Answer: step 1: establish purpose as boosting recall by placing the product as a health drink.
Step 2: calculate expenses required to shoot a commercial endorsed by a celebrity.
Step 3: differentiate product as a healthy non-caffeinated stimulant.
Step 4: generate interest through online contests and promotions.
Step 5: conduct recall tests and analyze consumer feedback.
Explanation:if you are on Edmentum this is the answer.
N addition to industrial and reseller markets, organizational markets include ________ ones.
Answer: government
Explanation:Organizational buyers include all buyers except ultimate consumers.
Which of the following presents the GREATEST challenge to the alignment of business and IT? Lack of information security involvement in business strategy development An IT steering committee chaired by the chief information officer (CIO) Insufficient IT budget to execute new business projects Lack of chief information officer (CIO) involvement in board meetings
The lack of information security involvement in business strategy development presents the greatest challenge to the alignment of business and IT.
Information security plays a crucial role in today's digital landscape, and its absence in business strategy development poses significant challenges. Without information security's involvement, organizations may overlook critical cybersecurity considerations, leaving them vulnerable to potential data breaches, privacy violations, and reputational damage.
Inadequate attention to information security can lead to misalignment between business goals and IT initiatives, hindering the effective integration of technology into business strategies. Therefore, ensuring information security's active participation in business strategy development is essential for achieving successful alignment between business and IT.
To learn more about strategy.
Click here:brainly.com/question/25492268
#SPJ11
Assume is it 2016. Can Presidential candidate Hillary Clinton run a paid search campaign and have her ad triggered when someone types in ""Donald Trump?"" What is Hillary wanted her ad triggered when someone typed in ""Tiffany diamond wedding rings?""
No, this is illogical because the main aim of political campaigns is to gain the upper hand against her political rivals and not to get notified when someone searches for her political rival.
What is a Political Campaign?This refers to the organized effort among members of the same political ideology to try and influence the decision-making of the electorates before the elections.
Hence, we can note that political campaigns run high on opinion polls which is the public perception of the candidates and this is where the political candidates would focus their ad campaigns on and not on snooping on each other.
Read more about political campaigns here:
https://brainly.com/question/25948103
What can be broken, but is never held?
Answer:
hm well either a heart or a promise?
Explanation:
Given the 2020 recession, what should be the goal of monetary policy? Should the Fed enact expansionary or contractionary policy? In other words, should the Fed increase the money supply/credit supply or decrease the money/credit supply. Explain what they might do to achieve their goal.
Answer:
Expansionary monetary policies
Explanation:
A recession is characterized by reduced economic activities, a high unemployment rate, and low business incomes. The economy experiences a reduced demand for products and services, leading to low production and a slow economic growth rate.
In a recession like in 2020, the Fed should employ measures that will stimulate economic growth. The appropriate measures are the expansionary monetary policies. These policies seek to increase liquidity in the market, thereby increasing the aggregate demand. Expansionary monetary policies increase the money supply in the economy; they include a reduction in the reserve requirement, reduction in the discount rate, and open market purchases.
Thomas is applying to refinance his mortgage. His first mortgage is $25,000 at a 9% rate. He plans to get cash out, up to $40,000. He qualifies for an 80% LTV and his house appraises for $100,000. Shortly before closing, the title exam shows $23,000 in mechanics liens. Closing costs total $6,000. How much cash will he receive at closing?
Answer:
$26,000
Explanation:
Calculation for How much cash will he receive at closing
Closing cash= ($100,000* 80% - $25,000-$23,000 -$6,000)
Closing cash= ($80,000- $25,000-$23,000 -$6,000)
Closing cash=$26,000
Therefore the amount of cash he will receive at closing is $26,000
Which of these is a primary and secondary source of market research, respectively?
Answer:
The answer is focus group interviews and trade associations.
Explanation:
Primary rotates around interviews and trade associations revolve encompassing receiving something back. the primary reference of research is data assembled through original or first-hand examination while the secondary reference is the data information collect by someone in history.
Select the correct answer.
Ahmed has been running a laundry service in his neighborhood for the past eight years. He picks up soiled clothes and delivers washed and ironed clothes at the customers’ doorsteps. A transporter who offers to pick and deliver customer clothes at a cheaper rate than his current transporter approaches him for a business deal. What do you think Ahmed should do in such a case?
A.
immediately discontinue services of the current transport person
B.
continue the services of the current transport person forever
C.
delay the payments of the current transport person so that he willingly discontinues his services
D.
wait until the contract with the current transport person ends before using the new transport person
Answer:
D) wait until the contract has ended
On January 1, the first day of the fiscal year, a company issues a $1,450,000, 5%, five-year bond that pays semiannual interest of $36,250 ($1,450,000 × 5% × ½), receiving cash of $1,408,720.
