Option 2 is Correct. Value is created, captured, communicated, and delivered through marketing activities, institutions, and processes.
The process of developing, communicating, delivering, and trading offerings that are valuable to customers, clients, partners, and society at large collectively is known as marketing. The phrase "set of institutions" refers to a variety of instruments, procedures, strategies, and methods that we might apply in a marketing capacity.
Product, place, price, and promotion are the 4Ps of marketing, which is an organizational function. View Response. A. An organizational function and a collection of procedures for producing, disseminating, and providing value to clients that are advantageous to the company. Since marketing only ends with the actual sale of products and services, selling is always the primary goal of any marketing activity.
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Correct Question:
Marketing is the activity, set of institutions, and processes that create, capture, communicate, and ______ value. multiple choice question.
1. justify
2. deliver
3. reduce
4. replicate
What is formed by organized groups of cells with similar structures and a common purpose?.
Cells grouped together into tissues have a similar structure and cooperate to carry out a certain task. Organs are made up of many tissues. An organ system is made up of various organs working together.
What is organ system?The integumentary, muscular, respiratory, digestive, nervous, endocrine, cardiovascular, urinary, and reproductive systems are among the 11 organ systems.
Other organ systems include the lymphatic, skeletal, muscular, lymphatic-lymphatic, respiratory, and digestive-gastro-intestinal-nervous systems.
A group of organs that cooperate to carry out one or more functions is known as an organ system in biology. Each organ in a plant or animal body is composed of certain tissues and serves a specific purpose.
Muscular system and skeletal system.digestive system and muscular system.reproductive system and endocrine systemurinary system and cardiovascular system.To learn more about organ systems refer to:
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Time Value of Money Annuity Cash Flows Solve the following problems and answer the last question. Example problems can be found on the "Example-Annuity Cash Flow" tab. Create an appropriate (TVM) formula using the supplied values in the appropriate cell so Excel can calculate the answer. Calculations 1. What is the future value of a $1,000 annuity payment over five years if interest rates are 9%? Write the formula here] [Answer here] 2. What is the present value of a $800 annuity payment over six years if interest rates are 10 % ? [Write the formula here] (Answer here). 3. Assume you purchased a house on January 1, 2020 for $200000. You had made a down payment of 20% on the house and the balance was financed with a 30 year loan at 5% per annum stated APR with monthly payments to be made beginning January 1, 2020. What are your monthly [Answer here] [Write the formula here]
The future value of a $1,000 annuity payment over five years at a 9% interest rate is $5,639.87.
The present value of an $800 annuity payment over six years at a 10% interest rate is $3,791.71.
Your monthly mortgage payment for the house is $1,073.64.
Future Value of a $1,000 annuity payment over five years at 9% interest rate:
Formula: FV = P * [(1 + r)^n - 1] / r
FV = $1,000 * [(1 + 0.09)^5 - 1] / 0.09
FV = $5,639.87
Present Value of an $800 annuity payment over six years at 10% interest rate:
Formula: PV = P * [1 - (1 + r)^(-n)] / r
PV = $800 * [1 - (1 + 0.10)^(-6)] / 0.10
PV = $3,791.71
Monthly payments on a $200,000 house financed with a 30-year loan at 5% interest rate:
Formula: PMT = P * r / (1 - (1 + r)^(-n))
PMT = $200,000 * 0.05 / (1 - (1 + 0.05)^(-360))
PMT = $1,073.64
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Once a marketing campaign is executed, it should be ________________ for effectiveness.
- evaluated
- created
- engineered
- designed
Answer:
evaluated
Explanation:
To evaluate is to carefully and skillful determine the merits, benefits, significance, nature, character, or relevance of something or someone. The process of evaluation highlights the strengths of the subject matter and reveals its weaknesses.
Evaluating a marketing campaign will determine its level of success and point out areas that need improvement.
