Required: Briefly explain whether the $7,000 and the $180,000 receipts constitutes ordinary income (4 marks). Alan works for a large investment bank called "Big Bank". He also regularly gives a 5 minute update on the day's events in financial markets on a late night TV show. Although the TV show does not pay him for this, Big Bank does give him $150 per appearance, as they believe that his appearance brings positive publicity to Big Bank. Alan earned $7000 from this activity in the past financial year. Recently, Big Bank has been experiencing tough economic conditions, and wishes to save some money. Subsequently, Big Bank gave Alan $180,000 (paid over two $90,000 instalments) in exchange for Alan agreeing to no longer receive annual bonuses that he had been entitled to in his contract. Alan had received bonuses of $50,000 - $100,000 per year for the last 5 years.

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Answer 1

Ordinary income refers to the earnings that an individual derives from their regular business or trade activities. In this case, we need to determine if the $7,000 and the $180,000 receipts constitute ordinary income for Alan.

The $7,000 earned from TV appearances: These payments can be considered ordinary income, as they are directly related to Alan's regular activities for Big Bank. The income is received consistently for his appearances and is associated with his employment, making it part of his regular income stream.

The $180,000 received in exchange for giving up annual bonuses: This receipt can also be considered ordinary income. Although it is a one-time payment, it replaces the bonuses Alan would have earned in his contract, which were part of his regular income structure. The $180,000 is compensation for forgoing future ordinary income, and therefore, it can be classified as ordinary income as well.

In conclusion, both the $7,000 earned from TV appearances and the $180,000 received in exchange for giving up annual bonuses can be considered ordinary income for Alan.

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Related Questions

1. State your response to #5 in your Project Plan—Who are the stakeholders in your business? How will you cater to their needs? Has this information remained the same at this point in your operation

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In response to #5 of the plan, the stakeholders in your business can include investors, employees, customers, suppliers, and the local community. To cater to their needs, you should maintain open communication channels, listen to their concerns, and strive for mutually beneficial relationships For investors, provide regular updates and financial reports to ensure transparency.

For employees, offer growth opportunities and fair compensation. For customers, deliver high-quality products and excellent customer service. For suppliers, establish long-term partnerships and timely payments. Lastly, engage with the local community through social responsibility initiatives and environmental stewardship.

It's essential to reassess stakeholder needs as your business evolves. At this point in your operation, it's crucial to confirm whether the information remains accurate or if any changes need to be addressed to better align with stakeholder expectations.

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Which of the following is considered in the calculation of unit cost under absorption costing? single click the box with the question mark to produce a check mark for a correct answer and double click the box with the question mark to empty the box for a wrong answer. any boxes left with a question mark will be automatically graded as incorrect.)

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Absorption costing is a method that allocates both fixed and variable manufacturing costs to the product, making it essential for managerial decision-making and financial reporting.

Under absorption costing, the unit cost consists of both fixed and variable costs. Specifically, these components are:
1. Direct materials: The raw materials used to produce the product.
2. Direct labor: The cost of labor involved in manufacturing the product.
3. Variable manufacturing overhead: The costs that vary proportionally with the production volume (e.g., utilities, indirect labor).
4. Fixed manufacturing overhead: The costs that remain constant regardless of the production volume (e.g., depreciation, rent, salaries of supervisors).

To calculate the unit cost under absorption costing, follow these steps:

Step 1: Add up the total direct materials, direct labor, variable manufacturing overhead, and fixed manufacturing overhead costs for the period.
Step 2: Divide the total cost from Step 1 by the number of units produced during the period.

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karen and anika are trying to settle on a final price for their different personal and workplace services. anika suggests applying an additional 15 percent to the cost of each individual service within each category of service. this pricing tactic is known as multiple choice price bundling. odd-even pricing. profit margining. prestige pricing. cost-plus (markup) pricing.

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Anika's pricing tactic of applying an additional 15 percent to the cost of each individual service within each category of service is an example of multiple-choice price bundling.

Multiple choice price bundling is a pricing strategy where different products or services are bundled together and sold at a discounted price. In this case, Anika is bundling different services within each category and adding a 15 percent premium to the cost. This can be an effective way to increase sales and profits, as customers may be more likely to purchase multiple services if they perceive a greater value in the bundled price.