Complete Question:
On January 1, the first day of the fiscal year, a company issues a $1,450,000, 5%, five-year bond that pays semiannual interest of $36,250 ($1,450,000 × 5% × ½), receiving cash of $1,408,720
Journalize the first interest payment and the amortization of the related bond discount using the Straight line method
Answer:
Kindly check Explanation
Explanation:
Given the following :
Face value of bond issued = $1,450,000
Cash received on Issuance = $1,408,720
Number of Interest payment on bond = 5 × 2 = 10(semiannual)
Therefore, discount on bond :
$(1,450,000 - 1,408,720) = $41,280
Spreading or amortizing diacou t on bond over the bond duration (use te straight line method)
Discount / period
$41,280 / 10 = $4,128
Interest expense a/c Dr $40,378
To discount on bond payable a/c Cr $4128
To cash a/c $36,250
where would we find a firm’s minimum efficient scale of production?
A firm's minimum efficient scale of production refers to the lowest level of output at which the firm can achieve optimal efficiency in terms of cost per unit of output. It represents the point where the firm is operating at the lowest average total cost.
Determining the specific location of a firm's minimum efficient scale of production requires analyzing its cost structure and economies of scale. Economies of scale are cost advantages that a firm can achieve as it increases its level of production. Initially, as the firm expands its output, it may experience increasing returns to scale, leading to lower average costs. However, beyond a certain point, the firm may encounter diminishing returns to scale, causing average costs to increase.
The minimum efficient scale of production varies across industries and depends on factors such as technology, market demand, and production processes. In general, it can be found by studying the firm's cost curves, particularly the long-run average cost (LRAC) curve. The LRAC curve shows the relationship between the firm's output and its average cost over the long run when all inputs are variable.
The minimum efficient scale of production is typically represented by the bottom point of the LRAC curve, where average costs are minimized. At this output level, the firm achieves economies of scale and operates with optimal efficiency. It is important to note that the exact location of the minimum efficient scale can shift over time due to changes in technology, market conditions, or other factors.
To identify a firm's minimum efficient scale, you would need access to data on its cost structure, production levels, and cost curves. This information is typically available through the firm's financial statements, industry reports, or economic analyses.
learn more about production
https://brainly.com/question/30134912
#SPJ11
If you could replace all of the grass in the world with something else, what would it be and why?
Answer:
I would replace it with cannabis, everyone is happier when there is green :)
Explanation:
Answer:
I would replace it with oil because oil is a rare resource
Explanation:
01-025 - Definition of a Data Ecosystem
A data ecosystem is a complicated network of interconnected data sources, technologies, processes, and stakeholders who collaborate to develop, manage, and use data assets. It includes all of the people, procedures, and technology involved in the capture, storage, processing, and distribution of data inside a company or industry.
Data is created and consumed by numerous parties in a data ecosystem, including consumers, workers, partners, and suppliers. This information may originate from a variety of sources, including sensors, social media, transactional systems, and third-party data suppliers.
Data warehouses, data lakes, business intelligence tools, machine learning algorithms, and data visualization software are some of the technologies and techniques used to handle and analyze this data. Data management procedures might include data governance, data quality management, data integration, and data security.
Learn more about Data Assets:
https://brainly.com/question/28581767
#SPJ4
Patient satisfaction with va care and services is often reported to be at what percentage?.
Your highness, caught you sippin' on lean
Reminds me that's how it's supposed to be
Explanation:
the magnitude of operating leverage for perkins corporation is 4.5 when sales are $100,000. if sales increase to $110,000, profits would be expected to increase by what percent? a. 4.5% b.14.5% c.45% d.10%
It would be anticipated that the profit would rise by 45%. The appropriate response to the given question is option (c).
What is Operating Leverage?The percentage of a company's cost structure that is made up of fixed expenses as opposed to variable costs is measured by operating leverage. A corporation is said to have more operating leverage if its fixed expenses are higher than its variable costs.
Magnitude of operating leverage= 4.5
Old sales= $100000
New sales= $110000
Percentage increase in sales:
(New-old)/old = (110,000-100,000)/100,000
= 10%
Consequently, a percentage rise in profit might be anticipated:
sales percentage growth times the degree of operational leverage
= 10% * 4.5
= 45%
To know more about Operating Leverage, visit:
https://brainly.com/question/29743788
#SPJ1
There are three clues labeled "daily double" on the game show Jeopardy. If three equally matched contenders play, what is the probability that: a. A single contestant finds all three "daily doubles"? b. The returning champion gets all three of the "daily doubles"? c. Each of the players selects precisely one of the "daily doubles"?
