Considering the contextual situation described in the passage, getting customers into the stores by using newspapers, magazines, television, and social media refers to advertising in the Media.
Whereas displays and signs placed at the point of purchase or in aisles are advertising in the "Store."
This is because Media consists of the primary means of communicating to the public. And the agents of media in which advertisement may be done include the following:
NewspapersMagazinesTelevision,Social mediaOn the other hand, Store or shop outlet is often used to describe the point of purchase of commodities. Thus, any display and sign done at the point of purchase are known as advertising in the store.
Hence, in this case, it is concluded that the correct answer is Media and Store, respectively.
Learn more here: https://brainly.com/question/17017781
true false Stocks, or equity securities, represent the purchase of ownership in a business corporation.
It is true that stocks or equity securities represents the purchase of ownership in a business corporation.
Stocks is also called (equity securities) and refers to the security that represents the ownership of a fraction of the corporation.
These fraction of ownership are owned by the Shareholders who wishes to own a share of the company.
So, these shareholder are paid dividend depending on how the company performs in the accounting year.
Therefore, it is true that stocks or equity securities represents the purchase of ownership in a business corporation.
Read more about this here
brainly.com/question/17412847
Economists use the term ________________ to describe the part of the budget deficit that is a result of a downturn in economic activity.
Answer:
Cyclical deficit
Explanation:
50 POINTS
Latasha works with three and four-year-olds in a inner-city afterschool program. The pathway in human services cluster that Latasha works in is.
A. Early childhood development.
B. Counseling and mental health services.
C. Family and Community Services.
D. Personal care services
A. Early Childhood Development.
Answer:
Latasha works with three and four-year-olds in a inner-city afterschool program. The pathway in human services cluster that Latasha works in is.
A. Early childhood development(No need brainliest)
If the MPC is 0.8 and government transfers to households decrease by $50 million, then equilibrium GDP will decrease by:
The equilibrium GDP will decrease by $200 million if the government transfers to households decrease by $50 million.
Transfer payment multiplier = MPC / (1 - MPC)
Transfer payment multiplier = 0.8 / (1 - 0.8)
Transfer payment multiplier = 0.8 / 0.2
Transfer payment multiplier = 4
If the government transfers decrease by $50 million.
Equilibrium GDP will decrease by:
= $50 million * 4
= $200 million.
Therefore, the equilibrium GDP will decrease by $200 million if the government transfers to households decrease by $50 million.
See similar solution here
brainly.com/question/20264255
3. Tom and Melody are considering the extensive use of ads in fitness magazines and a direct mail campaign targeted at people who have bought other products made by Xer-Wise. Since these messages are geared directly to customers, it is clear that Tom and Melody want to implement a _________ strategy.
Since these messages are geared directly toward customers, it is clear that Tom and Melody want to implement a pull strategy.
What is the pull strategy?The tactic of bringing the consumer to you is known as a pull strategy. Pull strategy is the use of pull strategies, or the conveyance of information, to attract the consumer rather than forcing your business on them. These clients frequently start to promote your company for you. For instance, a business may send prior clients a promotional email about a new range of items.
Businesses may also give recent clients a coupon for a future purchase. A pull marketing approach may boost profitability by retaining existing consumers and consistently attracting new ones. Pull marketing, on the other hand, refers to using a technique that inevitably increases customer interest in your company's name or goods (usually with relevant and interesting content).
Learn more about pull strategy, here:
https://brainly.com/question/27961875
#SPJ2
Which method of bond amortization amortizes the premiums/discounts accurately and is considered a conceptually superior method
Answer:effective-interest
Explanation:
Suppose a mutual fund has 10 million shares outstanding, assets with a total value of $30 million,of which $500,000 is cash, and fund liabilities of $500,000. What is the current NAV per share
Answer:2.95
Explanation:
Based on the given assets, cash fund, and liabilities, the Mutual fund's NAV per share is $2.95.
What is the Mutual Fund's NAV per share?This can be found by the formula:
= (Assets + Cash - Liabilities)/Number of Shares
Solving gives:
= (30,000,000 - 500,000) / 10,000,000
= 29,500,000 / 10,000,000
= $2.95 per share
In conclusion, the NAV per share is $2.95 per share.
Find out more on NAV per share at https://brainly.com/question/1377416.
