information on publically traded firms. The database relies on various sources, including 13F filings, proxies, and S793 documents, to provide this information. These sources ensure that FactSet's Ownership database provides comprehensive and accurate ownership information for different stakeholders.
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A change of state of matter is an example of a/an
A. chemical change
B. chemical reaction
C. exothermic reaction
D. physical change
Answer:
D.Physical Change
Explanation:
Physical changes alter the size, shape, form or basically the matter state of a material....& they are reversible.
So over here, Changes of state are physical changes in matter coz they are reversible changes that do not change matter's chemical form or chemical properties.
For example, Ice- even though it changes to water when it melts, it can still change back to ice when it freezes. so the change is reversible.
If you plan to take money out of the bank frequently, what type of account should you get? A. A savings account B. A checking account C. An interest account D. An investment account Please select the best answer from the choices provided A B C D Mark this and return
If you plan to take money out of the bank frequently, the best type of account to get is a checking account. Option B.
A checking account is designed for everyday transactions and typically offers easy access to funds through methods such as ATM withdrawals, debit card transactions, and online bill payments.
This type of account also usually has lower fees and fewer restrictions on the number of transactions you can make compared to a savings account.
A checking account is the best choice for frequent withdrawals and everyday transactions, while a savings account, interest account, and investment account are better suited for different financial goals and objectives.
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When considering marginal revenue versus marginal costs, marketers must ensure that.
It should be noted that when considering marginal revenue versus marginal costs, marketers must ensure that marginal revenue exceeds marginal costs.
What is marginal revenue and marginal costs?The marginal cost of production serves as the change in total cost that is bern incured as a result of making or producing one additional item.
Marginal revenue (MR) on the other hand serves as the incremental entity.
However, In equilibrium, marginal revenue equals marginal costs.
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list the two things the government does that fall under fiscal policy. (A.p.e.x.)
Explanation:
These two policies are combined in numerous ways to influence a country's economic situation.
Fiscal policy, together with monetary policy handled by central banks, is the primary means through which governments influence a country's economy. The two primary elements of fiscal policy are income taxes and government expenditures.
The account of ABC Corp. prepared a statement of affairs. Total assets which there are no claims or liens are expected to produce P2,100,000. Unsecured claims of all classes totaled to P3,150,000.
The following are claims deemed outstanding:
Accrued salaries. P45,000
Unrecorded note for P30,000, on which P1,800 of interest has accrued
A note for P90,000 secured by P120,000 receivable, estimated to be 60% collectible
A P45,000 note on which P900 interest has accrued with a property having book value of P30,000 and a market value of P54,000 is pledged to guarantee payment of principal and interest.
Unpaid income taxes of P105,000.
What is the amount realized by partially secured creditors?
Group of answer choices
P72,000
P83,700
P90,000
P83,160
So, the amount realized by partially secured creditors is -$6,000.
The amount realized by partially secured creditors can be calculated as follows:
Secured claims that are expected to be collected in full:
P90,000 secured by P120,000 receivable (60% collectible) = P90,000 x 60% = P54,000
P45,000 note secured by P30,000 property = P45,000
Unsecured claims that are expected to be collected in full:
Accrued salaries = P45,000
Unrecorded note for P30,000 (100% collectible) = P30,000
Unsecured claims that are partially collectible:
P105,000 unpaid income taxes = P105,000
The amount realized by partially secured creditors can be calculated as follows:
P54,000 secured claims + P45,000 unsecured claims = P99,000
P99,000 - P105,000 = -$6,000
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Balance sheet accounts for Joyner Company contained the following amounts at the end of Years 1 and 2 . The company's income statement for Year 2 follows:Equipment that had cost 40,000 and on which there was accumulated depreciation of 530,0 X 0 was sold during Year 2 for:Equipment that had cost 40,000 and on which there was accumulated depreciation of 30,000 was sold during Year 2 for $18,000. Cush dividends totaling 15,000 were declared and paid during Year 2 .Required:
(a) Using the indirect method, compute the net cash provided by operating activities for Year 2 .
1.Joyner Company
Statement of Cash flows
For Year 2
Particulars Amount ($) Calculation
Cash flows derived from operating activities:
Net income = 56,000
Add: Depreciation expense charged 42,000 $132,000 - $120,000 + $30,000
Less: profit on sale of equipment = 8,000
Less: Increase in accounts receivable amounts to = 80,000
Less: Increase in inventories= 50,000
Add: Decrease in prepaid expense amount= 7,000
Add: Increase in accounts payable= 60,000
Less: Decrease in accrued liabilities 10,000
Add: Increase in income tax payable 3,000
Net cash provided by operating activities (A) amounts to= 20,000
Cash flows derived from investing activities:
Cash paid for purchase of property, plant and equipment amounts= (150,000) $400,000 - $510,000 - $40,000
Add: Cash received from sale of equipment 18,000
Less: Loan given to Hymans Company 40,000
Net cash used by the investing activities (B)= (172,000)
Cash flows derived from financing activities:
Cash paid for dividends (15,000) $124,000 - $83,000 - $56,000
Add: Cash received from issuance of stock amounts to = 30,000
Add: Cash received from issuance of bonds = 120,000
Net cash received by financing activities (C) = 135,000
Net decrease in cash and cash equivalents (D = A + B + C) (17,000)
Add: Cash and cash equivalents at beginning of period 21,000
Cash and cash equivalents at end of period 4,000
2.Free cash flow = Net cash received by operating activities - Capital expenditures - Dividends
Free cash flow = $20,000 - $150,000 - $15,000
Free cash flow = ($145,000)
What Is Cash Flow?
The term cash flow refers to the net amount of cash and cash equivalents being transferred in and out of a company. Cash received represents inflows, while money spent represents outflows.
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Liz Mulig earns 52,000 per year as a philosophy professor. She receives a raise of 2.5% in a year in which CPI increases by 3.8%. ignoring taxes, find the effect of the two increases on her purchasing power. showwork
Answer:
She lost $754.05.
Explanation:
Giving the following information:
Liz Mulig earns 52,000 per year as a philosophy professor. She receives a raise of 2.5% in a year in which CPI increases by 3.8%.
The rise in her salary allows her to increase her purchasing power. On the contrary, inflation decreases purchasing power. We need to calculate the differences between both effects and determine whether she can buy more or less.
Increase in salary= 52,000*1.025= $53,300
Inflation effect= 52,000/(1-0.038)= $54,054.05
To maintain her purchasing power, now, she needs to earn $54,054.05.
She lost $754.05.
consider a stock with a 50 percent probability of zero net earnings and a 50 percent probability of net earnings equal to $20 per share each year continuously in the future. furthermore, assume that people are risk averse. that is, they will have to be compensated for uncertainty accompanying variation in their future wealth. if the interest rate were 5 percent, how much would people be willing to pay for a share of this stock?
People would be willing to pay $600 for a share of this stock given the probabilities, risk aversion, and interest rate.
The probability of zero net earnings and net earnings of $20 per share each year leads to an expected value of $10 per share. However, because people are risk averse, they require compensation for the variation in their future wealth. This compensation is known as the risk premium.
To calculate the risk premium, we need to look at the variation in future wealth. The standard deviation of the future wealth of the stock is $10, meaning that it can either be $0 or $20, leading to a variation of $10.
Using the formula for the risk premium, which is the product of the standard deviation and the coefficient of risk aversion, we can calculate the risk premium as follows:
Risk premium = standard deviation x coefficient of risk aversion
Assuming a coefficient of risk aversion of 2 (a common value used in finance), the risk premium would be $20.
Therefore, the price that people would be willing to pay for a share of this stock is the expected value plus the risk premium, which equals $30 ($10 expected value + $20 risk premium).
Given an interest rate of 5%, the price that people would be willing to pay for a share of this stock would be equal to the present value of $30. This can be calculated using the formula for present value, which is the future value divided by (1 + interest rate) to the power of the number of periods. If we assume that the future earnings are perpetual, the present value would be $600 ($30 / 0.05).
Therefore, people would be willing to pay $600 for a share of this stock given the probabilities, risk aversion, and interest rate.
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Why is the fed often referred to as a "lender of last resort," or the last lender to turn to in a crisis?.
Answer:
It offers banks financial protection to keep consumers from panicking.
Explanation:
A lender of last resort is the organization in a business system that serves as the provider of liquidity to a business company which finds itself incapable to achieve enough liquidity in the interbank lending market and other facilities or sources have been consumed.
Can you give me brainliest please?
Answer:
It offers banks financial protection to keep consumers from panicking.