Other pricing strategies mentioned in your question include odd-even pricing, profit margining, prestige pricing, and cost-plus (markup) pricing. Odd-even pricing involves setting prices just below a whole number (e.g. $9.99 instead of $10.00) to create a perception of a lower price. Profit margining involves setting prices based on the desired profit margin for each product or service. Prestige pricing is used to create a perception of high quality and exclusivity, often by setting prices higher than competitors. Cost-plus pricing involves adding a markup to the cost of production to determine the selling price.

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in the context of selecting the appropriate survey method, the less detailed the information needed, the higher the respondents' knowledge level must be to get them to participate in a survey. True or False?

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True. The main reason for this is that if the information needed is less detailed, the respondents must have a higher level of knowledge in order to accurately respond to the survey questions.

If they do not feel confident in their understanding of the topic, they may be less likely to participate in the survey.
In the context of selecting the appropriate survey method, the level of detail required in the information and the respondents' knowledge level are not directly related. The main factors to consider when choosing a survey method include the target audience, the type of data needed, and the resources available. The respondents' knowledge level will play a role in selecting the right questions and survey design, but it is not necessarily related to the level of detail in the information needed.

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Understanding risks that affect projects and the impact of risk consideration Garcia Real Estate is involved in commercial real estate ventures throughout the United States. Some of these ventures are much riskier than other ventures because of market conditions in different regions of the country. If Garcia does not risk-adjust its discount rate for specific ventures properly, which of the following is likely to occur over time? Check all that apply. The firm will increase in value The firm could potentially reject projects that provide a higher rate of return than the company should require. The firm's overall risk level will increase

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Garcia Real Estate's involvement in commercial real estate ventures throughout the United States exposes the company to various risks, including market risks, financial risks, and operational risks.

To manage these risks effectively, the company needs to understand the risks that affect its projects and the impact of risk consideration on its business.

One of the critical factors that influence the risk of a project is the market conditions in different regions of the country. Some ventures are much riskier than others, and if Garcia Real Estate does not adjust its discount rate for specific projects properly, it may face several consequences over time.

Firstly, the firm could potentially reject projects that provide a higher rate of return than the company requires. This could limit the company's growth opportunities and reduce its profitability over time. By ignoring risk considerations, Garcia may overlook potentially lucrative ventures, leading to missed opportunities.

Secondly, the firm's overall risk level may increase. If the company does not adequately account for risk, it may be exposed to more significant financial losses in the event of adverse market conditions or other unforeseen events. This could weaken the company's financial position and damage its reputation in the real estate industry.

Finally, if Garcia Real Estate fails to adjust its discount rate for specific ventures correctly, it may not accurately reflect the project's risk level. As a result, the company's valuation may be mispriced, leading to a decline in the firm's value over time.

In conclusion, understanding the risks that affect projects and the impact of risk consideration is crucial for Garcia Real Estate to manage its business effectively. By appropriately adjusting its discount rate for specific ventures, the company can mitigate risk, identify profitable opportunities, and maintain its financial health over time.

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Elena and Noah share income equally. For the current year, the partnership net income is $80,000. Elena made withdrawals of $28.000 and Noah made withdrawals of $30,000. At the beginning of the year, the capital account balances were: Elena, Capital, $84,000: Noah, Capital, $116,000. Noah's capital account balance at the end of the year is .... a. $126.000 b. $86,000 c. $186.000 d. $156,000

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Noah's capital account balance at the end of the year is $126,000.

Since Elena and Noah share income equally, their share of the partnership net income is $40,000 each. However, Elena made withdrawals of $28,000, so her share of the net income is reduced to $12,000. Similarly, Noah made withdrawals of $30,000, so his share of the net income is also reduced to $10,000.

Therefore, Elena's capital account balance at the end of the year is $84,000 + $12,000 - $28,000 = $68,000. And Noah's capital account balance at the end of the year is $116,000 + $10,000 - $30,000 = $96,000.

Since Elena and Noah share income equally, they should also share any losses equally. However, in this case, there is a net income of $80,000. Therefore, the $8,000 difference in their share of the net income is due to the difference in their withdrawals.

Finally, to find Noah's capital account balance at the end of the year, we need to add his share of the net income ($10,000) to his beginning capital account balance ($116,000), and subtract his withdrawals ($30,000).

Noah's capital account balance at the end of the year is $116,000 + $10,000 - $30,000 = $96,000 + $10,000 = $126,000.

The correct answer is a. $126,000.

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if a third party does not know that he is dealing with an agent and believes that the agent is acting on his own behalf and will perform on the contract, the principal in this situation is .

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If a third party does not know that he is dealing with an agent and believes that the agent is acting on his own behalf and will perform on the contract, the principal in this situation is undisclosed.

An undisclosed principal situation arises when the agent deliberately or unintentionally conceals the principal's identity or existence. The agent's actions still bind the principal, and both the agent and principal may be held liable for the contract's performance. However, the third party may also hold the agent liable for any breach of contract, as they believed the agent was the actual party responsible for fulfilling the contract terms.

In summary, an undisclosed principal is a principal whose identity or existence is not known to the third party during the contractual transaction. This can lead to legal complexities and potential liabilities for both the agent and the principal, as well as the third party involved.

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3. why must organizations focus on both shareholder wealth and the stakeholders?

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Both parties have a significant impact on the success of the organization. Shareholders invest in the company and expect a return on their investment, while stakeholders are individuals or groups that are affected by the organization's actions.

The shareholders are essential for an organization's financial stability, and their investments are necessary for the organization's growth and expansion.

On the other hand, stakeholders play a crucial role in the organization's social and ethical responsibilities, as they include employees, customers, suppliers, and the community.

Therefore, by focusing on both shareholder wealth and stakeholders, organizations can create a balance between financial success and social responsibility. This can lead to increased trust, loyalty, and long-term success for the organization.
Organizations must focus on both shareholder wealth and stakeholders to ensure financial stability, social responsibility, and long-term success. By creating a balance between the two, organizations can achieve sustainable growth and meet the needs of all parties involved.

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A multinational corporation's strategy that targets low-income customers in developing countries is known as the ______ ______ ______ ______ strategy.

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Answer: A multinational corporation's strategy that targets low-income customers in developing countries is known as the Bottom of the Pyramid (BOP) marketing strategy.

What is Bottom of Pyramid strategy? Bottom of Pyramid or Base of Pyramid (BoP) , in economics, comprises of the poorest two third population of economic human pyramid in which group of 4 billion people (approximately) live in absolute poverty. Moreover, BOP refers to a market-based model of economic development that promises to simultaneously reduce widespread poverty while providing growth and profits for multinational corporations (MNCs).  BOP approaches the idea that MNCs in particular have the growth opportunities, the financial resources, and the capabilities  to produce and distribute appropriate affordable products at high volumes with least profit margins.

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Han Products manufactures 47,500 units of part S-6 each year for use on its production line. At this level of activity, the cost per unit for part S-6 is as follows:
Direct materials $ 5.25 Direct labour 11.25 Variable overhead 4.25 Fixed overhead 10.05 Total cost per part $ 30.80 An outside supplier has offered to sell 47,500 units of part S-6 each year to Han Products for $27.25 per part. If Han Products accepts this offer, the facilities now being used to manufacture part S-6 could be rented to another company at an annual rental of $98,000. However, Han Products has determined that two-thirds of the fixed overhead being applied to part S-6 would continue even if part S-6 were purchased from the outside supplier.
Required:
What is the net dollar advantage or disadvantage of accepting the outside supplier’s offer? (Do not round intermediate calculations)

Answers

The net dollar disadvantage of accepting the outside supplier's offer is $51,625.

To determine the net dollar advantage or disadvantage of accepting the outside supplier's offer, we need to compare the current total cost of manufacturing part S-6 in-house to the cost of purchasing it from the supplier, considering the annual rental income from renting the facilities and the remaining fixed overhead.

1. Calculate the current total cost of manufacturing 47,500 units of part S-6 in-house:

Total cost per part = $30.80
Number of units = 47,500
Total cost = $30.80 * 47,500 = $1,463,000

2. Calculate the total cost of purchasing 47,500 units of part S-6 from the supplier:

Cost per part from supplier = $27.25
Number of units = 47,500
Total cost = $27.25 * 47,500 = $1,294,375

3. Calculate the annual rental income from renting the facilities:

Annual rental = $98,000

4. Calculate the remaining fixed overhead:

Total fixed overhead for 47,500 units = $10.05 * 47,500 = $477,375
Remaining fixed overhead (two-thirds) = $477,375 * (2/3) = $318,250

5. Calculate the net dollar advantage or disadvantage of accepting the outside supplier's offer:

Net advantage = (Current total cost - Total cost from supplier) + Annual rental - Remaining fixed overhead
Net advantage = ($1,463,000 - $1,294,375) + $98,000 - $318,250
Net advantage = $168,625 + $98,000 - $318,250
Net advantage = -$51,625

Accepting the outside supplier's offer will yield a net dollar disadvantage of is $51,625.

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Aldi is a no-frills grocery chain. It sells grocery staples right out of crates and boxes with emphasis on low-priced, private-label brands. Aldi stores are typically about one-third the size of the traditional supermarket. By controlling expenses, Aldi customers can expect to save 30 to 50 percent compared to Kroger customers. The chain targets bargain hunters who are willing to rent a cart and bag their own groceries. Aldi competitive advantage is based on:
Group of answer choices
its competition
low costs
promotion
stakeholders
the production concept

Answers

The correct option for Aldi's competitive advantage is "low costs." Option b is answer.

Aldi's strategy is to provide customers with low-priced, private-label brands sold straight out of crates and boxes, with no frills such as fancy displays or bagging services. By reducing costs, Aldi can offer lower prices to customers, giving it a competitive advantage over traditional supermarkets such as Kroger. Aldi also targets bargain hunters who are willing to trade some conveniences for lower prices, further reinforcing its low-cost strategy.

Aldi's competitive advantage of low costs is built on several key factors. Firstly, the company has a highly efficient supply chain that enables it to keep costs low. Aldi also keeps its stores small, reducing overhead costs. Additionally, Aldi has a limited selection of products, which allows it to buy in bulk and negotiate lower prices with suppliers. By keeping costs low, Aldi is able to offer customers lower prices, attracting bargain hunters who prioritize value over convenience or brand recognition.

In conclusion, Aldi's competitive advantage of low costs enables it to stand out in the highly competitive grocery industry.

Option b is answer.

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Suppose a 10-year, 10% semiannual coupon bond with a par value of $1,000 is currently selling for $1,135.90, producing a nominal yield to maturity of 8%. However, the bond can be called after 5 years for a price of $1,050.
a.) What is the bond's nominal yield to call (YTC)?
b.) If you bought this bond, do you think you would be more likely to earn the YTM or the YTC? Why?

Answers

a.) To calculate the bond's nominal yield to call (YTC), we need to find the yield that would make the bond's cash flows equal to the call price of $1,050. Using a financial calculator, we can solve for the YTC to be 10.65%.

b.) If you bought this bond, you would be more likely to earn the YTC rather than the YTM. This is because the bond can be called after 5 years for a price of $1,050, which is lower than the bond's current market value of $1,135.90. Therefore, if the bond is called, you would receive a lower return than if you held it to maturity.

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along with the personal technology (such as smart phone and smart watch) market, there is also a multiplier market that provides supporting and peripheral economy. which of the following categories takes the most share of this multiplier market?

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Mobile apps and wearable technology are two categories that take a significant share of the multiplier market, but there are several other categories that also play an important role in supporting and enhancing the personal technology experience.

Category that takes a significant share of multiplier market is mobile apps. They have become a ubiquitous part of the personal technology experience, providing users with everything from entertainment and social media to productivity tools and financial management.

The personal technology market has given rise to a multiplier market, which encompasses the supporting and peripheral economy. This market includes everything from accessories like cases, headphones, and screen protectors to software, apps, and services that enhance the functionality of personal devices.

According to Statista, in 2020, there were over 218 billion mobile app downloads worldwide, and this number is expected to continue to grow.Another category that takes a significant share of the multiplier market is wearable technology.

Wearable technology includes smartwatches, fitness trackers, and other devices that can be worn on the body. These devices have become increasingly popular in recent years, as consumers seek to track their health and fitness goals and stay connected to their digital lives. According to IDC, the global wearable market is expected to reach 396 million units shipped by 2022, up from 125 million in 2018.

Other categories that take a significant share of the multiplier market include mobile accessories, mobile payments and financial services, and mobile advertising.

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assuming that the initial money market equilibrium is at point b, how will an increase in the general price level affect this equilibrium?

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If the initial money market equilibrium is at point B, an increase in the general price level would cause a shift in the demand for money curve to the right. This is because when prices increase, people need more money to make the same level of transactions.

As a result, the equilibrium point would move from B to a new point on the LM curve to the right of B, indicating a higher interest rate and a lower level of output. This is because at the new equilibrium point, the demand for money is higher than the supply of money, leading to an increase in the interest rate to balance the market.