Answer:
a) 0.0358
b) 0.0395
c) 0.1506
Explanation:
Number of clues "daily doubles" = 3
Determine the probabilities
a) P(single contestant finds all three )
assuming event A= a returning champion gets the "daily double" in first trial
P(A) = 1/30 , P(~A) = 29/30
assuming event B = any player picks up "daily double" after the first move
P(B |~A ) = 1/3
hence : P ( B and ~A ) = 29/30 * 1/3 = 29/90
considering second round
P(player chooses both daily doubles ) = 1/3 * 1/3 = 1/9
∴ P(single contestant finds all three ) = 29/90 * 1/9 = 0.0358
B) P ( returning champion gets all three )
= (1/30 + 29/90 )* 1/9
= 32 / 810 = 0.0395
c) P ( each player selects only one )
P = 32/405 + 29/405
= 61 / 405 = 0.1506
You are the American Red Cross liaison in the Emergency Operation Center and you print up a list of the location of materials necessary to outfit the shelters. Materials stored in both facilities are adequate to meet the initial needs. Both the College and the Middle School are implementing their respective plans and are establishing necessary staffing to support the shelter requirements.
What NIMS Management Characteristic is being demonstrated?
Modular Organization
Comprehensive Resource Management
Establishment and Transfer of Command
Dispatch/Deployment
Answer:
comprehensive resource
Explanation:
Explain one reason why running a business can involve high levels of risk.
Pennewell publishing inc. (pp) is a zero growth company. it currently has zero debt and its earnings before interest and taxes (ebit) are $80,000. pp's current cost of equity is 10%, and its tax rate is 40%. the firm has 10,000 shares of common stock outstanding selling at a price per share of $48.00. refer to the data for pennewell publishing inc. (pp). pp is considering changing its capital structure to one with 30% debt and 70% equity, based on market values. the debt would have an interest rate of 8%. the new funds would be used to repurchase stock. it is estimated that the increase in risk resulting from the added leverage would cause the required rate of return on equity to rise to 12%. if this plan were carried out, what would be pp's new value of operations?
a. $484,359
b. $521,173
c. $584,653
d. $560,748
e. $487,805
Answer:
The pp's new value of operations would be $487,805. The right answer is e
Explanation:
According to the given data we have the following:
ke=12%
kd=8%
wd=30%
we=70%
To calculate the pp's new value of operations we would have to calculate the WACC as follows:
WACC=we*ke+wd*kd*(1-t)
WACC=70%*12%+30%*8%*(1-0.4)
WACC=9.84%
Therefore, pp's new value of operations=EBIT(1-t)/WACC
=$80,000(1-0.4)/9.84%
=$487,805
The pp's new value of operations would be $487,805
*entrepreneurship*
why it is important to adapt to the sudden changes in
your environment?
Because if your mining company gets flooded and you can't mine for a few years you have to be able to find new mines or sell you equipment, or even the mine it's self.
-A mine not producing, is a mine that's losing.
You can apply this to almost anything, but it's most prominent in evolution and Business. in Evolution you die, and in business, if you company is losing money it will die so you have to adapt to sudden changes to avoid imminent death.
Hope this helps.
-Trey Tucker
mary borrows $20,000 from credit union to buy a new car. the car loan is for five years and the car is the security for the loan. three years after mary gets the car loan, she files for chapter 7 bankruptcy. the car has a fair market value of $10,000 but the car loan is for $7,000. in this chapter 7 bankruptcy general creditors get 10 cents on the dollar. as a creditor, how much does the credit union get in total in the bankruptcy process, assuming the trustee sells the car for $7,000?
In total, the credit union will receive $700 in the bankruptcy process, assuming the trustee sells the car for $7,000.
How do you determine the credit union in total?The credit union will get a distribution of the assets of the bankruptcy estate at a rate of 10 cents on the dollar because it is regarded as a general creditor.
The car loan balance owes the credit union $20,000, but it is only being sold for $7,000 even though the vehicle has a fair market value of $10,000.
In other words, a distribution of $700, or 10 cents on the dollar, of the car's sale price of $7,000, will go to the credit union.
To know more about credit union, visit:
brainly.com/question/28858713
#SPJ4
The owner of Firewood To Go is considering buying a hydraulic wood splitter which sells for $50,000. He figures it will cost an additional $100 per cord to purchase and split wood with this machine, while he can sell each cord of split wood for $125. How many cords of wood would he have to split with this machine to break even
Answer:
The correct answer is "2000 units".
