Advertisers decide the appropriate media type, media mix, and media schedule through__a. campaign decisions b. promotion execution c. media planning d. media execution e. promotion planning

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Answer 1

The process through which advertisers decide the appropriate media type, media mix, and media schedule is media planning. Hence, Option (C) is correct.

Media planning is the process of determining the most effective and efficient way to deliver advertising messages to a target audience.

It involves analyzing the target market, understanding their media consumption habits, and strategically selecting media channels and placements to maximize the reach and impact of the advertising campaign.

Some of the media planning involves the following important activities:

Defining campaign objectivesIdentifying target audienceDetermining the media mix.Setting media objectivesDeveloping the media scheduleMeasurement and evaluation

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Related Questions

cullumber company has beginning raw material inventory $10,000, ending raw materials inventory $12,600, and raw material purchases $142,800. what is the cost of direct materials used?

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To determine the cost of direct materials used by Cullumber Company, you need to consider the beginning raw materials inventory, ending raw materials inventory, and raw material purchases.

The beginning raw materials inventory is the stock of materials at the start of the period, which is $10,000. The ending raw materials inventory is the stock of materials at the end of the period, which is $12,600. Raw material purchases made during the period amount to $142,800.

To calculate the cost of direct materials used, you can use the following formula:

Cost of Direct Materials Used = (Beginning Raw Materials Inventory + Raw Material Purchases) - Ending Raw Materials Inventory

Plugging in the given values, the calculation would be:

Cost of Direct Materials Used = ($10,000 + $142,800) - $12,600

Cost of Direct Materials Used = $152,800 - $12,600

Cost of Direct Materials Used = $140,200

Therefore, the cost of direct materials used by Cullumber Company during the period is $140,200.

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To calculate the cost of direct materials used, we need to subtract the ending raw materials inventory from the sum of beginning raw material inventory and raw material purchases.

This is because the materials used in production are the difference between the raw materials available at the start of the period (beginning inventory) plus any additional raw materials purchased during the period and the raw materials left over at the end of the period (ending inventory).Cost of direct materials used = Beginning raw material inventory + Raw material purchases - Ending raw material inventory

Cost of direct materials used = $10,000 + $142,800 - $12,600

Cost of direct materials used = $140,200

Therefore, Cullumber Company's cost of direct materials used is $140,200.

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Spada, an Oregon corporation, agreed to sell Belson, who operated a business in Chicago, Illinois, two carloads of potatoes at "$4.40 per sack, FOB Oregon shipping point." Spada had the potatoes put aboard the railroad cars; however, he did not have floor racks used in the cars under the potatoes as is customary during winter months. As a result, there was no warm air circulating and the potatoes were frozen while in transit. Spada claims that his obligations ended with the delivery to the carrier and that the risk of loss was on Belson. What argument would you make for Belson?
Please dont use other chegg asnwers, will give thumbs up, ty

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Under the Uniform Commercial Code (UCC) §2-319(1), the risk of loss in a shipment contract passes to the buyer once the seller delivers the goods to the carrier, even if the goods are damaged in transit. This provision is subject to the parties' agreement, and the UCC allows the parties to modify their risk of loss allocation by contract.

Under the Uniform Commercial Code (UCC) §2-319(1), the risk of loss in a shipment contract passes to the buyer once the seller delivers the goods to the carrier, even if the goods are damaged in transit. However, this provision is subject to the parties' agreement, and the UCC allows the parties to modify their risk of loss allocation by contract.

Here, the sales contract between Spada and Belson is a shipment contract, and it specifies FOB Oregon shipping point, which means that Spada is responsible for delivering the goods to the carrier and placing them in the hands of the carrier. However, the contract does not clearly specify the risk of loss allocation.

Therefore, Belson could argue that the risk of loss did not pass to him, and Spada is liable for the frozen potatoes. Belson could argue that Spada breached the contract by failing to provide floor racks or failing to take reasonable steps to prevent the potatoes from freezing during transit. Belson could also argue that Spada impliedly warranted that the potatoes were fit for their ordinary purpose, which includes not being frozen, and that the frozen potatoes breached that warranty.

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since beijing now boasts a large number of pet dogs, there are more than 300 shops for odd pet-care products. this sentence correctly uses conjunctions and punctuation.

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The sentence "Since Beijing now boasts a large number of pet dogs, there are more than 300 shops for odd pet-care products" is grammatically correct.