Which is a characteristic of judging approach
Answer:
Clarity and Closure
Explanation
Judgers take a planned, ordered, and precisely calibrated approach to life, developing both short- and long-term plans to assist them in achieving their objectives. For them, schedules and "to-do" lists are consoling. They dislike uncertainty and change, preferring to know what they are getting into instead.
Those that have this preference feel more in control of their surroundings. They are disciplined and resolute, seeking resolution as soon as possible to reduce stress. Judgers struggle with open-ended plans because they have a "work first-play later" mentality. Instead of addressing issues as they arise, they would prefer to devise three distinct backup plans.
Judgers take their obligations and deadlines very seriously, both in business and in life. They are quite particular.
State the various purposes that an environmental impact statement must serve.
Answer:
An environmental impact statement, under United States environmental law, is a document required by the 1969 National Environmental Policy Act to protect the environment.
Therefore, the main purpose of an environmental impact statement is to make sure that the policies in the Act is implemented.
It also lists out the various endangered species in the area on either private or government territories and how best to preserve them from extinction.
if a firm is earning negative accounting profits, it implies a. that the firm’s economic profits are necessarily positive b. that the firm’s economic profits are necessarily negative c. that the firm’s economic profits are necessarily zero d. accounting profits alone cannot determine economic profits
If a firm is earning negative accounting profits, it implies more information is needed to conclude about accounting profits.
Accounting profit is a company's net income or revenue fewer expenses. By deducting entire costs from the overall revenue or return of a business or investment, you may calculate economic profit. Businesses disclose their accounting gains to investors on their income statements as well as to the IRS for tax reporting purposes.
Because it contains all required reporting of both revenues and expenses, accounting profit is one of the main sources of information used by investors. As a result, it comprises the full cost of goods sold as well as all marketing, general and administrative, finance, and realized gain and loss costs.
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Fujita, Incorporated, has no debt outstanding and a total market value of $240,900. Earnings before interest and taxes, EBIT, are projected to be $40,000 if economic conditions are normal. If there is strong expansion in the economy, then EBIT will be 14 percent higher. If there is a recession, then EBIT will be 25 percent lower. The company is considering a $130,000 debt issue with an interest rate of 7 percent. The proceeds will be used to repurchase shares of stock. There are currently 7,300 shares outstanding. The company has a tax rate of 23 percent, a market-to-book ratio of 1.0, and the stock price remains constant. a-1. Calculate earnings per share (EPS) under each of the three economic scenarios before any debt is issued. (Do not round intermediate calculations and round your answers to 2 decimal places, e.g., 32.16.) a-2. Calculate the percentage changes in EPS when the economy expands or enters a recession. (A negative answer should be indicated by a minus sign. Do not round intermediate calculations and enter your answers as a percent rounded to 2 decimal places, e.g., 32.16.) b-1. Calculate earnings per share (EPS) under each of the three economic scenarios assuming the company goes through with recapitalization. (Do not round intermediate calculations and round your answers to 2 decimal places, e.g., 32.16.) b-2. Given the recapitalization, calculate the percentage changes in EPS when the economy expands or enters a recession. (A negative answer should be indicated by a minus sign. Do not round intermediate calculations and enter your answers as a percent rounded to 2 decimal places, e.g., 32.16.) a-1. Recession EPS a-1. Normal EPS a-1. Expansion EPS a-2. Recession percentage change in EPS a-2. Expansion percentage change in EPS b-1. Recession EPS b-1. Normal EPS b-1. Expansion EPS % % % % a-1. Recession EPS a-1. Normal EPS a-1. Expansion EPS a-2. Recession percentage change in EPS a-2. Expansion percentage change in EPS b-1. Recession EPS b-1. Normal EPS b-1. Expansion EPS b-2. Recession percentage change in EPS b-2. Expansion percentage change in EPS % %
In April, Jenkins Company used a job order cost system with overhead applied to jobs based on direct labor hours. Three jobs were worked on during the month, with Job A completed and delivered to the customer, Job B completed but not sold, and Job C started but not completed.