Explanation:
Given:
Fixed cost,
F = $50,000
Variable cost,
VC = $100 per unit
Price,
P = $125 per unit
Let the units to be sold be "x".
Throughout the case of breakeven,
⇒ \(Total \ revenue=Total \ cost\)
⇒ \(125x=50000+100x\)
On subtracting "100x" from both sides,
⇒ \(125x-100x=50000+100x-125x\)
⇒ \(25x=50000\)
⇒ \(x=\frac{50000}{25}\)
⇒ \(=2000 \ units\)
Exercise 10-12 (Algorithmic) (LO. 3)
In 2021, Ivanna, who has three children under age 13, worked full-time while her spouse, Sergio, attended college for nine months during the year. Ivanna earned $42,900, and the couple incurred $10,575 of child care expenses.
Click here to access the percentage chart to us for this problem.
Determine Ivanna and Sergio's child and dependent care credit.
In 2021, Ivanna and Sergio were married and Ivanna earned $42,900. The couple incurred $10,575 in child care costs. The child and dependent care credit that Ivanna and Sergio are eligible for is determined using Form 2441.
To calculate their child and dependent care credit, follow these steps:Calculate their maximum qualifying expenses for the year. For one qualifying individual, this number is $3,000. For two or more qualifying individuals, this number is $6,000. Because Ivanna and Sergio have three qualifying individuals (their children), their maximum qualifying expenses are $6,000.Calculate their credit rate using the percentage chart.
The credit rate is determined by their adjusted gross income (AGI) for the year. Because their AGI is $42,900, their credit rate is 20%.Calculate their credit amount by multiplying their maximum qualifying expenses by their credit rate. In this case, the calculation is $6,000 x 20% = $1,200. Therefore, Ivanna and Sergio are eligible for a child and dependent care credit of $1,200.
To know more about dependent visit:
https://brainly.com/question/30094324
#SPJ11
Which of the statements below is FALSE? A. A problem with using the dividend growth model is that it appears to underestimate the expected return for some stocks B. A problem with using the dividend growth model is that it produces a negative expected return whenever a firm cuts its dividends. C. A problem with using the dividend growth model is that it appears to underestimate the expected return for all stocks. D. The dividend model requires that a firm have a cash dividend history and that the dividend history shows a constant dividend or a positive growth in dividends.
Answer:
C. A problem with using the dividend growth model is that it appears to underestimate the expected return for all stocks.
Explanation:
In the case of the dividend growth model, it shows the underestimated of the return for some stocks, also it generated the negative return at the time when the firm could cut the dividend. ALso it needs that the firm has the history of the cash dividend and that history should show the same dividend or the positive growth
But it does not show the underestimate for all kind of the stocks
Automatic stabilizers can do which of the following?A. offset the destabilizing influence of changes in tax revenuesB. aid the economy to move away from the full-employment output levelC. allow policymakers to formulate a set of rules flexible and comprehensive enough to eliminate discretionary actionsD. cause tax revenues to decrease when GDP decreases and to increase when GDP increasesE. allow policymakers to prescribe public works programs during inflationary periods because expenditures for unemployment and welfare have correspondingly decreased
Answer:
D. cause tax revenues to decrease when GDP decreases and to increase when GDP increases.
Explanation:
Gross Domestic Products (GDP) is a measure of the total market value of all finished goods and services made within a country during a specific period.
Simply stated, GDP is a measure of the total income of all individuals in an economy and the total expenses incurred on the economy's output of goods and services in a particular country.
Automatic stabilizers can be defined as changes in government spending or taxes and consequently, raises aggregate demand without the intervention of policy makers when an economy falls into recession.
In Economics, it is also referred to as built-in stability and this means that with given tax rates and expenditures policies such as fiscal and monetary policy; an increase in domestic income will reduce a budget deficit or produce a budget surplus, while a decline in income will result in a deficit or a lower budget surplus.
Basically, an automatic stabilizer is an economic system or policies that automatically shore up or strengthen the Gross Domestic Products (GDP) without specific government intervention for sustenance or creation of stability in the economic cycle of a country.
Hence, automatic stabilizers can cause tax revenues to decrease when GDP decreases and to increase when GDP increases.
According to the video, which qualities do Lawyers need? Select all that apply.
x mechanical skills
x aggressiveness
intelligence
x physical fitness
determination
moral and ethical integrity
people skills
Answer:
C E F G
Explanation:
According to the video, The qualities Lawyers need, The first is intelligence, the second one was determination, moral and ethical integrity people skills.
What are skills?A skill is the acquired capacity to move with deliberate intent and good execution, frequently in a pre-determined window of time or energy or both. Domain-general and domain-specific skills are two common categories of skills.
As, The qualities the lawyer needs in the Curveballs will probably be thrown throughout a case session, and they must be able to understand them and react accordingly.
As, The important quality, the lawyer needs is zeal for one's work. Successful attorneys nearly usually have a genuine enthusiasm for what they do as a profession.
Therefore, The right option (C, E, F, G)) is correct.
Learn more about skills here:
https://brainly.com/question/28464758
#SPJ6
Which of the following is SIQ most likely to
stand for?
A. Station Identification Questionnaire
B. Standard Item Questionnaire
C. Software Inventory Questionnaire
D. System Identification Questionnaire
E. Station Inventory Questionnaire
Both a questionnaire and an inventory are examples of surveys. Simple to-answer questions are included in the questionnaire. These inquiries are made in an effort to obtain information, and they frequently concern particular topics.
Thus, Option E is correct.
What is the questionnaire data collection method?A questionnaire's objective is to gather data from respondents regarding their attitudes, experiences, and opinions. Questionnaires are frequently utilized in social and health sciences and market research. In order to increase customer satisfaction and profitability, our inventory assessments evaluate strategies, inventory management systems, processes, and procedures for developing new goods and managing inventory.
A questionnaire's objective is to collect information from a target audience. It will contain closed-ended and open-ended questions or a mix of the two.
For more information about the questionnaire refer to the link:
https://brainly.com/question/27972710
#SPJ2
Green Thumb Lawn Services charges new clients more than existing clients. The hourly rate for existing clients is $20. 00, and the hourly rate for new clients is $25. 0. How much more do new clients pay expressed as a percentage?.
Hourly rate is defined as the wage rate that is paid by the employer to the employees depending upon the every hour they worked. It generally remain consistent.
How much more do new clients pay?
Given Information:
Hourly rate for existing clients=$20.00
Hourly rate for new clients=$25.0
Solution:
Percentage difference=(Absolute difference/average)*100
Percentage difference=($25.00-$20.00/$25.0+20.00/2)*100
Percentage difference=22.22%
Learn more about hourly rate, refer to the link:
https://brainly.com/question/25951023
On May 10, Blue Spruce Corp. issues 3,300 shares of $4 par value common stock for cash at $15 per share. Journalize the issuance of the stock. (Credit account titles are automatically indented when amount is entered. Do not indent manually. If no entry is required, select "No Entry" for the account titles and enter o for the amounts.) Date Account Titles and Explanation Debit Credit May 10 Common Stock 13200 Paid-in Capital in Excess of Par Value-Common Stock 36300 Cash 49500 Click if you would like to Show Work for this question: Open Show Work
The Cash account is debited for the total amount of cash received from the issuance of the stock, which is $49,500.
On May 10, Blue Spruce Corp. issued 3,300 shares of $4 par value common stock for cash at $15 per share. The total amount of cash received from the issuance of the stock is $49,500. To record this transaction, the following journal entry is made:
May 10 Common Stock : $13,200
Paid-in Capital in Excess of Par Value-Common Stock : $36,300
Cash : $49,500
The Common Stock account is credited for the par value of the shares issued, which is $13,200 ($4 x 3,300). The excess amount received over the par value is credited to the Paid-in Capital in Excess of Par Value-Common Stock account, which is $36,300 ($15 - $4 = $11 x 3,300).
In summary, the issuance of 3,300 shares of $4 par value common stock for cash at $15 per share results in a total increase in the company's stockholders' equity of $49,500 ($13,200 in Common Stock and $36,300 in Paid-in Capital in Excess of Par Value-Common Stock).
To know more about Stock visit:
https://brainly.com/question/31476517
#SPJ11
If a company receives cash from a customer before performing services for the customer, then:.
Answer:
assets increase and liabilities increase. ... individual accounting record of increases and decreases in specific asset, liability, and stockholders' equity items.
Which of the following is NOT a responsibility of the Finance department?
A.Obtaining needed funds B.Managing the use of company funds
C.Establishing external relations
D.Creating a financial plan
The statement "developing the external relations" is correct.
The following information related to the responsibility of the Finance department is:
Receiving the funds that are needed.Managing the fund of the company that is used.Developing the financial plan of the organization.Therefore we can conclude that The statement "developing the external relations" is correct.
Learn more about the finance here: brainly.com/question/10024737