The increase in the interest rate would reduce investment and consumption spending, leading to a decrease in the level of output. In the long run, the increase in the general price level would also lead to an increase in the money supply by the central bank to meet the increased demand for money.

However, this would take some time, and in the short run, the equilibrium point would move as described above.

Overall, an increase in the general price level would lead to a higher interest rate, a lower level of output, and a temporary shift in the money market equilibrium to the right.

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treasury stock that had been purchased for $4,810 last month was reissued this month for $5,150. the journal entry for the reissuance would include a credit to

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The journal entry for the reissuance of treasury stock would include a credit to the Treasury Stock account and a debit to the Cash account for the amount received.

Assuming that there are no other relevant transactions, the journal entry to record the reissuance of the treasury stock would be as follows:

Debit: Cash - $5,150

Credit: Treasury Stock - $4,810

Credit: Additional Paid-in Capital - $340

The credit to Additional Paid-in Capital represents the difference between the cost of the treasury stock ($4,810) and the amount received upon reissuance ($5,150). This is because the company is not allowed to credit the Treasury Stock account for more than the cost of the shares originally purchased.

Overall, the reissuance of treasury stock results in a decrease in the company's treasury stock balance and an increase in its cash balance. The credit to the Treasury Stock account represents the reduction in the company's ownership of its own stock.

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Q1. a) A is enjoying his summer holidays in Shimla. In his absence, a storm damages the front lawn in the house of A. B his next-door neighbor and friend calls the gardener and gets the lawn maintained. After coming back A promises to pay, in writing, Rs. 500 to B for the expenses incurred and time spent. Later on, A refuses to pay. Can B recover the amount from A? (7 Marks)

Answers

B can potentially recover the amount of Rs. 500 from A through legal action. By promising to pay in writing, A entered into a contract with B to reimburse him for the expenses and time spent on maintaining the damaged lawn.

A breach of contract occurs when one party fails to fulfill their obligations under the agreement. In this case, A's refusal to pay violates the terms of the contract and B may be entitled to seek damages in court. However, the success of B's legal action will depend on the specific details of the contract and any evidence that can be presented to support his claim.

A goes on summer holidays in Shimla, leaving his house unattended. A storm damages A's front lawn during his absence. B, A's next-door neighbor and friend, takes the initiative to call a gardener and gets the lawn maintained. A returns from his holidays and becomes aware of B's efforts to maintain his lawn. A writes a promise to pay Rs. 500 to B for the expenses incurred and time spent on the lawn maintenance. Later, A refuses to pay the promised amount to B. Since A made a written promise to pay B for the expenses and time spent on maintaining the front lawn, B has legal grounds to recover the amount from A. The written promise serves as evidence of A's commitment to reimburse B, and can be used in a court of law to hold A accountable for his refusal to pay the agreed-upon amount.

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what models information and provides assistance in evaluating and choosing among different courses of action? question 14 options:

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A decision support system (DSS) is a model that provides information and assistance in evaluating and choosing among different courses of action. It helps users make informed decisions by analyzing and processing data from various sources.

Decision-making models are designed to provide assistance in evaluating and choosing among different courses of action. These models can help individuals or organizations make informed decisions by analyzing the costs, benefits, and potential outcomes of each option.

Common decision-making models include the rational decision-making model, the bounded rationality model, and the intuitive decision-making model.

These models use various methods such as cost-benefit analysis, SWOT analysis, and risk analysis to evaluate options and make informed decisions.

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assuming a current ratio of 1.00 and an acid-test ratio of 0.75, how will the purchase of short-term investments with cash affect each ratio?

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Assuming a current ratio of 1.00 and an acid-test ratio of 0.75, the purchase of short-term investments with cash will decrease the current ratio and the acid-test ratio.

When a company purchases short-term investments with cash, both the current ratio and acid-test ratio can be affected. The current ratio is calculated as current assets divided by current liabilities.

Since short-term investments are considered current assets, purchasing them with cash will not change the total current assets, and the current ratio will remain unchanged at 1.00.

This is because cash is included in the calculation of the current ratio and the acid-test ratio, but short-term investments are not considered as part of current assets in the acid-test ratio calculation.

Therefore, the purchase of short-term investments with cash will reduce the amount of cash available and increase the amount of short-term investments, resulting in a lower current ratio and acid-test ratio.

The acid-test ratio, also known as the quick ratio, is calculated as (current assets - inventory) divided by current liabilities.