To determine the applied manufacturing overhead for each job, we can use the predetermined overhead rate of $15 per direct labor hour and the number of direct labor hours worked on each job. For Job A, the total direct labor hours were 490 (9,800/20), and the applied overhead is $7,350 (490 x $15). For Job B, the total direct labor hours were 390 (7,800/20), and the applied manufacturing overhead is $5,850 (390 x $15). For Job C, the total direct labor hours were 145 (2,900/20), and the applied manufacturing overhead is $2,175 (145 x $15).To calculate the balance in the manufacturing overhead account at the end of April, we need to add the applied manufacturing overhead costs for each job and subtract the actual overhead costs incurred. As we do not have information on the actual overhead costs incurred during the month, we cannot determine the balance in the manufacturing overhead account.The Work-in-Process account's balance at the end of April can be calculated by adding the total costs of the jobs in process on April 1, the direct materials used, the direct labor costs, and the applied manufacturing overhead for each job. The total cost of Job A was $21,600 ($11,900 + $1,900 + $9,800 + $7,350), and the total cost of Job B was $15,850 ($1,200 + $7,800 + $7,800 + $5,850). The cost of Job C, which is incomplete, is not included in the calculation. Therefore, the balance in the Work-in-Process account at the end of April is $37,450 ($21,600 + $15,850).
To calculate the balance in the Finished Goods account, we need to add the total cost of completed jobs to the balance in the Work-in-Process account and subtract the cost of goods sold. As Job A was completed and delivered to the customer, its total cost of $21,600 is included in the calculation. Job B was completed but not sold, so its total cost of $15,850 is not included in the calculation. Since no jobs were sold during April, the cost of goods sold is $0. Therefore, the balance in the Finished Goods account at the end of April is also $21,600.
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You have found the following historical information for the Daniela Company: Earnings are expected to grow at 12 percent for the next year. Using the company's historical average PE as a benchmark, what is the target stock price in one year
The target stock price for the Daniela Company in one year can be estimated by applying the historical average price-to-earnings (PE) ratio to the expected earnings growth rate of 12 percent.
To calculate the target stock price, we first need to determine the expected earnings growth rate for the next year. Given that the earnings are expected to grow at 12 percent, we can assume that the earnings per share (EPS) will increase by this rate.
Next, we use the historical average PE ratio as a benchmark. The PE ratio is a measure of how much investors are willing to pay for each dollar of earnings generated by the company. By multiplying the expected EPS growth rate by the historical average PE ratio, we can estimate the target stock price in one year.
For example, if the historical average PE ratio is 15 and the current EPS is $2, the estimated EPS in one year would be $2 * (1 + 12%) = $2.24. Multiplying this EPS by the historical average PE ratio of 15 gives us the target stock price of $33.60.
It's important to note that this estimation is based on historical data and assumptions, and actual stock prices can be influenced by various factors in the market.
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8) Which example explains how professional training may increase earnings?
A) An employee attends professional training, asks for a one-day transportation reimbursement, and it is added to his pay.
B) An employee neglects to complete an essay for college credit that is offered by a professional training.
C) An employee receives training that increases her capital, allowing her to apply for a higher position, which results in a raise.
D) An employee is recognized for her efforts after a professional training and given a completion certificate.
C) An employee receives training that increases her capital, allowing her to apply for a higher position, which results in a raise.
Answer: a
Explanation: An employee attends professional training, asks for a one-day transportation reimbursement, and it is added to his pay.
the s-shaped curve of a sales response function is due to:
The S-shaped curve of a sales response function is due to the fact that sales rise slowly, then rapidly, then slowly again.
In the sales response curve, the most common trend is an S-shaped curve, also known as a sigmoid curve. When sales are graphed against advertising expenditures, this curve shows the relationship between the two variables. This curve is divided into three sections: rise, maturity, and decline. The S-shaped curve of a sales response function is due to the following factors:There is an incremental increase in sales for a particular commodity as the advertising expenditure increases. When the advertising budget increases, the sales response is slow because consumers are unaware of the product and need to be informed of its features and advantages before they buy it.
