What is the last step in the international planning process? matching company and country needs developing the marketing plan adapting the marketing mix according to market segments implementation and control defining target markets and adapting the marketing mix accordingly

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Answer 1

The last step in the international planning process is implementation and control. This involves putting the marketing plan into action and monitoring its performance.

The last step in the international planning process is the implementation and control of the marketing plan. Once the target markets have been defined and the marketing mix has been adapted accordingly, it is crucial to put the plan into action and monitor its effectiveness. Implementation involves executing the planned marketing activities, such as product positioning, pricing strategies, promotional campaigns, and distribution channels, in the target international markets.

During the implementation phase, it is important to closely monitor the performance and outcomes of the marketing initiatives. This involves assessing key performance indicators, tracking sales data, measuring customer responses, and gathering feedback from the target markets. By closely monitoring and controlling the implementation process, companies can identify any deviations from the plan, make necessary adjustments, and ensure that the marketing efforts align with the company's goals and objectives.

Effective implementation and control provide valuable insights for continuous improvement and allow companies to optimize their international marketing strategies, enhance market penetration, and achieve their desired business outcomes.

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which of the following are concepts taught in a financial accounting course? understanding and applying the policies and procedures that a business puts in place to protect the business reporting what a business owns and owes reporting the cash a business receives and spends

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Concepts taught in a financial accounting course include reporting what a business owns and owes, as well as reporting the cash a business receives and spends. Option B, C.

In a financial accounting course, the following concepts are typically taught:

a. Understanding and applying the policies and procedures that a business puts in place to protect the business:

Financial accounting involves understanding and applying internal controls and safeguards to protect a business from fraud, errors, and mismanagement. This includes implementing proper segregation of duties, maintaining accurate records, conducting regular audits, and ensuring compliance with laws and regulations.

b. Reporting what a business owns and owes:

Financial accounting focuses on reporting a business's assets, liabilities, and equity. This includes identifying and valuing the resources owned by the business (such as cash, inventory, property, and equipment) and the amounts owed to creditors or other stakeholders (such as loans, accounts payable, and accrued expenses).

c. Reporting the cash a business receives and spends:

Financial accounting involves accurately recording and reporting the cash inflows and outflows of a business.

This includes documenting sales revenue, expenses, cash payments to suppliers, cash receipts from customers, and other financial transactions related to cash. Cash flow statements are often prepared to summarize the sources and uses of cash within a given period.

These concepts are essential for understanding the financial health of a business, evaluating its performance, and making informed decisions. So Option B,C  is correct.

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Note the complete question is

4. Which of the following are concepts taught in a financial accounting course?

a. Understanding and applying the policies and procedures that a business puts in place to protect the business

b. Reporting what a business owns and owes

c. Reporting the cash a business receives and spends

what category of planning covers a period from a day to 6 months with daily or weekly time increments?

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The category of planning that covers a period from a day to 6 months with daily or weekly time increments is known as short-term planning.

Short-term planning is focused on shorter timeframes ranging from a day to several months. It involves setting objectives and making decisions that are more immediate and tactical in nature. This type of planning is commonly used to address operational activities, resource allocation, and specific goals within a relatively short timeframe. Short-term planning typically involves tasks and activities that need to be accomplished in the near future. It may include setting daily or weekly targets, creating schedules, assigning tasks, and ensuring timely execution of plans. This level of planning is particularly important for managing day-to-day operations, addressing immediate challenges, and making adjustments based on current circumstances.

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transfer payments are question 16select one: a. included in gdp because they represent income to individuals. b. included in gdp because they eventually will be spent on consumption. c. not included in gdp because they are not payments for currently produced goods or services. d. not included in gdp because taxes will have to be raised to pay for them.

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Transfer payments are not included in GDP because they are not payments for currently produced goods or services.

Transfer payments refer to payments made by the government to individuals or groups without the exchange of goods or services. They are typically aimed at redistributing income or providing assistance, such as social security benefits, welfare payments, or unemployment benefits. Transfer payments do not represent payments for the production of goods or services in the current period, and therefore they are not included in the calculation of GDP (Gross Domestic Product). The calculation of GDP focuses on the value of final goods and services produced within an economy during a specific time period. It includes only those transactions that involve the exchange of goods and services for a price. Transfer payments, on the other hand, do not involve the production of goods or services and do not contribute directly to economic output.