Trainor Sports recently issued 25,000 shares of its $12 par value common stock for $450,000. Which amounts represent legal capital and total paid-in capital, respectively
The amount that represents legal capital is $300,000 and the amount that represents total paid-in capital is $450,000.
The legal capital is the amount that is based on the par value or stated value of the common stock per share. For example, in this case, the par value per share is $12.
The legal capital is obtained as the sum of 25,000 shares x $12, which is $300,000. The difference of $150,000 ($450,000 - $300,000) is the additional paid-in capital.
Thus, the total amount of $450,000 is the recently issued total paid-in capital for Trainor Sports.
Learn more:https://brainly.com/question/13372465
The amounts that represent legal capital and total paid-in capital, respectively are: $300,000; $450,000.
a. Legal fees
Using this formula
Legal capital=Number of shares× Per value
Let plug in the formula
Legal capital=25,000×$12
Legal capital=$300,000
b. The total paid-in capital is $450,000 reason being that $12 par value common stock was issued at cost of $450,000.
Inconclusion the amounts that represent legal capital and total paid-in capital, respectively are: $300,000; $450,000.
Learn more here:https://brainly.com/question/13373763
Decision making in businesses used to be limited to management. Today, lower level employees are responsible for some of these decisions, as information systems make information available to lower levels of the business. Identify the statement that best describes unstructured decisions.
People often take decisions daily. The statement that best describes unstructured decisions is that Structured decisions are repetitive and routine decisions which are handled procedurally.
Structured decision making is simply referred to as a thoroughly organized analysis of problems so as to make a final decisions that are based mainly on achieving fundamental objectives.
All decision is made up of several primary elements such as management objectives, decision options, knowing beforehand decision outcomes etc.
Learn more from
https://brainly.com/question/25009836
the best way for federal reserve board officials to help boost a stagnant economy is to
The most beneficial way for the Federal reserve board officials to help boost such economy is to lower interest rates so that the banks can provide more loans at cheaper rates to individuals and businesses.
The federal reserve board officials are nominated by the President and Senate to oversee the activities of the federal reserve.
Typically, the stagnant economy is characteristic by increasing interest rate which will discourage borrowing from bank.However, if the officials lower the interest rate for bank, it will encourage more provision of loans to borrowers.Therefore, the most beneficial way is to lower interest rates so that the banks can provide more loans at cheaper rates to individuals and businesses.
Read more about Federal reserve:
brainly.com/question/23247429
Appleville is a village that specializes in all forms of apple products. Suppose that each winter, when no apples are being produced, aggregate output falls below the long-run equilibrium output level. What type of fiscal policy might be most effective in correcting this problem
The type of fiscal policy which might be most effective in correcting this problem is:
C) Increasing government spending in order to increase aggregate demand.According to the given question, we are asked to state the type of fiscal policy which might be most effective in correcting this problem of the village which loses its aggregate output.
As a result of this, we can see that the fiscal policy which can solve this problem is by increasing the government spending so that the aggregate demand would be increased.
Therefore, the correct answer is option C
Read more here:
https://brainly.com/question/24777291
Betweenness gives power because the more of it you have: _________.
A. the more it increases your visibility.
B. the more you control the distribution of information and other resources to people on either side of you.
C. the shorter your paths to many people in the network.
D. the fewer demands people make on you.
E. the more people are connected to you.
Answer:
E
Explanation:
If u can connect to people in a business, then you will gather more information and leadership skills to keep those people under your wings
Most financial securities have some level of ________ risk. Multiple Choice unsystematic asset-specific diversifiable industry systematic
Based on financial analysis, Most financial securities have some level of asset-specific risk.
This is because asset-specific risk is a type of risk that is unique and common to financial securities.
Asset-specific risk is often referred to as Asset-backed risk, which, like any other financial risk, concerns the tendency of losing money.
Other types of risks associated with financial securities include the following:
Credit risk, Liquidity risk, Foreign investment risk, Equity riskCurrency riskHence, in this case, it is concluded that the correct answer is "Asset-specific risk."
Learn more about Asset-specific risk here: https://brainly.com/question/14785357
Select the steps in financial planning. (Select all that apply) Multiple select question. define the firms organizational chart forecasting short term needs recruit employees establish financial controls develop budgets
The available steps which are part of the financial planning process for a business or an individual includes:
B. Forecasting short term needsD. Establish financial controlsE. Develop budgetsAccording to the given question, we are asked to state the available steps which are part of the financial planning process for a business or an individual.
As a result of this, we can see that the main objective of the financial planning process is to optimize the profits which the business makes. With this in mind, we can see that the steps which are
Therefore, the correct answers are options B, D and E
Read more about financial planning here:
https://brainly.com/question/17586668
gator, inc. has a 42% share of the $300 million market for gator t-shirts. however, they feel they can do better. after doing research, they found the gator t-shirt industry as a whole spends $50 million a year in marketing efforts. gator, inc. knows its own gross margin is $14.7 million for the year. not satisfied with their 42% share, they decide to try to obtain 45% of the market. is it worth the effort for gator, inc. to attempt the increase in market share, and how much gross margin do they gain or lose in the effort assuming they are successful?
It does not worth the effort for gator, inc. to attempt the increase in market share, and the amount of gross margin they lose in the effort assuming they are successful is $1,200,000.
Sales revenue per share point = 300 million/100
Sales revenue per share point = $30 million
Firm’s sales = 300 x 42%
Firm’s sales = $126 million
Firm’s Gross Margin per share point = $14.7 million/42 share points
Firm’s Gross Margin per share point = $350,000
Per share of voice point = $50,000,000/100
Per share of voice point = $500,000
Increase in market=42% -45%
Increase in market= 3%
Using 1.5 rule of competitive parity the company would have to spend more money in order to make use of 4.5 additional share of voice points
Additional marketing effort required=$500,000 per share x 4.5
Additional marketing effort required= $2,250,000
Assuming the company was successful, market share will increase by 3 share points.
Additional share points yield=350,000 x 3
Additional share points yield=$1,050,000
Gross margin=$1,050,000- $2,250,000
Gross margin= $1,200,000
Based on the above calculation Gator Inc. should not increase their market share reason been that they would lose $1,200,000.
Learn more here:https://brainly.com/question/15733898
Daffy Duct, Inc. issued 10,000 shares of $1 par value common stock at $5 per share. The effect of this transaction on the accounting equation includes a ______. (Check all that apply.) Multiple select question. $50,000 increase in total assets. $50,000 decrease in total stockholders' equity. $10,000 increase in total assets. $50,000 increase in total liabilities. $10,000 increase in total stockholders' equity. $50,000 increase in total stockholders' equity.
The effect of this transaction on the accounting equation includes a:
$50,000 increase in total stockholder's equity, $50,000 increase in total assets.
The above means that Daffy Duct received $50,000 cash in exchange for ownership in common stock (10,000 shares at $5 each).
Asset is what the company owns, while Equity (the difference between assets and liabilities or what it owes to the owners)
In the light of the above ,there is an increase in assets and increase the stockholder's equity.
learn more at : https://brainly.com/question/14103645
Make a Claim
Dana needs to use the information from her 1098-T form to determine if
she qualifies for a tax credit. If information is missing on her 1098-T form,
leave the matching input field blank.
Input amounts from the 1098-T form into matching tax preparation software fields.
1098-T form is a U.S tax form for students or parents to obtain a tax credit on the amount of fee paid during an educational term or semester or year.
This form determines if the students or their parents qualify for the tax credit.
Yes Dana is eligible for her tax credit as her expenses are greater than $ 4000. For this she will receive $2500
If the scholarships exceed the amount of the educational fee then a tax credit has to be recalculated on a certain amount.
The first box is to be filled by the student's name (Dana) in this case, her address and her contact number.
The other boxes are to be filled with the filler and social security numbers as asked.
The no 1 box gives the tuition fees received and box 2 gives the tuition fees billed.
The box 3 has to filled if any change is made by the institution in billing amount.
The other boxes are filled similarly and the form is submitted to the IRS and the copy is kept with the student.
In the given question only 3 pieces of information are given .
Name : Dana
Amount Received : $ 16,467
Scholarship Received: $ 1500
These are already filled in the form.
Educational tax credit covers up to 100% of the first $2000 of the educational expenses and 25% of the next $ 2000 expenses.
It can be filed if the parent's income is up to $ 80,000 in the year 2020.
Yes Dana is eligible for her tax credit as her expenses are greater than $ 4000. For this she will receive $2500
https://brainly.com/question/19263871
Answer:2500
Explanation:
which state produces nearly 85% of wine in the u.s.?
Answer:
California is the largest wine producer in the United States, producing over 84% of all U.S. wine production.
Explanation:
one of the four primary functions of management is
Why is it important to explain the objectives and procedures of a research project both to current and future decision makers in a company
It is important to explain the objectives and procedure of an investigation because this directly impacts the decisions that the company can make.
Companies generally research to improve their products or market research to target their products to a target audience.
When these investigations are carried out, they are always done to improve productivity, sales, and the quality of the company. Therefore, if an investigation focused on the quality of a product is carried out, the process and objectives must be shared so that the investigation impacts the improvement of the company.
For example:
When a bicycle company researches to make the design of the bicycle lighter and more aerodynamic, it can be inferred that the objective of this research is to improve the product and the procedure is through the study and experimentation of the bicycle in different controlled environments.
This will cause the company's decision-makers to promote its new model and invest more in advertising and technology development to improve the product.
Learn more about companies in: https://brainly.com/question/24630720
why do we need to suffer from taxes
Answer:
because it is very important so we can know the answere
Oreo cookies are now extremely expensive to purchase. Instead of buying oreo cookies, i now want to buy chips ahoy. What determinant of demand does this likely fall under?.
In economics, the determinant of demand that this scenario fall under , when you go for chips ahoy because Oreo cookies are now extremely expensive is Change in Price of Substitute Good.
What is Substitute Good?
A substitute good can be regarded as product or service that is been used as alternative for other goods.
It should be When the price of a substitute good rise, then demand for the other substitute as well will rise.
This is referred to as positive cross price elasticity.Learn more about substitute good at:
https://brainly.com/question/10504938
A sum of $6,500 deposited in an account grows to $8,000 in 9 years. Assuming annual compounding, what interest rate is being paid
Answer:
The interest rate would be 2.33%, bringing the total after 9 years to $8,000.06
Explanation:
The final balance would be $8,000.06 and a total compound interest of $1,500.06
The blue curve on the following graph represents the demand curve facing a firm that can set its own prices.
From the graph analyzed in the question, the price will be $100 per unit while the quantity demanded will be 10 units.
From the complete question, the marginal revenue of the fourth unit that is produced will be:
= (160 × $4) - (170 × $3)
= $640 - $510
= $130
The marginal revenue of the eighth unit will be:
= (120 × 8) - (130 × 7)
= 960 - 910.
= $50
Therefore, the marginal revenue of the eighth unit is $50.
Read related link on:
https://brainly.com/question/25691874
Identify four (4) different types of credit (purposes)
Answer:Revolving Credit. Charge Cards. Installment Credit. Non-Installment or Service Credit
Gillette uses ________ pricing when it offers razor handles at a low cost, but places a high markup on the replacement razor blades that fit in the handles.
Answer:
captive product
Explanation:
Its right trust me!
In general, how do federal laws protect employee benefits?
Answer: They make sure employees get fair pay.
Explanation: Brainliest please
the total number of shares that a company may sell is referred to as
Answer: Authorised shares
What is enterprise value.
Answer:
In business, enterprise value (EV) is a comprehensive measure of a company's complete worth that is sometimes employed as a more comprehensive alternative to stock market capitalization. The enterprise value (EV) of a firm comprises not only the market capitalization of the company, but also short- and long-term debt, as well as any cash on the balance sheet of the company. Enterprise value is a common statistic for determining the worth of a firm in the context of a possible acquisition.
Explanation:
Hope it helps:)
______ ratios measure how much operating income an organization is able to generate relative to assets, owners' equity, and sales.
According to business strategy, the Profitability ratios measure how much-operating income an organization can generate relative to assets, owners' equity, and sales.
What are Profitability ratios?Profitability ratios s a form of financial method or procedure in which firms assess or evaluate the ability to generate income or revenue based on the capacity and resources.
Different types or methods of Profitability ratios:Gross Profit RatioOperating RatioOperating Profit RatioNet Profit RatioReturn on InvestmentHence, in this case, it is concluded that the correct answer is "Profitability ratio."
Learn more about the Profitability ratio here: https://brainly.com/question/25253887