The slope of the S-shaped curve is steep and rapid in the maturity stage. The sales increment response is highest at this point. When sales approach their saturation level, the slope of the curve begins to flatten, indicating a lessening incremental sales response to additional advertising expenses.
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Which of the following is part of the cost of goods or services sold for a company that paints people's homes?
A. Paint
B. Flyers to promote the company
C. A van to travel to people's homes
D. Fuel for the van
Answer:
A. Paint
Explanation:
Paint is a part of the cost of goods or services sold for a company that paints people's homes. Thus, the correct option is A). Paint.
What is the cost of goods sold?COGS stands for the Cost of Goods Sold. Cost of goods sold refers to the direct costs of producing the goods sold by a company. It is the total amount or cost that is incurred in the production of the goods. The sum of amount that a business paid as a cost directly related to the sale of products, is known as COGS.
Cost of goods sold is the total carrying value of goods sold during a particular period. This amount mainly includes the cost of the material, labor, machinery etc. that are directly used to create the good. It also includes the indirect cost such as marketing cost, distribution cost, sales cost etc.
Basically, cost of goods sold can be calculated by the given formula i.e. COGS = the starting inventory + purchases – ending inventory.
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The data on price and quantity purchased relating to a commodity for 10 months are given
below:Calculate coefficient of correlation between price and quantity.
Price and number of goods purchased are inversely correlated. Consequently, price rises as quantity rises.
What is data on price ?Pricing Data is accurate information on the costs of goods that are strikingly comparable to those being purchased. Prices are used interchangeably in this definition to refer to actual selling prices as well as suggested or prospective selling prices. Data pertinent to both primary and subcontract prices are referred to in the definition. Data may consist of specific costs, weights, addresses, names, ages, temperatures, dates, or distances, for instance. Data is a basic type of knowledge and has no meaning or use by itself. In other words, facts must be interpreted in order to have any significance. A pricing list again for new term has been sent by the Contractor to authorized buyers.
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Which should you finance first?
O your needs
O your wants
O your savings
O your investments
in my opinion, the last option. i would spell it out but it won’t let me lolz
Carl’s business insurance costs $3,000 per year. Carl paid for and purchased a 12-month insurance policy on October 1, Year 1. On October 1, Year 2, Carl’s insurance increased to $3,300 per year. A building contract Carl was working on was delayed when they had to obtain additional permitting. Because cash flow was tight, Carl delayed renewing the insurance policy. Instead of making the payment due on October 1, Year 2, Carl paid 3 months of insurance in arrears on January 1, Year 3. Carl is a cash-method taxpayer and took advantage of the 12-month rule in Year 1 for prepayments. What is Carl’s insurance expense deduction for Year 2?
Answer:
Carl's Insurance Expense Deduction for Year 2
Since he took advantage of the 12-month prepayments rule, his Year 2 Insurance deduction was deducted in Year 1.
While his deduction should have been equal to
= Annual Insurance Expense/12 x 9 = $3,300/12 x 9 = $2,475
In Year 2, it is equal to $0 since he did not make any payment for Insurance.
Explanation:
Under the cash method of accounting, two rules govern how someone can deduct prepaid expenses:
1. The General Rule
2. The 12-Month Rule
1. The General Rule
Under the general rule, you cannot deduct the full amount of an advance payment covering more than 12 months. You must deduct a portion of the payment in the year to which it applies.
Example: The General Rule.
Carl is a cash method taxpayer on a calendar year.
On October 1, 2018 Carl pays $3,600 in advance for business insurance covering three years.
Coverage begins October 1, 2018.
Coverage ends September 30, 2021.
Result:
The general rule applies.
The advance payment covers more than 12 months (36 months).
