The process that is being implemented when the management consultant interviews the owner and customers and visits other local dealerships to determine the offerings and strategies of competitors is Market Research.
What is Market Research?
Market research is the method of gathering data and knowledge on customers, competitors, and a market for use in developing marketing strategies, including market segmentation and product differentiation. It can also be used to assess customer satisfaction and loyalty. There are two main categories of market research: primary and secondary.
Primary Market Research is data gathered by the company or organization that is new and first-hand. It may include face-to-face interviews, telephone interviews, focus groups, and surveys. Secondary Market Research is data gathered from public sources or previously published data. A company or organization may not collect the data, but they use it to learn more about a market, its competition, and its target market. Examples of secondary market research sources include reports from research firms, government reports, trade journals, and newspapers.
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The government offers a subsidy of $5 per unit that increases the profit-maximizing quantity to 200 units. What will the total cost of the subsidy be to the government
Answer:
An apple, potato, and onion all taste the same if you eat them with your nose plugged
Explanation:
If the government offers a subsidy of $5 per unit that increases the profit-maximizing quantity to 200 units. What will the total cost of the subsidy to the government will be $40 per unit.
What is subsidy?A subsidy is a direct or indirect government payment to people or businesses, typically in the form of cash or a targeted tax break. According to economic theory, subsidies can be used to reduce externalities and market imperfections to boost economic efficiency.
Subsidies are a strategy used by governments to promote production and consumption in particular industries. An industry can enable its manufacturers to generate more goods and services when the government introduces supplier subsidies.
Therefore if $ 5 subsidy will get 200 units increase in profit maximizing then cost of subsidy would be $40 per unit of consumption.
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Careers in the Hospitality and Tourism career cluster are
O highly desirable and pay high wages.
O bountiful and expected to continue to grow.
O seldom desirable and pay low wages.
O limited and expected to continue to decline.
Answer:
B
Explanation:
Edge
Careers in the Hospitality and Tourism career cluster are bountiful and expected to continue to grow. Thus option B is correct.
What are Careers?Career sectors are means of classifying various career kinds based on shared characteristics. People can use these criteria to help them focus their job options and select a suitable path.
A collection of occupations that emphasize giving people food, lodging, aid to travelers, and enjoyable activities. The abundance of jobs in the travel and hospitality career cluster is anticipated to persist.
The planning, management, and provision of lodging, dining, entertainment, conferences, and tourism, as well as related arranging and community programs including transport services, are all part of a the hospitality and tourism employment cluster. Therefore, option B is the correct option.
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This graph shows the marginal cost of producing each additional pair of running shoe inserts.
Based on the graph, which pair of shoes has a marginal cost of $3.00?
Pair 2
Pair 4
Pair 6
Pair 7
Answer:C
Explanation:
Answer:
Pair 6 or Answer: C
Explanation:
Investors minimize risk by investing money in __________. A. one specific company B. a variety of companies C. newly-formed corporations D. companies that are competitors Please select the best answer from the choices provided A B C D
Answer: B. a variety of companies
Explanation:
Investors minimize risk by investing money in a variety of companies. The reason for this is to minimize risk. Investing in one specific company isn't ideal because in the case of the company running at a loss, the investor loses all his or her money as well.
On the other hand, when the investor invest in different companies, the risk is minimized. When one company isn't doing well, others will probably be doing well.
Purchased goods on credit Rs. 2,000 from hari at 10% trade discount
Answer:
SHE / HE HAS PURCHASED GOOD = 2000
CREDIT CARD
DISCOUNT = 10 %
\( \frac{10}{100} \times 2000 \: = \frac{10 \times 20}{1} = 200\)
DISCOUNT YOU GOT IS 200
What expansionary fiscal tools can be used to promote employment and economic growth when price levels are not a concern?
Expansionary fiscal tools can be used to promote employment and economic growth when price levels are not a concern including increasing government spending, decreasing taxes, or increasing government transfers.
What is the purpose of expansionary fiscal tools?The purpose of expansionary fiscal tools is to augment growth to a healthy economic level, which is significantly required during the contractionary phase of the business cycle.
In this phase, the government has the desire to decline the standard of unemployment, enhance consumer demand, and circumvent a recession. If a recession has already taken place, then it searches to end the downturn and prevent a recession.