While transfer payments may provide income to individuals, their inclusion in GDP would result in double counting. For example, if social security benefits were included in GDP, it would be counting the government's payment as well as the subsequent spending of those benefits by individuals, leading to an inflated measure of economic output.

In summary, transfer payments are not included in GDP because they are not payments for currently produced goods or services. Instead, they are transfers of income or resources without a corresponding production activity.

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Which of the following statements regarding a monopolistic competitor in a state of long-run equilibrium is correct? O P = ATC-MC-MR. O (P-ATC) > (MC-MR). O P> ATC> (MC MRI. O P> (ATC MC MR).

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In a monopolistic competition market structure, firms have some degree of market power due to product differentiation

n the long-run equilibrium, the following conditions hold: P > MR: The price (P) charged by the firm is greater than its marginal revenue (MR). This is because, in monopolistic competition, the firm faces a downward-sloping demand curve, and to maximize profits, it produces where MR equals marginal cost (MC).MC = MR: In the long-run equilibrium, the firm operates at the quantity where marginal cost (MC) equals marginal revenue (MR). This ensures that the firm is producing at an efficient level where the last unit produced adds as much to revenue as it does to cost.ATC > MC: The average total cost (ATC) of production is higher than the marginal cost (MC). This indicates that the firm is experiencing economies of scale and is not operating at the minimum efficient scale.P > ATC: The price (P) charged by the firm is higher than the average total cost (ATC). This indicates that the firm is making positive economic profits in the long-run equilibrium. Therefore, the correct statement is: P > ATC > MC = MR.

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conventional supermarkets typically have the smallest margin on which type of product?

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The margin on basic goods is often the smallest at traditional supermarkets. These goods include commonplace essentials like bread, milk, eggs, and basic household supplies that customers often buy.

Since there is a great demand for and a large supply of these products, supermarkets frequently compete on price to draw customers. As a result, profit margins on staple goods are typically smaller than those on specialist or high-end goods. Supermarkets rely on substantial sales volumes to offset the lower profit margins on basic goods. Supermarkets hope to increase consumer traffic and stimulate extra purchases of higher-margin products around the shop by providing competitive rates on necessities.

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financial statement frauds and potential of between information providers and users leads to a natural skepticism on the part of users. (enter only one word per blank.)

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In summary, the potential for financial statement frauds and the relationship between information providers and users contribute to a natural skepticism among users. It is important for users to exercise due diligence, scrutinize financial statements, and rely on independent audits and regulatory oversight to mitigate the risk of fraud.

Financial statement frauds occur when companies manipulate their financial statements to deceive investors, creditors, or other users of the information. This can lead to a loss of trust and skepticism among users.

The potential for fraud arises from the relationship between information providers (companies) and users (investors, creditors, etc.). Companies may have incentives to misrepresent their financial performance to attract investments or secure favorable credit terms. Users, on the other hand, rely on financial statements to make informed decisions about investing or lending.

This dynamic creates a natural skepticism among users. They become cautious and doubtful about the accuracy and reliability of financial information provided by companies. Users may question the integrity of the reported numbers, suspecting hidden agendas or attempts to deceive.

The consequences of financial statement frauds can be significant. Investors may suffer financial losses, and creditors may face defaults. The reputation of the company may be tarnished, affecting future relationships and opportunities.

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Producer surplus is a. the opportunity cost of production minus the cost of producing goods that go unsold. b. the amount a seller is paid minus the cost of production. c. measured using the demand curve for a good.

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Producer surplus is (Option b) the amount a seller is paid minus the cost of production.

It is the difference between the price a seller is willing to accept for a good and the price they actually receive. It is a measure of the economic benefit that producers receive from selling their goods.

The demand curve for a good shows the quantity of a good that consumers are willing to buy at different prices. It is not used to measure producer surplus.

The opportunity cost of production is the value of the next best alternative that a producer gives up when they choose to produce a good. It is not used to measure producer surplus.

The cost of producing goods that go unsold is not part of producer surplus. Producer surplus only considers the goods that are actually sold.

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Describe the relationship between cost and benefit in normal situation and affective heuristic? - A) in affective Heuristic perceived risk and perceived benefit are inversely related - - B) in reality, risks and benefits most probably correlate positively, because high risks are taken only if they promise great benefits. - C) A and B - D) None

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B) in reality, risks and benefits most probably correlate positively because high risks are taken only if they promise great benefits.

In reality, risks and benefits generally correlate positively. High risks are typically undertaken when there is an expectation of substantial benefits. This is because individuals are more likely to engage in risky behavior when they perceive a higher potential payoff or reward. People are inclined to weigh the potential benefits against the associated risks, and if the benefits outweigh the risks, they are more likely to take the risk.

This positive correlation between risks and benefits is commonly observed in various contexts, such as investments, entrepreneurship, and decision-making.

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A broker lists a property. A 6% commission is agreed to, and the listing is placed in the MLS. The sale commission is to be split as follows: 45% to the listing broker and 55% to the selling broker. A sales associate who works for a cooperating broker sells the property for $245,000. The sale associate's agreement with her employer calls for a 60% share of all commissions she brings to the company. How much is due to the sales associate

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To calculate the amount due to the sales associate, we need to determine the total commission earned and then calculate the sales associate's share.Therefore, the amount due to the sales associate is $8,820.

To calculate the amount due to the sales associate, we need to determine the total commission earned and then calculate the sales associate's share.

The total commission earned from the sale would be 6% of the sale price, which is $245,000 * 0.06 = $14,700.

Now, we need to calculate the share of the sales associate. According to her agreement, she receives 60% of all commissions she brings to the company.

The sales associate's share would be $14,700 * 0.60 = $8,820.

Therefore, the amount due to the sales associate is $8,820.

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The entry to record reimbursement of the petty cash fund for postage expense should include:___.

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The entry to record reimbursement of the petty cash fund for postage expense should include a debit to Postage Expense and a credit to Petty Cash.

When reimbursing the petty cash fund for postage expense, the journal entry should reflect the increase in Postage Expense and the decrease in the Petty Cash account. The debit to Postage Expense recognizes the expense incurred for postage, while the credit to Petty Cash reduces the balance of the petty cash fund.

The entry would typically be recorded as follows:

Debit: Postage Expense

Credit: Petty Cash

This entry ensures that the postage expense is properly accounted for in the financial records, and the petty cash fund is replenished for the amount spent on postage.

To record the reimbursement of the petty cash fund for postage expense, a journal entry is made with a debit to Postage Expense and a credit to Petty Cash, reflecting the expense and replenishment of the petty cash fund respectively.

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Final answer:

The entry to record reimbursement of the petty cash fund for postage expense includes a debit to the expense account and a credit to the petty cash account.

Explanation:

The entry to record reimbursement of the petty cash fund for postage expenses should include a debit to the appropriate expense account and a credit to the petty cash account. This entry reflects the increase in the expense account for the postage expense that was paid out of the petty cash fund, and the reduction in the petty cash account balance to reflect the reimbursement. For example, the entry could be:

Debit: Postage ExpenseCredit: Petty Cash

It is important to ensure that the entry is recorded accurately and supported by proper documentation to maintain accurate financial records.

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if 86,500 pounds of raw materials are needed to meet production in august, what is the estimated raw materials inventory balance at the end of july?

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The estimated raw materials inventory balance at the end of July can not be determined.

To determine the estimated raw materials inventory balance at the end of July, we will have to perform a simple calculation. In order to calculate raw materials inventory balance, we need the beginning inventory balance, add the raw materials purchased during the month and then subtract the raw materials used during the month.

Collect the necessary information. The raw material requirements for the production in August is 86,500 pounds. Step

Find the amount of raw materials needed for production in July .If we know the production requirements for August, we can assume that the same amount of raw material was needed in July too. Therefore, the raw material requirement for July is 86,500 pounds.

Calculate the estimated raw materials inventory balance at the end of July.  In order to determine the estimated raw materials inventory balance at the end of July, we need to know the beginning inventory balance and raw materials purchased during the month.

However, this information is not provided in the question. Therefore, we cannot determine the estimated raw materials inventory balance at the end of July.

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assume that the risk-free rate is 4.9 percent. if a stock has a beta of 1.0 and a required rate of return of 11.6 percent, and the market is in equilibrium, what is the return on the market portfolio? show your answer to the nearest .1% using whole numbers (e.g., enter 14.1% as 14.1 rather than .141).

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Assuming a risk-free rate of 4.9%, a stock with a beta of 1.0, and a required rate of return of 11.6%, we can calculate the return on the market portfolio. In equilibrium, the return on the market portfolio would be 10.7%.

The required rate of return on a stock is determined by its beta, which measures the stock's sensitivity to market movements. In this case, the stock has a beta of 1.0, indicating that it moves in line with the overall market. The required rate of return on the stock is 11.6%.

The risk-free rate is the rate of return on an investment with no risk, typically represented by government bonds. Here, we assume a risk-free rate of 4.9%.In equilibrium, the return on the market portfolio is equal to the risk-free rate plus the product of the stock's beta and the difference between the required rate of return and the risk-free rate. Using the given values, we can calculate the return on the market portfolio.

Return on Market Portfolio = Risk-Free Rate + (Beta * (Required Rate of Return - Risk-Free Rate))

Return on Market Portfolio = 4.9% + (1.0 * (11.6% - 4.9%))

Return on Market Portfolio = 4.9% + (1.0 * 6.7%)

Return on Market Portfolio = 4.9% + 6.7%

Return on Market Portfolio = 11.6%

Therefore, the return on the market portfolio in equilibrium is 11.6%.

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collusive agreements can be established and maintained by: multiple choice empty threats. one-time games. first-mover advantage. credible threats.

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The collusive agreements can be established and maintained by first-mover advantage. The first-mover advantage is one of the reasons why the collusive agreements can be established and maintained

It is a strategic advantage that the first successful player of a game gets, and it has many advantages such as gaining a competitive advantage and having more resources for further investment. The other options, like empty threats, one-time games, and credible threats, are not ways that collusive agreements can be Learn more about income here#SPJ11and maintained. These are not significant factors that would lead to collusive agreements .Collusion is an illegal agreement between two or more companies to conduct their businesses in a specific way. The purpose of such an agreement is to gain an advantage over competitors by raising prices, limiting output, or allocating market share. It is illegal to engage in collusion as it harms competition and consumer welfare. Collusive agreements are made by companies in the same industry to increase their profits. It involves an agreement to limit competition, and each company benefits by sharing the market

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Which product most likely resulted from efforts to understand how target users do their tasks, and how they fail to get task satisfaction from existing products

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The product that most likely resulted from efforts to understand how target users do their tasks and how they fail to get task satisfaction from existing products is a user-centered or user-focused product.

This type of product is designed based on deep insights into users' needs, behaviors, and pain points in order to provide a better user experience and address the shortcomings of existing products.

By understanding how target users currently perform their tasks and identifying the shortcomings of existing products, designers and developers can create a new product that addresses those specific user needs and frustrations. This user-centered approach aims to improve user satisfaction, efficiency, and effectiveness by designing products that align with users' mental models and workflows.

The result of this process is often a product that is more intuitive, user-friendly, and tailored to the specific tasks and goals of the target users. It takes into account their behaviors, preferences, and challenges, resulting in a more satisfying user experience.

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What general manufacturing process is described as: the plastic deformation of metals well below their maximum operating temperature

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The general manufacturing process you are referring to is known as cold working. Cold working involves the plastic deformation of metals at temperatures below their maximum operating temperature. This process increases the strength and hardness of the metal while retaining its desired shape.

Cold working is typically done through methods such as rolling, drawing, extrusion, or forging. In each of these methods, the metal is subjected to compressive forces, causing it to undergo plastic deformation. The key aspect of cold working is that it is performed below the recrystallization temperature of the metal, which means that the grains in the metal are not allowed to reorient and rearrange. Cold working can be used to produce a wide range of products, including sheets, wires, tubes, and various components used in industries such as automotive, aerospace, and construction.

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sheridan company borrowed $850,000 on december 31, 2019, by issuing an $850,000, 8% mortgage note payable. the terms call for annual installment payments of $126,675 on december 31.

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We know that Sheridan Company borrowed $850,000 on December 31, 2019, by issuing an $850,000, 8% mortgage note payable. The terms call for annual installment payments of $126,675 on December 31. An installment note payable is a type of loan that is repaid in periodic installments.

The amount of the loan is usually provided at the start of the loan, and the borrower is then required to make a series of payments over the life of the loan. In this case, Sheridan Company borrowed $850,000 on December 31, 2019, by issuing an $850,000, 8% mortgage note payable.

The terms call for annual installment payments of $126,675 on December 31. This means that the loan must be repaid over a period of time, with each payment consisting of both principal and interest. Each year on December 31, Sheridan Company must pay an installment of $126,675 towards the mortgage note payable.

This payment includes both principal and interest. The interest portion of the payment is calculated using the interest rate of 8% per year, which is applied to the outstanding balance of the loan at the end of each year.

The formula for calculating the interest portion of the payment is:

Interest = Outstanding balance of loan x Interest rate So, the interest portion of the payment for the first year will be:

Interest = $850,000 x 8% = $68,000Therefore, the principal portion of the payment will be:

Principal = Payment – InterestPrincipal = $126,675 – $68,000 = $58,675

At the end of the first year, the outstanding balance of the loan will be:

$850,000 – $58,675 = $791,325So, the same calculation must be repeated each year until the loan is fully repaid.

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Account executives are involved in tactical decision making and day-to-day contact with brand managers and other client personnel.
True
False

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True. Account executives are responsible for maintaining client relationships and making tactical decisions in collaboration with brand managers.

True. Relationship building and maintenance with clients, including brand managers and other client staff, are normally the duties of account executives. They serve as the client's primary point of contact, attending to their requirements and offering remedies. By working with customers to develop and implement marketing plans, campaigns, and promotional initiatives, account executives take tactical decisions. They collaborate closely with brand managers to make sure marketing activities are carried out successfully, to track the effectiveness of campaigns, and to make any necessary revisions. Account executives are fundamental to upholding client pleasure, promoting efficient communication, and fostering corporate expansion.

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1. Accounts Receivable decrease by $400,000 2. Accounts Payable increase by $900,000 3. Gross Property, Plant,

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To summarize, the given information states that the Accounts Receivable decreased by $400,000, Accounts Payable increased by $900,000, and no information is provided regarding Gross Property, Plant, and Equipment.

Based on the given information, the following changes occur:
1. Accounts Receivable decrease by $400,000
2. Accounts Payable increase by $900,000
3. Gross Property, Plant, and Equipment remain unspecified.

Accounts Receivable refers to the amount of money owed to a company by its customers for goods or services provided on credit. When Accounts Receivable decrease by $400,000, it means that customers have paid back $400,000 of their outstanding debts to the company.
Accounts Payable, on the other hand, represents the amount of money a company owes to its suppliers for goods or services received on credit.

An increase in Accounts Payable by $900,000 means that the company has incurred additional debts by purchasing goods or services from suppliers and has yet to pay them back.
Regarding Gross Property, Plant, and Equipment, no specific changes or amounts are provided, so it is difficult to determine any variations in this category.

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On April 1, 2020 Everjoy Company purchased $60,000 of Miller Corporation's 8% bonds at a purchase price of 105. At the time of purchase the market rate of interest was 6%. Everjoy Company, whose year end is December 31, expects to hold the bonds until their maturity date 5 years from the date of purchase. Interest on the bonds will be paid every April 1 and October 1 until maturity. What is the carrying value (amortized cost) of the bond that Everjoy Company would report on October 1, 2020? Answer: \$

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The carrying value (amortized cost) of the bond that Everjoy Company would report on October 1, 2020, is $63,000.

The carrying value of a bond is the purchase price plus any accrued interest and minus any discount or plus any premium amortized over the bond's life. Since the bond was purchased at a premium (105% of face value), the premium needs to be amortized over the bond's life. In this case, the bond has a 5-year life, so each year 1/5th of the premium needs to be amortized. Therefore, on October 1, 2020 (6 months after the purchase date), the amortized cost would be $63,000 ($60,000 + 1/5 * $3,000 premium amortization).

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assume that the cost of operating a car during a year depends on the condition of the car at the beginning of the year; if car is replaced at the beginning of a year, that years cost includes the cost of replacement plus maintenance of the new (decent) car. 3

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The total costs for Car A and Car B will be the same after 9 years .

To determine the number of years it takes for the total cost of both cars to be the same,

find the point at which the cumulative costs of Car A and Car B equal each other.

Let's denote the number of years as "x."

For Car A, the total cost after x years can be calculated as,

Total Cost of Car A

= Cost of Car A + (Average annual cost of fuel, maintenance, and repairs for Car A) × x

For Car B, the total cost after x years can be calculated as,

Total Cost of Car B

= Cost of Car B + (Average annual cost of fuel, maintenance, and repairs for Car B) × x

Setting these two equations equal to each other and solving for x will give us the number of years required for the total costs to be equal.