A portion of the $3,600 must be deducted ratably over the three-year period.
To find the portion of the $3,600 Carl deduct each tax year:
First, divide the $3,600 by 36 (months) to find the monthly premium amount.
Then, multiply the number of months remaining in each tax year by the monthly premium
Monthly premium: $3,600 / 36 = $100 per month.
Oct. 1, 2018 - Dec. 31, 2018: 3 x $100 = $300 deduction for 2018
Jan. 1, 2019 - Dec. 31, 2019: 12 x $100 = $1,200 deduction for 2019
Jan .1, 2020 - Dec. 31, 2020: 12 x $100 = $1,200 deduction for 2020
Jan. 1, 2021 - Sep. 30, 2021: 9 x $100 = $900 deduction for 2021
The 12-Month Rule
The 12-month rule says that Carl may deduct the full amount of an advance payment in the year the payment is made if it creates rights or benefits for the taxpayer that do not extend beyond the earlier of:
12 months after the right or benefit begins, or
The end of the tax year after the tax year in which payment is made.
Example 1: The 12-Month Rule.
Carl is a cash basis taxpayer on a calendar year.
On October 1, 2018 he pays $2,000 for business insurance covering one year.
The policy begins October 1, 2018 and ends September 30, 2019.
Result:
The 12-month rule applies.
Deduct the full $2,000 in 2018
The benefit does not extend beyond 12 months after the right to receive the benefit begins - October 1, 2018.
If motorcycles have elastic demand, how would a small increase in price affect demand for motorcycles?
Answer:not much
Explanation:
If it's elastic then i switchs
a job cost record is used to accumulate all of the direct materials and direct labor used on the job, as well as the manufacturing overhead allocated to the job. True or false?
The given statement "A job cost record is used to accumulate all of the direct materials and direct labor used on the job, as well as the manufacturing overhead allocated to the job" is true.
A job cost record is a document that is used to record and summarize all of the costs associated with a specific job, order, or contract. The main purpose of a job cost record is to help a business or company determine the total cost of a job or order and to provide a record of all the expenses associated with the job.In a job cost record, all the direct and indirect costs are recorded.
Direct costs are the costs that can be directly traced to the production of goods, such as raw materials and direct labor costs, whereas indirect costs include manufacturing overhead and other indirect costs such as insurance, depreciation, and utilities that cannot be directly traced to a specific product or service. Determining the cost of goods sold is critical for a company's profitability.
The job cost record helps companies determine the overall profitability of a job by comparing its revenue to the total costs of direct materials, direct labor, and overhead needed to produce the goods.
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Which of the following statements is not true about six sigma quality?
a) Six sigma can be applied to administrative and service processes as well
b) Motorola invented the term "six sigma quality" in the mid-80s
c) Six sigma corresponds to 3 standard deviations on either side of the mean
d) Six sigma is equivalent to a process capability of Cpk = 1.5
e) Six sigma results in 3.4 ppm defects
The statement that is not true about six sigma quality is option (d) Six sigma is equivalent to a process capability of Cpk = 1.5.
Which statement about six sigma quality is false?Six Sigma is a methodology used to improve the quality of processes by reducing defects and variability.
It aims to achieve a level of quality where the number of defects is extremely low.
While all the other options listed in the question are true statements about Six Sigma, option (d) is not accurate.
Six Sigma corresponds to a process capability of Cpk = 1.5 is an incorrect statement.
In Six Sigma, the goal is to achieve a process capability of at least 1.5, meaning that the process is capable of producing output within the specified limits with very minimal variation.
However, Six Sigma itself is not equivalent to a specific Cpk value. Cpk is a measure of process capability that indicates how well the process meets the required specifications.
To clarify, Six Sigma is typically associated with a defect rate of 3.4 per million opportunities (option e).
It represents a high level of process performance and reliability.
By striving for Six Sigma quality, organizations aim to minimize defects and variations in their processes, leading to improved customer satisfaction, cost savings, and overall efficiency.