According to the context of this question, each expansionary fiscal tool has its own terms and condition which is imposed on the basis of certain criteria. For this, enhancing the spending of the government, reducing the taxation rates, increasing the transfer made by the government, etc. are the major ones.
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Vicki works 19 hours per week. her take home pay is $17.30 per hour. if vicki is able to save all of her earnings, how long will it take her to save at least $4,000? a. 12 weeks b. 13 weeks c. 14 weeks d. 15 weeks please select the best answer from the choices provided a b c d
Vicki works 19 hours per week. her take-home pay is $17.30 per hour. if Vicki is able to save all of her earnings, this (4000/328.70) is approximately 12.17 weeks which means she has to save for at least 13 weeks.
savings is the amount of money left over after spending and different obligations are deducted from earnings. financial savings represent money this is otherwise idle and now not being positioned at hazard with investments or spent on intake.
Saving is income now not spent, or deferred consumption. techniques of saving include setting money aside in, for an instance, a deposit account, a pension account, an investment fund, or as coins. Saving also entails reducing costs, which include habitual fees.
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if the government seeks an initial increase in consumption of $420 billion and the economy's mpc is 0.6, then a tax cut of $ billion is needed.
A tax cut of $168 billion is needed to achieve an initial increase in consumption of $420 billion if the economy's MPC is 0.6.
To determine the tax cut needed, we can use the spending multiplier formula, which is:
multiplier = 1 / (1 - MPC)
where MPC is the marginal propensity to consume.
We can then solve for the tax cut needed:
multiplier = 1 / (1 - 0.6) = 2.5
initial increase in consumption = $420 billion
tax cut needed = initial increase in consumption / multiplier
tax cut needed = $420 billion / 2.5 = $168 billion
Therefore, a tax cut of $168 billion is needed to achieve an initial increase in consumption of $420 billion if the economy's MPC is 0.6.
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name two methods used to measure inequality of income in a country
The most commonly used inequality measure are the Gini coefficient ( based on Lorenz curve ) and the percentile or share ratios. This measures try to capture overall dispersion of income; how were they tend to people different leavles of importantance on the bottom middle and top end of distribution .
I hope it is helpful for you .
A company borrowed $18,000 paying interest at 4% compounded annually. If the loan is repaid by payments of $2400 made at the end of each year, construct a partial amortization schedule showing the last three payments, the total paid, and the total interest paid. Complete the table below for the last three payments. (Do not round until the final answer. Then round to the nearest cent as needed.)
The last three payments on the $18,000 loan with a 4% annual interest rate and $2,400 annual payments are as follows:
Payment 1: $2,400Payment 2: $2,400Payment 3: $2,400Total paid: $7,200Total interest paid: $720To calculate the last three payments, we need to determine how many years it will take to repay the loan. Since the loan is repaid by payments of $2,400 made at the end of each year, we can divide the total loan amount ($18,000) by the annual payment amount ($2,400) to find the number of years.
$18,000 / $2,400 = 7.5 years
Since we can't have half a year, we can round up to the nearest whole number, which is 8 years. Therefore, it will take 8 years to repay the loan.
Now, we can construct the partial amortization schedule for the last three payments. In this case, the payments will be the same for each year, which is $2,400. So the last three payments will also be $2,400 each.
To calculate the total paid, we multiply the annual payment by the number of years:
$2,400 x 8 = $19,200
Therefore, the total paid over the 8-year period is $19,200.
To calculate the total interest paid, we subtract the original loan amount from the total paid:
$19,200 - $18,000 = $1,200
However, this is the interest paid over the entire 8-year period. Since we only need the total interest paid for the last three payments, we divide this amount by the number of years and multiply it by 3:
($1,200 / 8) x 3 = $450
Therefore, the total interest paid for the last three payments is $450.
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Investigar:
¿Qué es la factura?
¿Qué es la Nota de venta?
¿En que momento se usa la factura?
¿En que momento se usa la nota de venta?
¿Por qué el bazar del barrio no da factura ni nota de venta?
CONVERSE CON EL SEÑOR DEL BAZAR DE SU BARRIO PARA CONOCER QUE DOCUMENTOS DEBE TENER PARA QUE EL FUNCIONAMIENTO DE SU NEGOCIO SEA LEGAL Y CORRECTO
La respuesta correcta para esta pregunta abierta es la siguiente.