Explanation:
E16-4. On January 1.2013, when its $30 par value common stock was selling for $80 per share, Plato Corp. issued $10,000,000 of 8% convertible debentures due in 20 years. The conversion option allowed the holder of each $1000 bond to convert the bond into five shares of the coporation's common stock. The debentures were issued for $10,800,000. The present value of the bond payments at the time of issuance was $8,500,000, and the corporation believe the differnece between the present value and the amount paid is attributable to the conversion feature. On January 1, 2014, the corporation's $30 par value common stock was split 2 for 1, and conversion rate for the bonds was adjusted accordingly. On January 1, 2015, when the corporation's $15 par value common stock was selling for $135 per share, holders of 30% of the convertible debentures exercised their conversion options. The corporation uses a straight line method for amortizating any discounts or premiums.Instructions(a) Prepare in general journal form the entry to record the original issuance of the convertible debentures(b) Prepare in general journal form the entry to record the exercise of the conversion option, using the book value method. Show supporting computation in good form.
Answer:
A. Dr Cash Account $10,800,000
Cr To Bonds Payable $10,000,000
Cr To Premium Payable $800,000
B.Dr Bonds Payable account $3,000,000
Dr Premium on bonds payable Debited $2,700,000
Cr To Common Stock $7,500
Cr Additional paid in capital $5,692,500
Explanation:
(a) Preparation of the journal entry to record the original issuance of the convertible debentures
Dr Cash Account $10,800,000
Cr To Bonds Payable $10,000,000
Cr To Premium Payable $800,000
($10,000,000*8/100=$800,000)
(Being issue of share on convertible debenture)
b.Preparation of the journal entry to record the exercise of the conversion option, using the book value method
Dr Bonds Payable account $3,000,000
Dr Premium on bonds payable Debited $2,700,000
Cr To Common Stock $7,500
Cr Additional paid in capital$5,692,500
($3,000,000+$2,700,000-$7,500)
(Being maintain the record of outstanding conversation of debenture)
Calculation for for BONDS CONVERTED
First step is to calculate the amortization for 2013
Amortization for 2013=$10,000,000/20
Amortization for 2013=$500,000
Second step is to calculate the amortization for 2014
Amortization for 2014=$10,000,000/20
Amortization for 2014=$500,000
Third step is to Calculate the premium on bonds payable
Premium on bonds payable=$10,000,000−($500,000+$500,000)
Premium on bonds payable=$9,000,000
Now let calculate the bonds converted
Bonds converted=$9,000,000×30/100
Bonds converted=$2,700,000
Calculation for COMMON STOCK
First step is to calculate the number of bonds
Number of bonds=$10,000,000/1000
Number of bonds=10,000
Second step is to calculate Price for the bond
Price for the bond=10,000×5
Price for the bond=50,000
Third step is to Calculate for Stock Split
Stock Split=50,000/2
Stock Split=25,000
Now let calculate the common stock
Common stock=25,000×30/100
Common stock=7,500
Calculation for BONDS PAYABLE
Bonds Payable=10,000,000×30/100
Bonds Payable=3,000,000
Answer:
my own answer is 7500x30=225000
Explain why circulation and ratings system determine how much money different advertisements costs to run
The reason why circulation and rating systems measured the number of money should be described below.
Circulation and rating systems should be used to measure the advertisement rates by presenting the amount of information i.e. getting out and getting noticed by customers. The advertising system should be works this way since more and more customers should be more opt to watch these ads due to this it result more sales for producers.
This table shows Lucas’s budget from last month. He also included his actual expenses after the month ended. Which of these changes should Lucas consider in next month’s budget? Check all that apply. less for income less for food more for discretionary spending more for income less for discretionary spending
Answer:
Less for income
Less for food
less for discretionary spending
Explanation:
Luca has prepared the budget for the month. He has included actual expenses in the budget to compare the budget with actual expenses. He has used flexed budgeting technique to incorporate his savings and expenses. He should keep less income, less for food and less for discretionary expenses in the new budget.
Answer:
A: less for income
B: less for food
E: less for discretionary spending
Explanation:
In his new budget he needs to do less for income, less for food, and less for discretionary spending. He needs less for income because in his budget it assumes he makes 400$ a month, however this month he made 375$. He needs to cut down on food an discretionary spending because he is spending too much for the amount he makes.