Since short-term investments are considered part of the quick assets, purchasing them with cash will increase the quick assets without affecting the current liabilities.

Therefore, the acid-test ratio will improve, rising from 0.75 to a higher value depending on the amount of short-term investments purchased.

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Fabina Company paid one year insurance for $1,500. It was recorded as Debit to Cash for $1,500 and Credit to Prepaid Insurance for $1,500.* A. True
B. False
Fabina Company performed services on account for $2,000. It was recorded as Debit to Accounts Receivable for $2.000 and Credit to Service Revenue for $2,000. A. True B. False

Answers

The transaction for the payment of one year insurance was recorded correctly with a debit to cash and a credit to prepaid insurance. This means that the payment was made in advance and the company has the right to use the insurance for the next year.

For the second transaction, it is also recorded correctly with a debit to accounts receivable and a credit to service revenue. This means that the company performed services and expects to receive payment in the future.  The transaction described indicates that Fabina Company paid for one year of insurance in advance and recorded it as a debit to Cash for $1,500 and a credit to Prepaid Insurance for $1,500.

The transaction described indicates that Fabian Company performed services on account and recorded it as a debit to Accounts Receivable for $2,000 and a credit to Service Revenue for $2,000.

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when writing a sales message, you can by developing your central selling points with rational or emotional appeals. rational appeals are associated with , and emotional appeals are associated with .

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When writing a sales message, you can persuade your audience by developing your central selling points with rational or emotional appeals.

Rational appeals are associated with logic and reasoning, while emotional appeals are associated with feelings and emotions.

A rational appeal focuses on presenting factual information, statistics, and logical arguments to persuade the target audience. This approach highlights the product or service's features, benefits, and practicality. For instance, you may showcase a product's durability or cost-effectiveness, backed by data and research.

On the other hand, an emotional appeal aims to evoke feelings such as happiness, nostalgia, or security, creating a connection between the audience and the product or service.

This approach often utilizes storytelling, imagery, or relatable situations to engage the audience emotionally. For example, you might share a heartwarming story of how your product has positively impacted someone's life.

In summary, rational appeals use logic and facts, while emotional appeals leverage feelings to persuade the audience in a sales message.

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marketers from companies like amazon appeal to consumers' by forwarding product-related questions asked by other consumers.

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Marketers from companies like Amazon have adopted a unique approach to appeal to consumers. They forward product-related questions asked by other consumers to help increase their sales. This strategy of engaging with customers has become a crucial aspect of modern-day marketing.The primary reason why marketers use this strategy is to build consumer trust.

Customers are more likely to trust the opinions of other customers than the company's advertisements. By forwarding questions and reviews, marketers enable consumers to engage with each other and share their experiences. This process creates a sense of community and enhances the company's brand image.
Furthermore, forwarding questions asked by other consumers also helps to address any doubts or uncertainties that potential buyers may have. Customers may be hesitant to purchase a product due to a lack of information. By addressing these concerns, marketers increase the likelihood of the customer making a purchase.
Overall, the strategy of forwarding product-related questions asked by other consumers is an effective way to appeal to customers. It enables marketers to engage with customers, build trust, and address any concerns they may have. With the growing importance of customer engagement, this strategy will continue to play a crucial role in modern-day marketing.

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__________ is a promotion strategy that calls for using the sales force and trade promotion to move the product through channels.

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Push strategy is a promotion strategy that calls for using the sales force and trade promotion to move the product through channels.

In this strategy, the focus is on using the sales force and trade promotions to push the product through the channels and reach the end customers. The main goal of this strategy is to create demand for the product and ensure that it is readily available in the market.

The sales force plays a crucial role in this strategy by promoting the product to the retailers and wholesalers, convincing them to stock the product, and pushing them to sell it to their customers. Trade promotions such as discounts, incentives, and promotional offers are also used to persuade retailers and wholesalers to promote and sell the product.

The push strategy is effective in industries where there is stiff competition and where the product has a short shelf life. It is also used in situations where the product is new and needs to be introduced to the market. However, this strategy can be costly, and there is a risk of overselling the product, resulting in excess inventory and loss of profits.

Overall, the push strategy is a promotion strategy that can be effective when executed correctly. It requires a strong sales force and an effective trade promotion strategy to ensure that the product is available and visible in the market.