Desafortunadamente, no especificas a qué país te refieres, ya que cada país tiene un régimen fiscal distinto, y los comercios están obligados a declarar impuestos de acuerdo a la legislación vigente en cada país.
Para poder responder a tus preguntas, lo haremos en términos generales ya que no mencionas cuál es tu país.
¿Qué es la factura?
La factura es el comprobante oficial al que obliga el gobierno, a través de la Secretaría de Hacienda y el Servicio de Administración Tributaria (SAT). La factura es el comprobante oficial que respalda la compra-venta de un artículo, producto o servicio, y donde se demuestra que se cobro el impuesto por la adquisición de la mercancía.
¿Qué es la Nota de venta?
La nota de venta es un comprobante de control interno que no tiene validez oficial para comprobar el consumo y el cargo del impuesto. La nota de venta sólo la ampara el mismo negocio que la elaboró, el sistema de administración tributario.
¿En que momento se usa la factura?
La factura se usa cuando se requiere elaborar un comprobante oficial que posteriormente pueda ser usado en la declaración mensual de impuestos o en la declaración anual, para que se puedan deducir los impuestos retenidos.
¿En que momento se usa la nota de venta?
Cuando sólo se quiere entregar un comprobante de compra, sin aplicar el impuesto al valor agregado.
¿Por qué el bazar del barrio no da factura ni nota de venta?
Porque probablemente es un pequeño comercio, y no está obligado a facturar. Sólo a dar comprobantes. Los pequeños comercios tributan o pagan impuestos de manera diferente. Son considerados pequeños contribuyentes y por lo regular se les asigna una cuota fija, siempre y cuando no rebasen una cantidad establecida por la autoridad hacendaria.
Platicando con el dueño de la papelería del barrio, él me comenta que el municipio sólo le pido una licencia de uso de suelo para que pueda operar su negocio. Esa licencia de funcionamiento tiene un costo único que debe ser renovad anualmente. El es pequeño comerciante y debe pagar una cuota fija de manera trimestral.
The percentage of the US labor force that is unemployed is known as the __________.
A.
consumer price index
B.
gross domestic product
C.
national unemployment rate
D.
annual percentage change
Please select the best answer from the choices provided
A
B
C
D
Answer:
Explanation:
C
Answer:
C. national unemployment rate
Explanation:
i did the quiz, hope this helps<3!!
With the help of the diagrams, explain the possible channels of distribution from a manufacturer to a customer
Distribution channels refer to the various channels through which products can reach consumers. Distribution channels can be direct or indirect, but they all serve the same function of transporting products from the manufacturer to the end-user. Here are some possible channels of distribution from a manufacturer to a customer:
1. Direct Distribution Channel: This channel is when a manufacturer sells directly to customers without using intermediaries. It is the simplest distribution channel and involves the shortest chain of distribution.
2. Indirect Distribution Channel: In an indirect distribution channel, intermediaries are involved in getting the manufacturer’s products to customers.
3. Dual Distribution Channel: In this channel, a manufacturer will sell their products through direct and indirect channels simultaneously. This channel offers a manufacturer the best of both worlds, reaching more customers through intermediaries and getting more control through direct sales.
4. Reverse Distribution Channel Reverse distribution is the process of moving goods from the end-user back to the manufacturer or distributor.
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What is the major difference between a block style business letter and a modified block style letter?.
Block style and a modified block style letter differ from each other with respect to the placement, formatting, and alienation of sender and receiver address.
Business letter
A business letter is a formal document intended to convey information to several recipients, either internally or outside. Block style and modified block style letters are both types.
Block style letter
The full-block form is the standard format for a formal business letter. Use the complete block format as a safe choice if you're unsure. The paragraphs are not indented for this kind of layout. All elements of the business letter, including the sender and recipient addresses, are left-aligned in the full-block format. A new paragraph is indicated for readability by skipping a line.
Modified block-style letter
The sender's address is positioned to the right in the modified block form, but else it is identical to the full block form. Compared to the full-block format, this format is a little less formal. When writing to someone with whom you have a professional relationship, this structure works well.
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muhammad ali instituted a series of reforms in the military and in the economy of
Muhammad Ali instituted a series of reforms in the military and in the economy of Egypt.