17,655 + 1,230x = 15,900 + 1,425x

Simplifying the equation,

1,425x - 1,230x = 17,655 - 15,900

195x = 1,755

x = 1,755 / 195

x ≈ 9

Therefore, after approximately 9 years, the total costs for Car A and Car B will be the same.

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The given question is incomplete, I answer the question in general according to my knowledge:

Suppose you're thinking about buying one of two cars. Car it will cost $17,655. Who can expect to pay an average of $1230 Per year for fuel, maintenance, and repairs. Car b will cost about $15,900. Fuel, maintenance, and repairs for it will average about $1425 per year. After how many years are the total cost for the car is the same

suppose an economy described by the solow model is in a steady state with population growth n of 1.8 percent per year and technological progress g of 1.8 percent per year. total output and total capital grow at 3.6 percent per year. suppose further that the capital share of output is 1313 . a. using the growth-accounting equation to divide output growth into three sources—capital, labor, and total factor productivity—determine how much output growth can be attributed to each source. (indicate your answer to the tenths place.)

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The output growth attributed to each source is as follows:

Capital: 1.1268 (to the tenths place)
Labor: 1.2434 (to the tenths place)
Total Factor Productivity (TFP): 1.8 (to the tenths place)

To determine the output growth attributed to each source (capital, labor, and total factor productivity), we can use the growth-accounting equation. The growth-accounting equation is given by:

Output Growth = Capital Share x Capital Growth + Labor Share x Labor Growth + TFP Growth

In this case, we know that the capital share of output is 0.313 (or 31.3%), and the total output and total capital grow at 3.6 percent per year. The population growth (labor growth) is given as 1.8 percent per year, and the technological progress (TFP growth) is also 1.8 percent per year.

Let's calculate the output growth attributed to each source:

Output Growth = 0.313 x 3.6 + (1 - 0.313) x 1.8 + 1.8

Output Growth = 1.1268 + 1.2434 + 1.8

Output Growth = 4.1702

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Some special handling devices can be obtained for $20,000. At the end of 5 years, they can be sold for $2000. Compute the depreciation schedule for the devices using the following methods:
(a) Straight-line depreciation
(b) Double declining balance depreciation
(c) 100% bonus depreciation
(d) MACRS depreciation

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(a) Straight-line depreciation: $3,600 per year for 5 years.

(b) Double declining balance depreciation: $7,200 in the first year, $4,320 in the second year, $2,592 in the third year, $1,555 in the fourth year, and $933 in the fifth year.

(c) 100% bonus depreciation: $20,000 in the first year, $0 for the remaining years.

(d) MACRS depreciation: Varies depending on the asset class and recovery period.

For straight-line depreciation, the cost of the special handling devices is divided equally over their useful life. In this case, the devices are purchased for $20,000 and are expected to be used for 5 years. Therefore, the annual depreciation expense would be $20,000 divided by 5, resulting in $3,600 per year.

Double declining balance depreciation is an accelerated depreciation method. It assumes that the asset depreciates more in the earlier years and less in the later years. The depreciation rate is double the straight-line rate. Using this method, the depreciation expense for each year is calculated based on the decreasing book value of the asset. In the first year, the expense is $20,000 multiplied by 2, resulting in $7,200. In the second year, the expense is calculated by multiplying the book value at the beginning of the year by 2, resulting in $4,320. This process continues until the end of the asset's useful life.

100% bonus depreciation is a method that allows businesses to deduct the full cost of an asset in the year it is placed in service. In this case, the entire cost of the special handling devices, which is $20,000, can be deducted in the first year. There is no further depreciation expense in the subsequent years.

MACRS (Modified Accelerated Cost Recovery System) depreciation is a method used for tax purposes in the United States. It assigns assets to specific classes and recovery periods. Each class has a predetermined depreciation schedule, and the depreciation expense varies accordingly. The calculation for MACRS depreciation requires detailed information on the asset class and recovery period, which is not provided in the question. Therefore, the specific depreciation amounts cannot be determined without this information.

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sales revenue $ 136,200 expenses cost of goods sold 55,000 depreciation expense 18,500 salaries expense 31,000 rent expense 10,300 insurance expense 5,100 interest expense 4,900 utilities expense 4,100 net income $ 7,300

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The given net income is $7,300, but based on the calculations, the net income is $6,300.

Based on the given information, we can calculate the net income by subtracting the total expenses from the sales revenue.
Total Expenses = Cost of Goods Sold + Depreciation Expense + Salaries Expense + Rent Expense + Insurance Expense + Interest Expense + Utilities Expense

Total Expenses = $55,000 + $18,500 + $31,000 + $10,300 + $5,100 + $4,900 + $4,100
Total Expenses = $129,900

Net Income = Sales Revenue - Total Expenses
Net Income = $136,200 - $129,900
Net Income = $6,300

The calculated net income is $6,300 as opposed to the stated net income of $7,300. It's possible that there might be some additional income or expenses not mentioned in the question. Without further information, it's difficult to determine the exact reason for the discrepancy.

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The given net income is $7,300, but based on the calculations, the net income is $6,300.

Based on the given information, we can calculate the net income by subtracting the total expenses from the sales revenue.

Total Expenses = Cost of Goods Sold + Depreciation Expense + Salaries Expense + Rent Expense + Insurance Expense + Interest Expense + Utilities Expense

Total Expenses = $55,000 + $18,500 + $31,000 + $10,300 + $5,100 + $4,900 + $4,100

Total Expenses = $129,900

Net Income = Sales Revenue - Total Expenses

Net Income = $136,200 - $129,900

Net Income = $6,300

The calculated net income is $6,300 as opposed to the stated net income of $7,300.

It's possible that there might be some additional income or expenses not mentioned in the question. Without further information, it's difficult to determine the exact reason for the discrepancy.

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he store has made changes in inventory, advertising messages, and store design to appeal to an ever-changing customer base. In recent years, JCPenney has been using a _______ strategy and now advertises

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JCPenney also advertises its offerings to create awareness and attract customers.

Based on the information provided, it seems that JCPenney has been using a "150" strategy.

This strategy involves making changes to inventory, advertising messages, and store design in order to appeal to an ever-changing customer base. By utilizing this strategy,

JCPenney aims to stay relevant and attract customers in the dynamic retail market. As a part of this strategy, JCPenney also advertises its offerings to create awareness and attract customers.

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True or false: When interest payments are made on the debt, government must reduce outlays for other purposes or finance a larger budget.

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When interest payments are made on the debt, government must reduce outlays for other purposes or finance a larger budget" is true. When a government makes interest payments on its debt, it needs to allocate funds for those payments.



To illustrate this, let's consider an example. Imagine a government that has a fixed budget for various programs, such as education, healthcare, and infrastructure. If this government needs to make interest payments on its debt, it has two options: either reduce the funding allocated to one or more of these programs to free up funds for the interest payments or increase its overall budget by borrowing more money to cover the interest payments.



In either case, the government must make adjustments to its budget to accommodate the interest payments on its debt. This is because the interest payments represent an obligation that the government must fulfill. Failure to make these payments could have serious consequences, such as damaging the government's creditworthiness or credibility in financial markets.
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Consider a portfolio of 10% stock X and 90% stock Y. What is the (population) standard deviation of portfolio returns

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The standard deviation of portfolio returns for a portfolio consisting of 10% stock X and 90% stock Y can be calculated using the weighted average of the individual stock standard deviations.

To calculate the standard deviation of the portfolio returns, we need to consider the weights of the two stocks and their respective standard deviations.

Let's assume that stock X has a standard deviation of σX and stock Y has a standard deviation of σY. Since stock X represents 10% of the portfolio and stock Y represents 90% of the portfolio, we can calculate the weighted standard deviation as follows:

Portfolio Standard Deviation = [tex]√[(weight of X * σX)^2 + (weight of Y * σY)^2 + 2 *[/tex] (weight of X * weight of Y * σX * σY * correlation coefficient)]

In this case, since we don't have information about the correlation coefficient between the two stocks, we assume they are uncorrelated, which simplifies the equation:

Portfolio Standard Deviation = √[(0.1 * σX)^2 + (0.9 * σY)^2]

By plugging in the values of the stock standard deviations, we can calculate the portfolio's standard deviation of returns.

It's important to note that the standard deviation provides a measure of the risk or volatility of the portfolio returns. A higher standard deviation indicates greater variability in the returns, implying higher risk.

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The __________ leader who depends on clients’ subordinate position for a sense of adequacy and power will tend to keep the group members powerless.

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The authoritarian leader who depends on clients’ subordinate position for a sense of adequacy and power will tend to keep the group members powerless.

The term that fits in the blank in the question is "authoritarian". An authoritarian leader depends on their clients' subordinate position for a sense of adequacy and power, and will often keep the group members powerless in order to maintain their own authority and control over the group.

This type of leader often uses a top-down approach to leadership, which involves making decisions and giving orders without much input or consultation from the group members themselves. They may also use intimidation, coercion, or other forms of force to maintain their power over the group.

Authoritarian leaders tend to be inflexible and rigid in their approach to leadership, and may have difficulty adapting to changing circumstances or situations.

They may also have a tendency to micromanage, and may be overly critical or demanding of their subordinates. This can create a stressful and unpleasant work environment, which can lead to high turnover rates and low productivity among group members.

In contrast, leaders who are more democratic or participative in their approach tend to foster a more collaborative and supportive work environment, which can lead to higher levels of job satisfaction and motivation among group members.

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page(s) 203-204 6.3. when do price floors matter? suppose the equilibrium price for medicinal (isopropyl) alcohol is $7 per pint. what would be the lowest possible binding price floor on a pint?

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In the context of price floors, they matter when they are set above the equilibrium price in a market. Price floors are typically implemented to ensure that the price of a good or service does not fall below a certain .

If the equilibrium price for medicinal (isopropyl) alcohol is $7 per pint, the lowest possible binding price floor on a pint would be set at $7 or higher. Setting a price floor below the equilibrium price would not have any practical effect since it would not impact the market dynamics. However, if a price floor is set at or above $7, it would create a legally enforced minimum price, potentially leading to a surplus if the floor exceeds the equilibrium price, as suppliers are unable to sell all their products at the mandated price.level, often to protect producers or maintain a minimum standard.

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a plant asset was purchased on january 1 for $60,000 with an estimated salvage value of $12,000 at the end of its useful life. the current year's depreciation expense is $6,000 calculated on the straight-line basis and the balance of the accumulated depreciation account at the end of the year is $30,000. the remaining useful life of the plant asset is

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The remaining useful life of the plant asset is 3 years.

To find the remaining useful life of the plant asset, we can use the formula:

Remaining Useful Life = (Cost of the asset - Accumulated Depreciation) / Annual Depreciation Expense

Given:

Cost of the asset (Purchase price) = $60,000

Estimated salvage value = $12,000

Depreciation expense for the current year = $6,000

Accumulated depreciation at the end of the year = $30,000

First, let's calculate the depreciable cost of the asset:

Depreciable Cost = Cost of the asset - Salvage value

Depreciable Cost = $60,000 - $12,000

Depreciable Cost = $48,000

Next, we can calculate the annual depreciation expense using the straight-line method:

Annual Depreciation Expense = Depreciable Cost / Useful Life

Remaining useful life = (Total depreciable cost - Accumulated depreciation) / Annual depreciation expense

Remaining useful life = ($48,000 - $30,000) / $6,000

Remaining useful life = $18,000 / $6,000

Remaining useful life = 3 years

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Chicagoland Sweets is a commercial baker that provides baked goods such as cookies and muffins to a number of coffee houses and snack bars around the Chicago area. Flour is an ingredient to many of their products so they use it at a constant rate of 4000 pounds every week. Their supplier sells flour in 50 pound bags at a price of $20 per bag. Chicagoland's management estimates that it cost $64 every time that they place an order for flour. Their cost of capital is 25% per year. How many pounds of flour Chicagoland should order to minimize its cost of holding flour inventory and placing order? (Assume 50 weeks per year.)
a) 800
b) 4,000
c) 16,000
d) 64,000

Answers

Chicagoland Sweets should order 4,000 pounds of flour to minimize its cost. This is because the optimal order quantity is the one that minimizes the sum of holding costs and ordering costs, and in this case, ordering 4,000 pounds of flour aligns with that.

To explain further, the Economic Order Quantity (EOQ) formula can be used to determine the optimal order quantity. EOQ = √((2 × demand × setup cost) / holding cost). In this scenario, the demand is 4,000 pounds per week, the setup cost is $64 per order, and the holding cost is the product of the flour price ($20 per bag) and the cost of capital (25% per year). By plugging these values into the formula, the optimal order quantity is found to be 4,000 pounds.

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