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Atos expected to pay $2.00 per where every year ridefinitely and the equty cost of capital for the company is 10% What price would an investor be expected to pay per share next year? O A $13.00 OB $19.50 OG $6.50 OD. $20.00 An annuity is set up that will pay $1,600 per year for nine years. What is the present value (PV) of this annuity given that the discount rate is 5%? A $11,373 B. $15,022 OC. 56,824 OD 513,648 What is the coupon rate of a cight-year. $5,000 bond with semiannual coupons and a price of $4,757 21. If it has a yield to maturity of 6.6%? OA 6.971% OB. 5.809% OC. 4847% OD 8.133% 14 $16,000 is invested at 13% per year, in approximately how many years will the investment double? A. 11.4 years B. 6.6 years O C. 8.6 years OD 5.7 years

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For the first question, Price is $20.00 per share. For the second question, the answer is A $11,373. For the third question,  option A, 6.971% is the right answer. For the fourth question, the investment will double in D, 5.7 years.

For the first question, we can use the formula: Price = Dividend / (Cost of Equity - Growth Rate). Since the dividend is expected to remain constant, the growth rate is 0. Therefore, Price = 2 / (0.1 - 0) = $20.00 per share. Therefore, the answer is D.

For the second question, we can use the formula for the present value of an annuity: PV = Payment x [1 - (1 + r/2)^-n] / (r/2), where r is the discount rate and n is the number of periods (in this case, semiannual periods). Plugging in the values, we get PV = 1600 x [1 - (1 + 0.05/2)^-18] / (0.05/2) = $11,373. Therefore, the answer is A.

For the third question, we need to calculate the semiannual coupon payment, which is $5,000 x (Coupon Rate / 2) = $5,000 x (Coupon Rate / 200). We know that the price of the bond is $4,757.21, which is less than the face value of $5,000. This means that the bond is selling at a discount, and the yield to maturity is greater than the coupon rate. Using a financial calculator or spreadsheet, we can find that the yield to maturity is 6.971%. Therefore, the coupon rate is 2 x 6.971% = 13.942%, which is closest to option A, 6.971%.

For the fourth question, we can use the rule of 72, which states that the number of years it takes for an investment to double is approximately 72 divided by the annual rate of return. In this case, the rate of return is 13%, so the investment will double in approximately 72 / 13 = 5.54 years. Therefore, the answer is closest to option D, 5.7 years.

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Many ERP implementations fail to realize all the benefits because they don't provide the system with enough network ________.
A) bandwidth
B) traffic
C) software
D) hardware
E) none of the above

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The correct answer is: A) bandwidth. Many ERP implementations fail to realize all the benefits because they don't provide the system with enough network bandwidth.

Bandwidth refers to the maximum amount of data that can be transmitted over a network or communication channel in a given amount of time. It is typically measured in bits per second (bps), and it determines how much data can be transmitted at once.

In practical terms, bandwidth refers to the capacity of a network or communication channel to transfer data. A higher bandwidth means that more data can be transferred in a given amount of time, while a lower bandwidth means that fewer data can be transferred.

Bandwidth is an important factor in determining the speed and performance of a network or communication channel. For example, a network with high bandwidth can support faster download and upload speeds, faster data transfer rates, and better streaming quality.

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Fairmont Company has shipped goods to Willowbrook Recreation FOB shipping point. Fairmont will recognize sales revenue when:_______

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Fairmont Company has shipped goods to Willowbrook Recreation FOB shipping point. Fairmont will recognize sales revenue when the goods are shipped, as FOB shipping point indicates that the buyer takes responsibility for the goods once they leave the seller's premises.

In this situation, FOB (Free on Board) shipping point means that the ownership of the goods transfers from Fairmont Company to Willowbrook Recreation as soon as the goods leave Fairmont's shipping dock.

Consequently, Fairmont Company can recognize sales revenue at the time of shipment because the buyer, Willowbrook Recreation, assumes all risks and responsibilities associated with the transportation of the goods from the shipping point.

To recap the steps:

1. Fairmont Company prepares the goods for shipment.


2. Goods are shipped from Fairmont Company's shipping dock.


3. Ownership and responsibility for the goods transfer from Fairmont Company to Willowbrook Recreation at the shipping point.


4. Fairmont Company recognizes sales revenue as soon as the goods are shipped, since the buyer, Willowbrook Recreation, takes ownership at that point.

In conclusion, Fairmont Company recognizes sales revenue when the goods are shipped to Willowbrook Recreation FOB shipping point, as the transfer of ownership and responsibility for the goods occurs at the time of shipment. This allows Fairmont to record the revenue immediately and reflects the proper allocation of risks and responsibilities between the two parties.

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Current Attempt in Progress Ayayal Company obtained land by issuing 1.760 shares of les $10 par value ordinary shares. The land was recently appraised at $85.000 The ordinary shares are actively traded at $40 per share Prepare the journal entry to record the acquisition of the land.

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The journal entry to record the acquisition of the land by Ayayal Company would be:

Land                     $85,000
   Common Stock        $70,400
   Additional Paid-In Capital    $14,600

Explanation:

The land was obtained by issuing 1.760 shares of les $10 par value ordinary shares. Therefore, the total value of the shares issued would be:

1,760 shares x $10 par value = $17,600

To determine the number of shares issued, we divide the value of the land ($85,000) by the market value per share ($40):

$85,000 / $40 = 2,125

Therefore, Ayayal Company issued 2,125 shares to acquire the land.

The common stock portion of the journal entry would be:

2,125 shares x $10 par value = $21,250

This amount represents the par value of the shares issued to acquire the land.

The remaining amount of $49,750 ($85,000 - $21,250) represents the excess of the land's appraised value over the par value of the shares issued. This excess amount is recorded in the additional paid-in capital account.

Therefore, the journal entry to record the acquisition of the land would be:

Debit Land                         $85,000
Credit Common Stock        $21,250
Credit Additional Paid-In Capital  $14,600

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long-range planning as a management function is more important:

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Long-range planning as a management function is crucial for the success of any organization. It involves forecasting future trends, setting goals, and identifying strategies to achieve those goals.

Effective long-range planning provides a roadmap for the organization, helping it to adapt to changes in the business environment and stay ahead of its competitors. It also helps to ensure that resources are allocated efficiently and that the organization's resources are utilized optimally.

Long-range planning enables managers to make informed decisions, based on data-driven insights, and reduces the risk of making hasty decisions that may lead to failure.

In conclusion, long-range planning is a critical function of management that helps organizations to achieve their objectives, remain competitive, and succeed in today's fast-paced business environment.

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brianna is in charge of marketing for a nonprofit agency that supports a local food bank. she just received the go-ahead from her board of directors to conduct the agency's first-ever advertising campaign. her first step will be to

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Brianna's first step in conducting her nonprofit agency's first-ever advertising campaign for a local food bank should be: to identify the target audience and develop a clear message that resonates with them.

Identifying the target audience is essential because it will help Brianna determine the most effective channels to reach them, whether it be social media, print advertising, or other means. Once she has identified her audience, Brianna can tailor her message to speak directly to them and highlight the specific ways in which the food bank supports their needs.

This may involve emphasizing the organization's impact on the local community, showcasing success stories of individuals who have benefited from the food bank's services, or highlighting upcoming events or volunteer opportunities.

By focusing on her target audience and crafting a compelling message, Brianna can maximize the impact of her advertising campaign and increase awareness of the food bank's mission, ultimately driving increased support and engagement from the community.

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A human resources manager, is reviewing the applicants for a new position along with the line manager for that position to decide which ones to bring in for interviews. cautions the line manager that the ________ is the stage of the selection process most likely to introduce discrimination into the hiring process.

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A human resources manager, while reviewing the applicants for a new position along with the line manager for that position, cautions the line manager that the interview stage of the selection process is most likely to introduce discrimination into the hiring process.

It is important to ensure that all candidates are asked the same questions and are evaluated based on their qualifications and skills, rather than their personal characteristics or biases. The human resources manager should work closely with the line manager to establish clear criteria for the selection process and ensure that all candidates are given a fair and equal opportunity to demonstrate their abilities.

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a(n) instrument is payable to anyone in physical possession of the instrument who presents it for payment when it is due.

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The instrument is a bearer instrument.

A bearer instrument is a type of financial instrument or security that is payable to whoever holds the physical possession of the instrument. The ownership of the instrument is not registered and can be transferred by mere delivery.

In the case of a bearer instrument, the person who is in possession of the instrument at the time of payment is entitled to receive payment. Examples of bearer instruments include bearer bonds, banknotes, and certain types of checks.

This type of instrument is different from a registered instrument, which is payable only to a specific person or entity whose name is listed on the instrument. Bearer instruments can be risky as they can be lost or stolen, and the person who possesses the instrument at the time of payment will be entitled to the funds, even if they are not the rightful owner.

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