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what kind of technology refers as local technology or indigenous technology ?
Answer:
Local technology refers to the technology which are used in our locality from the ancient time and are made of locally available materials for the welfare of local people.
Answer:
Local technology refers to the technology which are used in our locality from the ancient time and are made of locally available materials for the welfare of local people.
Explanation:
he left the clinic. start's with that
Answer:
sí, salió de la clínica
Explanation:
If a 20% increase results in a price of $6.36, what was the price before?
Answer:
$5.09 cents
Explanation:
Given the following question:
20% of 6.36
In order to find the answer, we will calculate using the formula for percentages then subtract that answer from the initial amount to have our answer.
\(\frac{p\times n}{100}\)
\(\frac{20\times6.36}{100}=20\times6.36=127.2\div100=1.272\)
\(=1.272\)
Round:
\(1.272\)
\(2 < 5\)
\(1.27\)
Now subtract:
\(6.36-1.27=5.09\)
\(=5.09\)
After a 20% decrease the price is now "$5.09 cents." Which means this was the price before the 20% increase.
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ICE is a non-profit organization that runs awareness campaigns and research programs that provide data to initiate the process of legislative changes on various aspects of the environment like forest cover, nuclear fuel, endangered species and others. The ICE operates through networks of grass-root level researchers who are grouped into flexible project teams whose roles and duties change with each new project. The ICE believes its employees to be like family and an informal environment pervades its functioning without any compromises being made in the efficiency. Recently, the project manager of the rainwater harvesting pilot project in the suburbs has been informed of two delays in the project. When the third extension request came to him, he looked into the matter by speaking individually with the five team members. Which of the following complaints by the team members, if true, would indicate the presence of social loafing in the team?
A) The team members were dissatisfied with the compensation package as they felt they were putting in a lot of work and being paid relatively less.
B) Nancy, one of the new team members, reported that she felt the team was not cohesive enough.
C) The scarcity of funds was one of the major concerns that all the team members mentioned.
D) Two of the most experienced employees on the team reported having to shoulder a disproportionate amount of the current workload and asked for an internal transfer.
E) A team member complained that the residents of the suburb in which they were working were uncooperative and did not accept their most cordial requests for helping in data collection.
Answer: D. Two of the most experienced employees on the team reported having to shoulder a disproportionate amount of the current workload and asked for an internal transfer.
Explanation:
Social loafing means when an individual exerts less effort in order to achieve a particular goal when the individual is part of a group but when the individual works alone , he or she works harder and exerts more effort.
Based on the information given, the presence of social loafing in the team will be that "Two of the most experienced employees on the team reported having to shoulder a disproportionate amount of the current workload and asked for an internal transfer".
Here, there's dispersion of responsibility as the results in he group group can't be attributed to a particular employee. In such case, the employees may be tempted to wanting to work alone.
OJT is best for large groups.
True
False
which of the following statements defines storage cost? group of answer choices it is the cost of physically or electronically archiving information for later use. it is the cost of transmitting information from one place to another. it is the cost of obtaining data that an organization does not have. it is the cost of transforming raw data into meaningful information.
The statement that defines storage cost is: "It is the cost of physically or electronically archiving information for later use."
Storage cost refers to the expenses incurred by an organization for storing information, data, or records in a secure location, either physically or electronically, to access it later as and when required. This cost may include the cost of hardware, software, maintenance, security, and other associated expenses related to data storage.
In addition to the cost of acquiring and maintaining the storage infrastructure, organizations must also consider the cost of managing and organizing the data stored within it. This can involve implementing backup and recovery systems, ensuring data is properly indexed and searchable, and monitoring data to ensure it remains secure and protected.
Managing storage costs is critical for organizations to maintain profitability and competitiveness. Cloud storage and other technology advancements have provided more cost-effective storage options, but organizations must carefully balance cost with security and accessibility needs.
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Which government agency would be responsible for testing for leaded paint
in imported toys from China?
A. Consumer Product Safety Commission
B. Environmental Protection Agency
C. Food and Drug Administration
O
D. Federal Trade Commission
Answer:
A. Consumer Product Safety Commission
Explanation:
When the high lead levels were detected during a routine inspection, the Consumer Product Safety Commission (CPSC) issued a recall, the first for a lead-contaminated toy in 2007.
Consumer Product Safety Commission, government agency would be responsible for testing for leaded paint in imported toys from China. Thus, option (a) is correct.
What is a government agency?A permanent or semi-permanent organization inside the federal or state government is referred to as a government agency. Federal agencies are specialized government institutions created for a particular function, such as resource management, financial regulation of specific sectors, or matters of national security.
On October 24, 1972, the Consumer Product Safety Commission was founded. The Consumer Product Safety Commission (CPSC) issued a recall after the excessive lead levels were found during a routine inspection, the first for a lead-contaminated toy in 2007. The CPSC works to reduce "unreasonable risks" of harm in order to advance the safety of consumer products.
As a result, the conclusion of the Consumer Product Safety Commission is a government agency. Therefore, option (a) is correct.
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a. for =$0.70,$0.60,p=$0.70,$0.60, and $0.50, calculate the total revenue from selling peeps and the marginal revenue per peep.
The total revenue for selling 100 peeps at $0.70, $0.60, and $0.50 is $70.00, $60.00, and $50.00, respectively. The marginal revenue per peep is $0.70, $0.60, and $0.50 for the respective prices.
The total revenue, to multiply the price (p) by the quantity (q). So, for the given prices and assuming a quantity of 100 peeps, we have:
p = $0.70, q = 100, revenue = $70.00
p = $0.60, q = 100, revenue = $60.00
p = $0.50, q = 100, revenue = $50.00
To calculate marginal revenue, to find the change in revenue when the quantity changes by one unit. So, for the same prices as above and assuming a quantity of 100 peeps, we have:
p = $0.70, q = 100, revenue = $70.00, marginal revenue = $0.70
p = $0.60, q = 100, revenue = $60.00, marginal revenue = $0.60
p = $0.50, q = 100, revenue = $50.00, marginal revenue = $0.50
For a price of $0.70:
Let's assume the quantity sold at this price is q1
Total Revenue = Price × Quantity
Total Revenue at $0.70 = $0.70 × q1
Marginal Revenue = Change in Total Revenue / Change in Quantity
Marginal Revenue at $0.70 = ($0.70 × q1) - ($0.70 × (q1 - 1)) = $0.70
For a price of $0.60:
Let's assume the quantity sold at this price is q2.
Total Revenue at $0.60 = $0.60 × q2
Marginal Revenue at $0.60 = ($0.60 ×q2) - ($0.60 × (q2 - q1)) = $0.60 ×(q2 - q1)
For a price of $0.50:
Let's assume the quantity sold at this price is q3.
Total Revenue at $0.50 = $0.50 × q3
Marginal Revenue at $0.50 = ($0.50 × q3) - ($0.50 ×(q3 - q2)) = $0.50 × (q3 - q2)
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Discount Amortization On the first day of the fiscal year, a company issues a $1,200,000, 7%, 6-year bond that pays semiannual interest of $42,000 ($1,200,000 x 7% x ½), receiving cash of $1,090,578. Journalize the first interest payment and the amortization of the related bond discount.
To journalize the first interest payment and the amortization of the related bond discount, we need to record the interest expense and the reduction of the bond discount. Here's how the journal entry would look:
Date: [Date of the interest payment]
1. Interest Expense (Interest payment calculation) $42,000
Discount on Bonds Payable $2,422
Cash $39,578
Explanation:
The company incurs an interest expense of $42,000 for the semiannual interest payment on the bonds. Since the bonds were issued at a discount (the cash received was less than the face value), we need to amortize the discount over the life of the bonds. In this case, the discount on Bonds Payable is debited for the amortized amount, which is $2,422 ($42,000 - $39,578). The Cash account is credited for the actual interest payment received, which is $39,578.
Note: The journal entry for the bond issuance on the first day of the fiscal year is not included in this entry, as this is specifically for the first interest payment and the amortization of the bond discount.
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as foreign exchange activity has grown, a given degree of central bank intervention has become: a. more frequent. b. less effective. c. more effective. d. none of these choices are correct.
As foreign exchange activity grows, a given degree of central bank intervention becomes less effective. Hence, the correct option is (b) less effective.
Central banks manage currency by generating new currency, setting foreign currency reserves, and fixing interest rates. In regard to foreign exchange, the central bank intervention aims at stabilizing its currency in the foreign exchange market. The success of central bank interventions highly depends on how it manages and stabilizes its currency in the foreign exchange market.
If the central bank fails to maintain its stability in the foreign exchange market, it undermines the credibility of the central bank. The increase in foreign exchange activities means that the role of central bank intervention is less effective to stabilize its currency in the foreign exchange market.
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Determine the correct sequence of the following events from start to finish.
-The kitchen staff prepares the dishes.
-Fatima, the expediter,checks the order before the server picks them up.
-Lara then transmits the order to the kitchen
-Lara takes the order from the customer and notes down.
-Brian, the chef, estimates the time each dish will require for preparation
-Lara retrieves the order and delivers it to her customer
The correct sequence of the events from start to finish is:
-Lara takes the order from the customer and notes down.Lara then transmits the order to the kitchenBrian, the chef, estimates the time each dish will require for preparationThe kitchen staff prepares the dishes.Fatima, the expediter,checks the order before the server picks them up.Lara retrieves the order and delivers it to her customerWhat is the sequence of ordering food in a restaurant?The first thing that happens is that the waiter picks up the order from the customer and takes note of it. The order will then go to the kitchen where the chef will estimate how long the order will take to be prepared.
The expediter will then check the order when the meal is done but before the waiter picks it up. The waiter than delivers to the order.
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How would you ensure products being put out onto the shop floor are of good quality?
Answer:
1.Train Employees
2.Let technology help the process to shop more efficient and better at quality control
3.Upgrade Equipment
4...Keep Your Shop Floor Clean
Explanation:
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What are the differences between stakeholders and executive stakeholders? Should or are they treated differently?
Stakeholders and executive stakeholders have their differences in regard to their authority and responsibilities within an organization.
The differences between stakeholders and executive stakeholders are as follows:
Stakeholders: Stakeholders are individuals or entities who have an interest in an organization's activities and are impacted by its operations.
The stakeholders are of two kinds: internal stakeholders and external stakeholders. Internal stakeholders comprise employees, board members, and shareholders, while external stakeholders comprise customers, suppliers, government regulators, and society in general.They have a vested interest in the organization's success, as it affects their welfare and economic well-being. Because of this, they must be included in the decision-making process to ensure that their interests are properly addressed.Executive stakeholders: Executive stakeholders are typically the highest-ranking officials of a company or organization, such as a CEO, CFO, or CIO. They hold the most authority and responsibility in the company.
Executive stakeholders are individuals who are responsible for ensuring the company's goals and objectives are achieved.They work towards creating a business strategy, making decisions, and executing plans to accomplish their objectives. They also oversee the other stakeholders' activities and ensure that they are aligned with the company's goals.There are two different types of stakeholders in an organization, and they are treated differently. Executive stakeholders are typically higher-ranking officials of an organization and are responsible for making decisions that align with the company's objectives. They have more authority and responsibility than other stakeholders, such as shareholders, employees, customers, and suppliers.
In contrast, stakeholders, both internal and external, must be included in the decision-making process to ensure that their interests are properly addressed.
In conclusion, executive stakeholders and stakeholders are treated differently.
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