Muhammad Ali was the ruler of Egypt from 1805 to 1848. During his reign, he implemented a number of modernization reforms aimed at strengthening the military and boosting the economy. In the military, he introduced conscription to create a standing army that was trained and equipped with modern weapons. He also established military factories to produce arms and ammunition locally, reducing the country's reliance on foreign suppliers. In the economy, Muhammad Ali instituted land reforms to increase agricultural production and revenue. He encouraged the cultivation of cash crops, such as cotton and tobacco, for export and used the profits to fund industrial development and infrastructure projects. He also reformed the tax system to make it more efficient and fair, and he established a national bank to manage the country's finances. Despite his efforts, Muhammad Ali's reforms faced opposition from traditionalists who resisted change and from foreign powers who sought to maintain their influence in Egypt. However, his legacy as a modernizer and reformer has had a lasting impact on Egyptian history and society.
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If you’re using the snowball method, which debt do you focus on first?
If you’re using the snowball method, you take the money you were putting toward that payment and roll it onto the next-smallest debt owed focus on first.
The snowball method is a debt repayment strategy that prioritizes paying off smaller debts first and using the freed-up money to tackle larger debts. This method helps to build momentum and confidence, as the number of debts being paid off decreases over time. The strategy works by making the minimum payments on all debts, except the one with the smallest balance.
Any extra money is then used to pay off that debt as quickly as possible. Once the smallest debt is paid off, the process is repeated with the next smallest debt until all debts are paid off. The snowball method is a popular choice for those who struggle with motivation and need a sense of progress to keep them on track. It can also help reduce the overall amount of interest paid, as the highest interest debts are tackled last.
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An advantage of a corporation is that
A. owners pay fewer taxes than owners of other forms of business.
B. the business is subject to little government intervention.
C. owners have limited liability for debt.
D. owners have direct and immediate control over daily management of the business.
Answer:
C. Owners have limited liability for debt
Novak Corp. Has accounts receivable of $90,300 at March 31, 2022. Credit terms are 2/10, n/30. At March 31, 2022, there is a $2,284 credit balance in Allowance for Doubtful Accounts prior to adjustment. The company uses the percentage-of-receivables basis for estimating uncollectible accounts. The company's estimates of uncollectibles are as shown below.
Answer:
Allowance for doubtful accounts balance as at March 31st 2022 is $10,056.
Explanation:
Novak Corp. already have a balance of $2,284 in allowance for doubtful account.
The increase in allowance for doubtful account is calculated as follows.
$61,700 * 2% = $1,234
$12,600 * 5% = $630
$9,200 * 28% = $2,576
$6,800 * 49% = $3,332
Total = $7,772
$7,772 + $2,284 = $10,056
andy hastings borrowed 500 shares of stock from a broker. this stock is currently selling for $25 a share ($12500). the commission was $125 . three weeks later the price of the stock was $22.50 a share so he bought the 500 shares. the commission was $115. he returned a stock certificate for 500 shares to the broker. what is the rate of return?
The the rate of return is 8.9%.
Rate of return on the shares = total cost of borrowing - total cost of buying) / total cost of buying
Total cost of borrowing = cost of shares - commission
$12500 - $125 = $12,375
Total cost of buying = total cost of shares - commission
total cost of shares = $115 x 500 = $11,250
$11,250 + $115 = $11,365
Rate of return = ($12,375 - $11,365) / $11,365 = 0.089 = 8.9%
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explain the method of bookkeeping ?
put the production control logistical steps in sequential order with 1 being the start of the process and 7 being the last. 1. From incoming vehicles to receiving/storage.2. From storage to point of use.3. From one work center to the next storage.4. From the last operation to final storage.5. From storage to packing/shipping.6. From shipping to outgoing vehicles.
Based on production control logical steps, the correct sequential order that needs to be followed for the production process starts with "From incoming vehicles to receiving/storage."
What are the Production Control Logical StepsThe Production Control Logical steps is a term that is sued to describe the sequential steps used by firms to monitor and control their production process.
These Production Control Logical steps are expected to be followed accordingly to ensure the production process goes smoothly without delay or hindrance.
The sequential steps of Production Control Logical Steps from the start and end:From incoming vehicles to receiving/storage.From storage to point of use.From one work center to the next storage.From the last operation to final storage.From storage to packing/shipping.From shipping to outgoing vehicles.Hence, in this case, it is concluded that Production Control Logical Steps are a good technique to follow for a smooth production process.
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which is not an example of a risk management strategy?