The sentence uses the conjunction "since" to indicate a causal relationship between the increase in pet dogs and the number of pet-care shops. The comma after "dogs" separates the dependent clause from the independent clause. The sentence is also correctly punctuated with a comma after "shops" to indicate the end of the independent clause.

A possible revision could be, "Since Beijing now boasts a large number of pet dogs, and there are more than 300 shops for odd pet-care products, it demonstrates the growth in demand for pet-related services." Here, the conjunction "and" connects the two related ideas, and proper punctuation is used to create a more coherent sentence.

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Why is important to do research to locate appropriate work or study and funding opportunities from various sources,before making the final decision

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Researching before making a decision is important to identify available options, select suitable opportunities, save time and money, and meet necessary requirements.

It is important to do research to locate appropriate work or study and funding opportunities from various sources before making the final decision because it helps in identifying all the available options and selecting the most suitable ones.Researching before making a decision can save time, money, and effort. One can identify the best opportunities by researching the available options. Researching funding opportunities can also help an individual determine the various funding options available, including grants, scholarships, and loans. This knowledge can assist an individual in choosing the most appropriate funding option for their needs. Additionally, researching can help an individual learn about the requirements for the available opportunities. This knowledge can help an individual prepare and ensure that they meet the required qualifications.

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at your full-service brokerage firm, it costs $125 per stock trade. how much money do you receive after selling 200 shares of time warner, inc. (tmx), which trades at $29.54?

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At your full-service brokerage firm, it costs $125 per stock trade. how much money do you receive after selling 200 shares of Time Warner, inc. (TMX) $5,708.50, trades at $29.54.

The given amount is:

it costs $125 per stock trade. After selling 200 shares of Time WarnerTrades at $29.54

The calculation is the

Trades × selling shares - cost$29.54 per share × 200 shares - $125 commission fee.Receive $5,708.50

As a result, the significance of the trades are the received are the aforementioned.

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A start-up company has the following expenses: Rent =$875 Utilities = $115 Material and assembly = $4.75/unit Monthly labor = $480
If its product sells for $18.99/unit, how many units must it sell to break even?

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A start-up company has the following expenses: Rent =$875 Utilities = $115 Material and assembly = $4.75/unit Monthly labor = $480, If its product sells for $18.99/unit. 104 units must it sell to break even

To calculate the break-even point for the start-up company, we need to consider both the fixed costs and variable costs. Fixed costs include rent, utilities, and monthly labor, while variable costs include material and assembly costs per unit.

Fixed costs:
Rent = $875
Utilities = $115
Monthly labor = $480
Total fixed costs = $875 + $115 + $480 = $1,470

Variable cost per unit:
Material and assembly = $4.75/unit

Revenue per unit:
Product price = $18.99/unit

Now, we'll use the break-even formula: Break-even point (in units) = Fixed costs / (Revenue per unit - Variable cost per unit)

Break-even point (in units) = $1,470 / ($18.99 - $4.75)
Break-even point (in units) = $1,470 / $14.24 ≈ 103.23

Since the company cannot sell a fraction of a unit, it needs to sell 104 units to break even.

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A stock sells for $6.99 on december 31, providing the seller with a 6 nnual return. what was the price of the stock at the beginning of the year?

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The stock price at the beginning of the year was approximately $6.59. The seller achieved a 6% annual return, increasing the stock value to $6.99 by the end of the year.

We'll use the terms "annual return" and "stock price" to solve the problem.

To find the initial stock price at the beginning of the year, we need to use the formula:

Initial Price = Final Price / (1 + Annual Return)

In this problem, the Final Price is $6.99, and the Annual Return is 6%. First, we need to convert the Annual Return percentage to a decimal by dividing it by 100.

Annual Return (decimal) = 6% / 100 = 0.06

Now, we can plug the values into the formula:

Initial Price = $6.99 / (1 + 0.06)

Add 1 to the Annual Return (decimal):

Initial Price = $6.99 / 1.06

Divide the Final Price by the result:

Initial Price ≈ $6.59

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Buzz Coffee Shops is famous for its large servings of hot coffee. After a famous case involving McDonald's, the lawyer for Buzz warned management (during 2011) that it could be sued if someone were to spill hot coffee and be burned: With the temperature of your coffee, I can guarantee it's just a matter of time before you're sued for $1,000,000. Unfortunately, in 2013, the prediction came true when a customer filed suit. The case went to trial in 2014, and the jury awarded the customer $400,000 in damages, which the company immediately appealed. During 2015, the customer and the company settled their dispute for $150,000. What is the proper reporting each year of the events related to this liability?

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In 2011, Buzz Coffee Shops received a warning from their lawyer about the possibility of being sued if a customer were to spill hot coffee and be burned, due to the temperature of their coffee. This event signaled the company's recognition of a potential liability.

In 2013, a customer filed a lawsuit against the company after being burned by their hot coffee. The case went to trial in 2014, and the jury awarded the customer $400,000 in damages, indicating a probable liability for the company. The company immediately appealed the decision.

In 2015, when the settlement was reached, the company would need to record the final settlement amount in their financial statements, as well as any additional legal expenses incurred to reach the settlement. The company would also need to disclose the final resolution of the liability in their financial statements for that year. Overall, proper reporting of the liability would involve disclosing the event, estimating the potential liability, reporting any legal expenses incurred, and ultimately disclosing the final resolution of the liability.

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what is the present value of the following set of cash flows, discounted at 14.4% per year? year 1 2 3 4 cf $96 −$96 $208 −$208

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The present value of the set of cash flows, discounted at 14.4% per year, is $54.61.

To calculate the present value of the cash flows, we need to discount each cash flow to its present value and then sum them up. The formula for calculating the present value of a cash flow is:

PV = CF / (1 + r)ⁿ

Where PV is the present value, CF is the cash flow, r is the discount rate, and n is the number of periods.

Using this formula, we can calculate the present value of each cash flow as follows:

PV of CF1 = 96 / (1 + 0.144)¹ = $83.87

PV of CF2 = -96 / (1 + 0.144)² = -$63.63

PV of CF3 = 208 / (1 + 0.144)³ = $138.44

PV of CF4 = -208 / (1 + 0.144)⁴ = -$104.07

Now, we can sum up the present values of each cash flow to get the total present value:

Total PV = PV of CF1 + PV of CF2 + PV of CF3 + PV of CF4

Total PV = $83.87 - $63.63 + $138.44 - $104.07

Total PV = $54.61

Therefore, the present value of the set of cash flows, discounted at 14.4% per year, is $54.61. This means that if you were offered these cash flows today and could invest them at a rate of 14.4% per year, they would be worth $54.61 in present value terms.

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______is typically used in businesses that primarily sell and produce standard products. For example, a company that manufactures and sells video recorders. a. An autonomous project organizational structure b. A functional organizational structure c. Amatrix organizational structure d. A project management office

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A functional organizational structure is typically used in businesses that primarily sell and produce standard products. Therefore, the correct option is B.

The functional organizational structure  is commonly used in businesses that produce standard products as it allows for efficient division of labor and specialization of tasks. In this structure, employees are grouped by function or department, such as production, marketing, or finance, and each department is headed by a manager who reports to a higher-level executive.

This allows for clear communication, streamlined processes, and the ability to quickly adapt to changes in the industry. For example, a company that manufactures and sells video recorders would likely use a functional organizational structure. While the other options may be used in some businesses, they are not typically associated with those that primarily produce standard products. Hence, the correct answer is option B: A functional organizational structure.

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A functional organizational structure is typically used in businesses that primarily sell and produce standard products. Option A is answer.

In a functional organizational structure, employees are grouped together based on their specific skills and roles, such as production, marketing, and finance. This structure allows for efficient and specialized work on specific tasks or areas of the business. A company that manufactures and sells standard products, such as video recorders, would benefit from a functional organizational structure as it would help ensure a consistent level of quality across their products.

Option B (A functional organizational structure) is the correct answer.

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what is the joinder provision aia are5.0

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The joinder provision in AIA ARE5.0 refers to the ability to join multiple parties in a single arbitration. It allows for greater efficiency in resolving disputes as opposed to having separate arbitrations for each party.

What is the purpose of the joinder provision in AIA ARE5.0?

The joinder provision in AIA ARE5.0 is an important tool in dispute resolution. It allows multiple parties to be joined in a single arbitration, which can lead to greater efficiency and cost savings compared to separate arbitrations for each party. This provision is particularly useful in situations where the parties are involved in a common dispute or transaction, as it can help to streamline the arbitration process and avoid inconsistent rulings.

For example, if two parties are involved in a construction dispute and a third party becomes involved in the same dispute, the joinder provision in AIA ARE5.0 would allow all three parties to be joined in a single arbitration. This would prevent the need for separate arbitrations and reduce the time and costs associated with the dispute resolution process.

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1. which of the seven principles of scm do you feel will be the most critical to the success of supply chains in the future?

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All seven principles of SCM are important, supply chain visibility will be critical to the success of supply chains in the future. As businesses face increasing pressure to meet customer demands while managing costs and risks, having a real-time view of the entire supply chain will be essential in achieving success.


Supply chain management (SCM) has become increasingly important in today's global economy, where businesses need to effectively manage their supply chains to remain competitive. The seven principles of SCM, including customer focus, continuous improvement, and supply chain visibility, are crucial in achieving success in supply chains.
Of these principles, I believe that supply chain visibility will be the most critical to the success of supply chains in the future. Supply chain visibility involves having a real-time view of the entire supply chain, from the sourcing of raw materials to the delivery of finished products to customers. This principle is becoming increasingly important as supply chains become more complex and global.
With supply chain visibility, businesses can identify potential disruptions, mitigate risks, and make informed decisions that improve efficiency and reduce costs. In addition, supply chain visibility enables businesses to enhance their customer service by providing accurate and timely information about product availability and delivery times.

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If a code of conduct is to be taken seriously, it must ______. A. Include every situation an employee might find themselves in b. Be applicable to every part of a business c. Be followed and enforced by the company’s owners d. Be short and to the point so everyone can read it quickly Please select the best answer from the choices provided A B C D.

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The best answer is B. Be applicable to every part of a business.

For a code of conduct to be taken seriously, it needs to be comprehensive and applicable to all aspects of a business. It should provide guidance and standards of behavior for employees at all levels and in various situations. A code of conduct that only applies to certain areas or individuals may create inconsistencies and undermine its effectiveness.

While it is important for a code of conduct to be followed and enforced by the company's owners and management (option C), this alone is not sufficient. The code should extend beyond the actions of a specific group and apply to the entire organization.

Option A is not the best answer because it is impractical and unrealistic to include every possible situation an employee might encounter in a code of conduct. However, the code should provide general principles and guidelines that can be applied to a wide range of situations.

Option D is not the best answer because the length of a code of conduct should not be the primary consideration. While it is important to communicate the code effectively and concisely, the focus should be on clarity and comprehensiveness rather than brevity.

Therefore, option B, "Be applicable to every part of a business," is the most appropriate choice for a code of conduct to be taken seriously.

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5. A piece of machinery has initial cost of $40.000 and results in an increase in annual maintenance costs of $2000. If the machine saves the company $10,000 per year, in how many years will the machine pay for itself if annual compounding is considered? (i=8%) A. 4 years B. 5 years C. 6 years D. 7 years E. 8 years

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The number of years it will take the machine pay for itself if annual compounding is considered is 6 years. Therefore, the correct option is C.

To find out how many years it will take for the machine to pay for itself, we need to use the formula for present value of an annuity:

PV = A[(1 - (1 + i)^-n)/i]

Where PV is the present value (initial cost of the machine), A is the annual savings, i is the interest rate (8% annually compounded), and n is the number of years.

We know that PV = $40,000, A = $10,000 - $2,000 = $8,000 (since the annual maintenance cost is subtracted from the annual savings), and i = 0.08. We need to solve for n.

40,000 = 8,000[(1 - (1 + 0.08)^-n)/0.08]

Multiplying both sides by 0.08 and dividing both sides by 8,000, we get:

0.05 = (1 - (1 + 0.08)^-n)

Subtracting 1 from both sides, we get:

-0.95 = -(1 + 0.08)^-n

Taking the natural logarithm of both sides, we get:

ln(0.95) = n ln(1.08)

Dividing both sides by ln(1.08), we get:

n = ln(0.95)/ln(1.08) ≈ 5.76

So it will take approximately 6 years for the machine to pay for itself, rounded to the nearest year. Therefore, the answer is C. 6 years.

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debt financing results in lower after-tax earnings relative to equity financing. a. true b. false

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The statement that "debt financing results in lower after-tax earnings relative to equity financing" is partially true.

Debt financing refers to borrowing money from lenders with an agreement to repay the borrowed amount with interest over a specific period. The interest paid on the borrowed money is tax-deductible, which means that the borrower can reduce their taxable income by the amount of interest paid. Therefore, debt financing can lead to lower after-tax earnings compared to equity financing. On the other hand, equity financing refers to raising money by selling shares in the company to investors. The company does not need to repay the money raised through equity financing. However, the company needs to share the profits with the shareholders, which can dilute the earnings per share of the existing shareholders. Additionally, there are no tax deductions associated with equity financing. In conclusion, debt financing can result in lower after-tax earnings relative to equity financing due to tax deductions associated with interest payments. However, the decision to choose between debt or equity financing depends on various factors, including the financial situation of the company, the cost of capital, and the level of risk tolerance of the investors.

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true or false select any one of the threats that have been covered in the business continuity chapter of the text and develop a disaster recovery plan (drp).

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The given statement "one of the threats that have been covered in the business continuity chapter of the text and develop a disaster recovery plan (drp) is True because one of the threats covered in the business continuity chapter is natural disasters, such as hurricanes.

I will develop a concise Disaster Recovery Plan (DRP) for a business facing a hurricane threat.

1. Risk Assessment: Identify critical business functions, infrastructure, and potential vulnerabilities in the face of a hurricane.

2. Backup and Recovery: Regularly backup essential data and store it off-site or on the cloud. Establish a recovery process for quick data restoration after the disaster.

3. Emergency Response Team: Form a team responsible for executing the DRP, including decision-makers, IT professionals, and communication specialists.

4. Evacuation Plan: Develop an evacuation plan for employees, including exit routes and safe meeting points.

5. Communication Plan: Maintain a communication protocol during and after the hurricane, ensuring employees, stakeholders, and emergency services are well-informed.

6. Alternate Facilities: Identify alternate workspaces, such as remote work or temporary office locations, to minimize downtime and ensure business continuity.

7. Testing and Review: Regularly test and review the DRP to ensure its effectiveness and make necessary adjustments.

By having a well-structured DRP in place, a business can mitigate the impacts of a hurricane, safeguard essential assets, and ensure a quick return to normal operations.

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Haines Manufacturing Company (HMC) bases its fixed overhead rate on practical capacity of 38,000 units per year. Budgeted and actual results for the most recent year follow: Budgeted Actual Fixed manufacturing overhead $912,000 $864,000Number of units produced 28,000 30,000 Required: 1. Calculate the fixed overhead rate based on practical capacity. (Round your final answer to 2 decimal places.) 2. Calculate the fixed overhead spending variance (Indicate the effect of each variance by selecting "F" for favorable, "U" for unfavorable.)3. Calculate the expected (planned) capacity variance. (Indicate the effect of each variance by selecting "F" for favorable, "U" for unfavorable.)4. Calculate the unexpected (unplanned) capacity variance.(Indicate the effect of each variance by selecting "F" for favorable, "U" for unfavorable.) 5. Calculate the total over- or underapplied fixed manufacturing overhead. (Indicate the effect of each variance by selecting "F" for favorable/Overapplied and "U" for unfavorable/underapplied.)

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Haines Manufacturing Company (HMC) bases its fixed overhead rate on a practical capacity of 38,000 units per year. The fixed overhead rate is $24.00 per unit. Fixed overhead spending variance = $48,000 U (unfavorable), Expected (planned) capacity variance = $48,000 U (unfavorable), Unexpected (unplanned) capacity variance = $24,000 F (favorable), Total fixed overhead variance = $72,000 U (unfavorable).

1. The fixed overhead rate based on practical capacity is calculated as follows:

Fixed overhead rate = Fixed manufacturing overhead / Practical capacity
Fixed overhead rate = $912,000 / 38,000 units
Fixed overhead rate = $24.00 per unit

2. The fixed overhead spending variance is calculated as follows:

Fixed overhead spending variance = Actual fixed overhead - Budgeted fixed overhead
Fixed overhead spending variance = $864,000 - $912,000
Fixed overhead spending variance = $48,000 U (unfavorable)

3. The expected (planned) capacity variance is calculated as follows:

Expected (planned) capacity variance = Fixed overhead rate x (Actual units produced - Budgeted units produced)
Expected (planned) capacity variance = $24.00 x (30,000 - 28,000)
Expected (planned) capacity variance = $48,000 U (unfavorable)

4. The unexpected (unplanned) capacity variance is calculated as follows:

Unexpected (unplanned) capacity variance = Actual fixed overhead - (Fixed overhead rate x Actual units produced)
Unexpected (unplanned) capacity variance = $864,000 - ($24.00 x 30,000)
Unexpected (unplanned) capacity variance = $24,000 F (favorable)

5. The total over- or underapplied fixed manufacturing overhead is calculated as follows:

Total fixed overhead variance = Fixed overhead spending variance + Expected (planned) capacity variance + Unexpected (unplanned) capacity variance
Total fixed overhead variance = $48,000 U + $48,000 U + $24,000 F
Total fixed overhead variance = $72,000 U (unfavorable)

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"in both the short run and in the long run, the typical firm in monopolistic competition and a monopolist each make a profit." do you agree with this statement? explain your reasoning.

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In monopolistic competition, firms produce differentiated products that are close substitutes for each other. This means that they have some degree of market power, but they also face competition from other firms in the market.

In the short run, a firm in monopolistic competition can make a profit by setting a price that is higher than its marginal cost. This is because consumers perceive the product to be somewhat unique and are willing to pay a premium for it. However, in the long run, other firms may enter the market with similar products, eroding the original firm's market power and driving down its profits. On the other hand, a monopolist has complete market power, as it is the only supplier of a certain good or service. In the short run, the monopolist can make a profit by setting a price that is higher than its marginal cost. However, in the long run, the absence of competition may lead to inefficiencies and a lack of innovation.

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Gemma tells her co-worker Sandy that her job is not meaningful and that she does not enjoy what she does, so she has started writing a blog about workplace happiness. In this example, Gemma writing the blog is an example of the cognitive component of an attitude.
Group of answer choices
True
False

Answers

The statement is false. In this example, Gemma writing the blog is not an example of the cognitive component of an attitude.

The cognitive component refers to the beliefs or thoughts an individual has about an object or situation. In this case, Gemma's belief that her job is not meaningful and that she does not enjoy what she does represents the cognitive component. The act of writing a blog about workplace happiness is a behavioral response to her thoughts and feelings, which falls under the behavioral component of an attitude. Attitudes consist of three components: cognitive, affective (emotions or feelings), and behavioral (actions or responses).

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a cost/volume/profit analysis predicts the sales dollars and volume required to achieve a breakeven point or a desired profit. true false

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The statement a cost/volume/profit analysis predicts the sales dollars and volume required to achieve a breakeven point or a desired profit is true.

A cost/volume/profit analysis is a financial tool that helps businesses determine the number of units they need to sell to cover their costs and make a profit. The analysis takes into account the fixed and variable costs of production, the selling price of the product, and the expected sales volume.

By using a cost/volume/profit analysis, businesses can predict the sales dollars and volume required to reach the breakeven point or a desired profit level. The breakeven point is the level of sales at which a business covers all its costs but does not make a profit. Anything beyond the breakeven point represents a profit.

In summary, a cost/volume/profit analysis is an important tool that helps businesses make informed decisions about pricing, sales volume, and profitability. By understanding the breakeven point and desired profit levels, businesses can set realistic goals and develop strategies to achieve them.

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A segment of a business enterprise is to be reported separately when the revenues of the segment exceed 10 percent of the A) total combined revenues of all segments reporting profits. total revenues of all the enterprise's industry segments В) C) total export and foreign sales. combined net income of all segments reporting profits D)

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A segment of a business enterprise is to be reported separately when the

revenues of the segment exceed 10 percent of the total combined

revenues of all segments reporting profits.

This means that if a segment's revenues exceed 10% of the total combined

revenues of all segments reporting profits, it must be reported separately

in the company's financial statements.

The other options listed are not accurate measures for determining

whether a segment should be reported separately.

Option B, "total revenues of all the enterprise's industry segments," is not a valid measure because a segment's revenue may be significant relative to the entire enterprise, even if it is small compared to other industry segments.

Option C, "total export and foreign sales," is not relevant to determining whether a segment should be reported separately.

Option D, "combined net income of all segments reporting profits," is also not relevant as net income is not the same as revenue.

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firm a is acquiring firm b by exchanging 100 of its shares for all the shares in b. what is the cost of the merger if the merged firm is worth $63,000? what will happen to firm a’s eps? its pe ratio?

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The cost of the merger for Firm A acquiring Firm B by exchanging 100 of its shares for all the shares in B, if the merged firm is worth $63,000, would be $63,000. The EPS of Firm A will decrease as a result of the acquisition, while its PE ratio will depend on various factors.

What factors determine the PE ratio of Firm A after acquiring Firm B?

When Firm A acquires Firm B by exchanging 100 of its shares for all the shares in B, the cost of the merger would be equal to the value of the merged firm, which is $63,000. However, the impact of the acquisition on Firm A's EPS and PE ratio depends on various factors, such as the earnings of Firm B, the number of shares outstanding, and the market conditions.

Typically, when a company acquires another company, its EPS decreases due to the dilution of earnings per share. The PE ratio, on the other hand, may increase or decrease depending on the market's reaction to the acquisition.

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A firm has PVGO of 0 and a market capitalization rate of 16.0%. What is the firm's P/E ratio?Options: 17.38 11.13 6.25 16.00

Answers

The firm's P/E ratio is 6.25. Therefore, the correct option is option 3.

To determine the firm's P/E ratio with a PVGO of 0 and a market capitalization rate of 16.0%, you can use the formula:

P/E ratio = (1 + g) / (k - g)

Here, PVGO (Present Value of Growth Opportunities) is 0, which means the growth rate (g) is 0. The market capitalization rate (k) is 16.0% or 0.16.

Now, plug these values into the formula:

P/E ratio = (1 + 0) / (0.16 - 0)

P/E ratio = 1 / 0.16

P/E ratio ≈ 6.25

Therefore, the P/E ratio is approximately 6.25, which corresponds to option 3.

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f a company is in the situation of having unlimited capital funds, the best decision rule, considering only financial factors, is for the company to invest in all projects in which:
The payback period is short.
The accounting (book) rate of return (ARR) is greater than its current return on invested capital (ROI).
The net present value (NPV) is greater than the cost of capital.
The internal rate of return (IRR) is greater than zero.
The NPV is greater than zero.

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The best decision rule for a company with unlimited capital funds is to invest in projects that meet the criteria of short payback period, high ARR, positive NPV greater than the cost of capital, positive IRR, and positive NPV.

When a company has unlimited capital funds, it can invest in any project that meets its financial criteria without being constrained by a limited budget. In this case, the company should evaluate potential projects using multiple financial criteria to ensure that it is making the most profitable investments.

The payback period is a measure of how quickly a project will generate cash flows to recoup its initial investment, while the ARR compares the expected profits to the initial investment.

The NPV compares the present value of expected cash flows to the initial investment, while the IRR calculates the rate of return on the investment. The company should invest in all projects that meet all of these criteria to maximize its profitability.

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Individual credit-scoring models typically include all of the following information except:
income.
length of time in residence.
credit history.
age.
ethnic background

Answers

Individual credit-scoring models does not include ethnic background. Option E is answer.

Credit-scoring models are used to assess an individual's creditworthiness and likelihood of repaying loans or credit obligations. They consider various factors to determine a person's credit score. These factors usually include income, length of time in residence, credit history, and age. Ethnic background, however, is not typically included in credit-scoring models as it is not a relevant or appropriate factor for evaluating creditworthiness.

The inclusion of ethnic background in credit assessment would be discriminatory and against fair lending practices. Instead, credit-scoring models focus on objective and relevant information that directly relates to an individual's financial behavior and creditworthiness.

Option E - "Ethnic background" is the correct answer.

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when using the indirect method, ______ an increase in deferred revenue to net income allows the inclusion of transactions that increase cash, but do not impact net income.a. addingb. lessc. more

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When using the indirect method of preparing a statement of cash flows, - A. adding an increase in deferred revenue to net income allows for the inclusion of transactions that increase cash but do not impact net income.

What is the reason?

This is because deferred revenue represents cash that has been received from customers for goods or services that have not yet been delivered.

By adding the increase in deferred revenue to net income, the statement of cash flows is able to account for the cash received, even though it does not impact net income.

This adjustment is important in accurately determining the cash flows from operating activities, which is one of the key sections of the statement of cash flows.

Hence, the correct answer is A.

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Regulatory Accounting Principles (RAP) can be used: Multiple Choice O as a source of statistical information. O O to determine the amount of dividend to be paid. to set the prices customers may be charged. O o as a basis for supervisory action.

Answers

Regulatory Accounting Principles (RAP) can be used as a basis for supervisory action.

RAP is a set of accounting principles that are specifically designed to be used by regulatory bodies in order to monitor and oversee the financial health and stability of the institutions they regulate.

By requiring regulated institutions to adhere to specific accounting practices, regulators can ensure that they have access to accurate and timely information about the financial condition of those institutions, which can in turn help them to take appropriate supervisory action when necessary. Therefore, the correct answer is "as a basis for supervisory action."

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Calculate approximately how many years it will take per capita GDP in the United States, Mexico, China, Rwanda, and Haiti to double, assuming that each country continues to grow at the same average rate as between 1960 and 2010. (Hint: Use the Rule of 70)

Answers

We can use the Rule of 70 to estimate how many years it will take per capita GDP in each country to double. The Rule of 70 states that if we divide 70 by the average annual growth rate of GDP per capita, we will get the approximate number of years it will take for GDP per capita to double.


Using this rule and data from the World Bank, we can estimate that it will take approximately:

- 35 years for per capita GDP in the United States to double, assuming an average annual growth rate of 2%
- 27.5 years for per capita GDP in Mexico to double, assuming an average annual growth rate of 2.5%
- 10 years for per capita GDP in China to double, assuming an average annual growth rate of 7%
- 22 years for per capita GDP in Rwanda to double, assuming an average annual growth rate of 3.2%
- 145 years for per capita GDP in Haiti to double, assuming an average annual growth rate of 0.5%

To apply the Rule of 70, you will need to know the average growth rate for each country between 1960 and 2010. Once you have these growth rates, you can calculate the approximate doubling time by dividing 70 by the growth rate.

1. Find the average annual growth rate for each country between 1960 and 2010.
2. Apply the Rule of 70 by dividing 70 by the average annual growth rate.
3. The result will give you the approximate number of years it will take for the per capita GDP to double for each country.


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What happens to the demand for the inputs in the factor market required to produce Wattsit's good as a result of the changes in part (h)?Here are my answers for part a,b,c,d, e, f, and g in case it will help:For section (a) and (c) allude to the connected diagram.(b) Even if Ampstand is acquiring financial benefits different firms would abstain from entering the market due to the accompanying reasons:- Being a characteristic monopolist Ampstand enjoys the benefit of Economies of Scale- Control over key regular assets and data sources or crude materials- Legal or specialized hindrances to passage may keep different firms from entering the market- Huge speculation and sunk expenses might be assosciated which would prompt colossal uses to incumbants(c) If government chooses to direct Ampstand's cost and follows a Fair-merchandise exchange.The value PFR and QFR are marked in the diagram.(d) If Ampstand’s all out income at PFR changes to $100 million its complete expense at this useful amount would likewise be equivalent to $100 million that is the region (OPFRCQFR) which is additionally the territory addressing all out income given $100 million

Answers

Based on the information provided, it is difficult to determine the exact changes in part (h) that are being referred to.

What is there?

However, assuming that there is a change in the demand for Wattsit's good, it is likely that there will be an impact on the demand for inputs in the factor market required to produce the good.

If the demand for Wattsit's good increases, the demand for inputs will also increase as more goods need to be produced. Conversely, if the demand for Wattsit's good decreases, the demand for inputs will also decrease as less goods need to be produced.

Overall, the changes in part (h) will likely affect the demand for inputs in the factor market and will have a corresponding impact on the production of Wattsit's good.

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An energy production company has the following information regarding the acquisition of new gas-turbine equipment.Purchase price = $780,000Transoceanic shipping and delivery cost = $4,300Installation cost (1 technician at $2,000 per day for 4 days) = $6,400Tax recovery period = 16 yearsBook depreciation recovery period = 8 yearsSalvage value = 12% of purchase priceOperating cost (with technician) = $185,000 per yearThe manager of the department asked your friend in accounting to enter the appropriate data into the tax-accounting program. What are the values of B, n, and S in depreciating the asset for tax purposes that he should enter?The value of B is determined to be $ .The value of S is determined to be $ .The value of n is determined to be years.

Answers

The manager of the department has asked to enter the appropriate data into the tax-accounting program. The value of B, for tax depreciation purposes, is $ 119,615.70. The value of S, for tax depreciation purposes, is $93,600. The value of B, for tax depreciation purposes, is 16 years.

To determine the values of B, n, and S for tax depreciation purposes, we need to use the Modified Accelerated Cost Recovery System (MACRS) which is a method of depreciation required by the Internal Revenue Service (IRS) in the United States.

First, we need to determine the asset's class life which is based on its recovery period. The recovery period for gas-turbine equipment is 10 years, so it falls under the 7-year MACRS property class.

Next, we need to determine the applicable percentage from the MACRS depreciation tables for the 7-year property class. For the first year, the applicable percentage is 14.29%. For the second year, it is 24.49%. For the third year, it is 17.49%. For the fourth year, it is 12.49%. For the fifth year, it is 8.93%. For the sixth year, it is 8.92%. And for the seventh year, it is 8.93%.

Using this information, we can calculate the values of B, n, and S as follows:

B = (Purchase Price + Shipping and Delivery Cost + Installation Cost) x Applicable Percentage for Year 1
B = ($780,000 + $4,300 + $6,400) x 14.29%
B = $119,615.70

n = Recovery Period in Years
n = 16 years

S = Purchase Price x Salvage Value Percentage
S = $780,000 x 12%
S = $93,600

Therefore, the values of B, n, and S for tax depreciation purposes are as follows:

The value of B is determined to be $119,615.70.
The value of S is determined to be $93,600.
The value of n is determined to be 16 years.

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