Buying a new car is not an example of a risk management strategy. Buying a car does not involve any kind of research, hence it is not necessary to form any strategy for buying a car.
What is risk management strategy?A risk management strategy is used to identify risks in the business and to create a basic structure for business planning.
It also keeps the person up to date as they review and analyze the marketing in order to make future decisions.
Thus, Buying a new car is not an example of a risk management strategy.
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_______ is effective for sharing routine information
Information sharing is effective for sharing the routine information.
What is Information sharing?Information sharing describes the exchange of information between various businesses, individuals, and technological platforms. Widely dispersed networks, intranets, cross-platform interoperability, application porting, and IP protocol standardization have all dramatically accelerated the sharing of information globally. However, the majority of countries have laws that prohibit transmitting personal information without explicit authorization, regardless of how easy the data transfer itself may be. In the United States and Europe, it is against the law to share a person's personal information without that person's express agreement. Information sharing is expanding as more networks and organizations connect up and it becomes easier to share information online. There are numerous additional forms of information sharing that are not illegal.
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A credit card company advertises an APR of 15.3%, compounded daily. What
is the effective interest rate? Round your answer to two decimal places.
O A. 15.76%
O B. 16.53%
O c. 15,50%
O D. 16.47%
Answer:
B. 16.53%
Explanation:
The effective interest rate is the real interest rate charged by a bank or any other type of lender on a loan.
the formula to calculate effective interest rate = r = (1 + i/n)ⁿ - 1
i =15.3%n = 365 daysr = [1 + (15.3%/365)³⁶⁵] -1 = 1.00419178³⁶⁵ - 1 = 1.165287621 - 1 = 0.165287621 ≈ 16.53%
Healthy People 2020 provides science-based, 10-year national goals and objectives for health promotion and disease prevention for the health of all Americans. What is the mission of Healthy People 2020
The mission of Healthy People 2020 is to improve the health and well-being of all individuals in the United States. It aims to provide science-based, data-driven goals and objectives that address the most pressing health challenges facing the nation.
Healthy People 2020 sets a 10-year agenda for promoting health, preventing diseases, and reducing health disparities across various population groups. The program identifies national health priorities based on the latest research, data, and input from experts and stakeholders. It focuses on areas that have the greatest potential for improving the health outcomes of individuals and communities. Healthy People 2020 establishes specific, measurable objectives that guide efforts to improve health. These goals cover a wide range of health topics, including chronic diseases, infectious diseases, mental health, environmental health, and social determinants of health. Healthy People 2020 encourages collaboration and engagement among individuals, communities, organizations, and sectors to work towards achieving the identified health goals.
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What are the similarities and differences in the purchasing
functions at a for profit versus a not for profit organization?
Explanation:
I hope this answer is helpful ):When you purchase shares of a company in the market, who are you buying those shares from?
Answer:
Normally, you are buying those shares from someone who already owns them. You are not buying them directly from the company itself, but instead someone who owns shares from the company, called a shareholder or stockholder.
Explanation:
I hope this helps! :)
Question 1 of 10
An investment that you bought for
profit
and sold for
made a
500;600
500;400
600;400
600;500
Answer:
500;600
an investment
"4. Hedging using Options: (12 marks)
a. On any day between Thursday, 1st Sep 2022 and the assessment
due date, how will you use the option contract to hedge one of your
three selected stocks in your P"
To hedge a stock using options, you can employ a strategy called a protective put. This involves purchasing a put option on the stock you own. The put option gives you the right, but not the obligation, to sell the stock at a predetermined price, known as the strike price, within a specific timeframe.
To hedge one of your selected stocks, you can buy a put option with a strike price at or below the current market price of the stock. If the stock price declines, the put option will increase in value, offsetting some or all of the losses in your stock portfolio.
By using the protective put strategy, you limit your potential losses while still allowing for potential gains if the stock price rises. This strategy is particularly useful when there is uncertainty or downside risk in the market.
Keep in mind that hedging using options involves costs, such as the premium paid for the put option. Additionally, the effectiveness of the hedge depends on factors like the correlation between the stock and the option, as well as the timing of the hedge. It is important to carefully analyze your specific situation and consult with a financial advisor before implementing any hedging strategies.
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If you have easy access to a computer, your job search efforts should be limited to the Internet. Please select the best answer from the choices provided
Answer:
false
Explanation:
Answer: false
Explanation: