A firm's decision to hire a factor of production doesn't depend on The average product of the factor input and The demand for the product the factor produces
Factors of production are the inputs used in the production of goods or services to generate an economic profit.
Any resource required for the production of a good or service falls into this category.
Land, labour, capital, and entrepreneurship are the production factors.
The state of technological progress can have an impact on total factors of production and account for any efficiencies that aren't related to the four typical factors.
A firm’s decision to hire a factor of production depends on the productivity of the factor, as measured by the marginal product of the factor, the factor’s price (or marginal factor cost), and the price of the firm’s product (or the demand for the product the factor produces).
Factor that doesn't depend are option(b) and option(d)
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what is 1635436743 times 76354
Answer:
1.2487214e+14
Explanation:
How might a business learn about a proposed process improvement through a prototyping activity? What is the fundamental purpose of a prototype?
The fundamental purpose of a prototype is to help a company better understand its new product designs.
What is prototyping?It is the process of producing a sample of a product, which will serve as an initial representation that will later be produced on a large scale, helping to save time, costs and increasing learning about organizational projects.
Therefore, prototyping is a design process that helps an organization to gain more information to develop its business projects.
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in the short run, if a firm's price is greater than its avc but less than its atc, the firm should:
In the short run, if a firm's price is greater than its average variable cost (AVC) but less than its average total cost (ATC), the firm should continue to operate.
This is because the firm is able to cover its variable costs and contribute to its fixed costs, thereby minimizing losses in the short run. If the firm were to shut down, it would still have to pay its fixed costs, but by continuing to operate, it can partially offset those costs with the revenues generated from production.
However, in the long run, the firm would need to reassess its situation and find ways to reduce its average total costs or increase its price to maintain profitability.
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it is important to note that numerical results are not very useful unless they are accompanied with clearly stated actionable business t or f
It is important to note that numerical results are not very useful unless they are accompanied by a clearly stated actionable business. The statement is True.
What is business?An economic activity that involves the exchange of goods and services with the help of buying and selling with the objective to gain some profit is called Business.
It's crucial to keep in mind that numbers simply are not very beneficial unless they are supported by a specifically stated, executable business plan. It suggests that the character might devise a method to increase comprehension and provide the perfect idea.
Therefore, the statements is True.
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The goals of risk analysis in capital budgeting include ______.multiple select question.zeroing in on the correct npvassessing the degree of financing riskdetermining the correct discount rateidentifying critical components
The goals of risk analysis in capital budgeting include zeroing in on the correct NPV, assessing the degree of financing risk, determining the correct discount rate, and identifying critical components. Option A, B, C, and D is correct.
Firstly, it aims to identify critical components in the investment project that could impact its success or failure. Secondly, it assists in assessing the degree of financing risk associated with the project, which helps in deciding the appropriate funding mix.
Thirdly, it helps in determining the correct discount rate that should be used in the Net Present Value (NPV) calculations. This is important as using the wrong discount rate can lead to incorrect investment decisions.
Lastly, the risk analysis helps in zeroing in on the correct NPV by considering all the potential risks and uncertainties associated with the project. By doing so, it helps in making informed investment decisions that are aligned with the organization's goals and objectives.
Therefore, Option A, B, C, and D is correct.
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Which of the following are types of evidence that can be used to support a
controlling idea? *
facts (statements that can be proved true)
statistics (data that is gained from research)
examples (specific instances of a general idea)
anecdotes (brief stories that illustrate a point)
all of the above
Answer:
all of the above
Explanation:
The controlling idea is the text that grabs the reader's attention in a paragraph or headline. It arouses curiosity in the audiences. The controlling idea makes people eager and anxious for details. In support of the controlling idea, the writer uses evidence to paint a clear picture of the events or story.
Some of the evidence that a writer can use include
Verifiable facts and dataReal-life stories and experiencesResearch outcomesFactual information in the public domain(100 POINTS)How much money will i make my first week from dropshipping
The market inverse demand curve is given by P(q) = 100 -0.020, where Q is the total output in the industry. The dominant firm in this industry has costs given by TC(q) = 40q. In addition, there are 25 small firms. These firms are known as the 'competitive fringe' of the market. These small firms all take as given the price established by the dominant firm in the industry. All small firms have the same cost function: TC = 60q+q². If the dominant firm's quantity is 1000 units, the market price will be a 80 b 70 c 75 d 85 e None of the above
The market price when the dominant firm's quantity is 1000 units is $80. Option A is correct.
To determine the market price when the dominant firm's quantity is 1000 units, we need to calculate the total quantity supplied by both the dominant firm and the competitive fringe, and use the inverse demand curve to find corresponding price.
Dominant firm's quantity = 1000 units
Competitive fringe firms' quantity;
Each small firm has the cost function TC = 60q + q².
The total cost function for the competitive fringe is TC_fringe = 25(60q + q²).
To find the competitive fringe's quantity, we equate the marginal cost (MC) to the price (P) set by the dominant firm;
MC_fringe = P
60 + 2q = P
Substituting the dominant firm's quantity (Q_dominant = 1000) into the equation above, we have;
60 + 2(1000) = P
60 + 2000 = P
2060 = P
Now, we can use the inverse demand curve to find the market price (P);
P(q) = 100 - 0.020Q
P = 100 - 0.020(1000)
P = 100 - 20
P = 80
Therefore, the market price when the dominant firm's quantity is 1000 units is $80.
Hence, A. is the correct option.
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To ensure questions on a survey are not ambiguous and contain jargon, researchers can do the following, except a) leave the questionnaire for a few days, then go back and look at it again. b) pay another marketing research firm to proof the survey. c) give the survey to other individuals to check. d) pre-test the survey with a few individuals similar to the target sample
Researchers can ensure questions on a survey are not ambiguous and contain jargon by pre-testing the survey with a few individuals similar to the target sample.
a) leaving the questionnaire for a few days, then going back and looking at it again. This is a helpful strategy to gain a fresh perspective on the survey questions and potentially identify any ambiguous language or jargon.
b) paying another marketing research firm to proof the survey. This could also be an effective method for ensuring the survey is clear and free from jargon, as an outside perspective may be able to identify issues that the original researchers may have missed.
c) giving the survey to other individuals to check. This is a good way to obtain feedback on the survey questions from a diverse group of people, which can help ensure the questions are understandable and relevant to the target audience.
Overall, pre-testing the survey with a few individuals similar to the target sample is the most direct way to ensure the survey is clear and free from jargon, but utilizing any of these additional strategies can also be helpful in improving the quality of the survey questions.
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Which of the following choices is not a step that can reduce your spending?
a.
eating at home, rather than dining out
b. using budgeted cash only
c. forgoing premium cable TV channels
d. purchasing reduced fat lattes during the week
Out of the given options, you won't reduce your spending by d. purchasing reduced fat lattes during the week.
How can we reduce spending?The best way to reduce spending is by spending less on things that we don't need or that we can do without.
In this case, spending on fat lattes won't be a way to reduce spending because they aren't very significant.
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What is the difference between exempt and nonexempt jobs?
What others changes could lisa make possitively affect her budget
Some other changes that Lisa can make to positively affect her budget include:
Setting up budgeting goalsSetting up a monthly review How can be budget better?You did not include the whole question so I will give a general overview.
In order to be able to come up with a good budget, one thing that we need to do is to set up some budgeting goals. We need to figure out why we are budgeting and what we hope to gain for it. Having a reason for budgeting makes it easier to budget because we know what we are working towards.
It is also important to set up a monthly review of our budget to see how well we are doing with it. This monthly review will show if we are sticking to the budget and what we can do to be better at the budgeting process. Budgeting is not easy the first couple of times so we need a review to keep us on track.
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Who is responsible for reporting all taxable income even if it does not appear on a W-2 form?
Answer:
IRS
Explanation:
michelle works in retail and cant decide what products to include in the stores front window display what is the first step she should take to solve this problem
Michelle works in retail and can't decide what products to include in the store's front window display. What is the first step she should take to solve this problem?
A. List the options.
B. Evaluate the decision/choice.
C. State the problem.
D. Determine the pros and cons.
Answer:
C. State the problem.
Explanation:
To start with, Michelle must remember why he wants to put the product on the front window display. Next, he has to remember what he gains from displaying the products which are to advertise to potential customers.By stating this problem, Michelle now knows what products to include in the front window display because he can now sort the products that are likely to attract customers and display them.The edit which flags cases that report an excessive number of units of service reported on a single encounter date is called________.
The edit which flags cases that report an excessive number of units of service reported on a single encounter date is called MUEs.
The Medicare Administrative Contractors (MACs), especially Durable Medical Equipment (DME) MACs, use Medically Unlikely Edits (MUEs) to lower the inappropriate payment rate for Part B claims.
The maximum units of services (MUE) for an HCPCS/CPT code are those that, in the majority of cases, a provider would report for a single beneficiary on a single date of service. A MUE is not present in all HCPCS/CPT codes.
This page includes links to the Publication Announcement Letter, the Frequently Asked Questions and Answers (FAQs), and the public Medicare MUE files, which cover the majority of the MUE program's details.
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When you are in the good to excellent credit score range, you are likely going to get a better interest rate.
True
False
Answer:
True
Explanation:
Kana is a single wage earner with no dependents and taxable income of $205,000 in 2018. Her 2017 taxable income was $155,000 and tax liability was $36,382. Calculate Kana's 2018 income tax liability and the minimum required 2018 annual payment necessary to avoid any penalty. Round your answers to two decimal places. Click here to access the income tax rate schedules. Kana's 2018 income tax liability: $ Kana's minimum required 2018 annual payment necessary to avoid any penalty: $
Answer:
A.$47,439.50
B.$40,020.20
Explanation:
A.Calculation for 2018 income tax liability
Since we are told Kana has a taxable income of the amount of $205,000 and she is as well a single wage earner which means that her income tax will be $45,689.50 including 35% tax rate reason been that her taxable income is above $200,000
Hence,
First step
Kana Taxable income of $205,000 - $200,000
= $5,000
Second step
$5,000 x 35%
= $1,750
Third step is to calculate Kana 2018 income tax liability
2018 Income tax liability=$1,750 + $45,689.50
2018 Income tax liability= $47,439.50
Therefore Kana's 2018 income tax liability will be $47,439.50
B. Calculation for Kana's minimum required 2018 annual payment to avoid penalty
Based on the information given we were told that her 2017 taxable income was the amount of $155,000 while her tax liability was the amount of $36,382 which means that since her Taxable income of the amount of $155,000 is higher than the maximum amount of $150,000 which means we have to multiply Kana tax liability of the amount of $36,382 by 110%
Hence,
Kana's minimum required 2018 annual payment=$36,382 x 110%
Kana's minimum required 2018 annual payment= $40,020.20
Therefore Kana's minimum required 2018 annual payment necessary to avoid any penalty will be $40,020.20
"An individual who is 25 years from retirement has $500,000 to invest today. He is risk tolerant and is looking to withdraw $80,000 per year once he retires. Which asset allocation is BEST for this client?"
The available options are:
A. 25% Stocks / 25% Bonds / 25% REITs / 25% Money Markets
B. 50% Stocks / 40% Bonds/ 10% Cash
C. 100% Bonds
D. 100% Stocks
Answer:
B. 50% Stocks / 40% Bonds/ 10% Cash
Explanation:
Since the age of the customer is not given in the question, however, given he or she is 25 years from retirement, it is logical to assume that the customer is about 40-50 years old in age. According to the rule of thumb that "100% minus the customer's age" should be allocated to stocks for growth, hence, a stock allocation of 40-50% is about right.
Hence, in this case, the right answer is Option B: 50% Stocks / 40% Bonds/ 10% Cash
Riggs Company has current assets of $12,382, long-term debt of $5,274, and current llabilities of $10,506 at the beginning of the year. At year end, current assets are $13,750, long-term debt is $5,162, and current liabilities are $10,140. The firm paid $505 in interest and $529 in dividends during the year. The firm's equity remained unchanged. What is the cash flow to creditors for the year? Cash"Flow to Creditors =$ What is the cash flow to stockholders for the year? Cash Flow to Stockholders =$ What is the cash flow from assets for the year? Cash Flow From Assets =$ Allowed attempts: 2
Cash Flow to creditors, stockholders and from assets are $617,$529,-$368 respectively.
The amount of cash flow to creditors, cash flow to stockholders, and cash flow from assets of Riggs Company can be calculated as follows; Calculation of the cash flow to creditors The cash flow to creditors can be calculated as; Cash Flow to Creditors = Interest Payment - Net New Borrowing Interest Payment = $505Net New Borrowing
= (Ending Long-term Debt - Beginning Long-term Debt)
= $5,162 - $5,274
= -$112. Therefore;
Cash Flow to Creditors = $505 - (-$112)
= $617
Calculation of the cash flow to stockholders Cash flow to stockholders can be calculated as; Cash Flow to Stockholders = Dividends Paid - Net New Equity Raised Dividends Paid = $529Net New Equity Raised
= 0. Since the company's equity remained unchanged, there was no new equity raised. Therefore; Cash Flow to Stockholders = $529 - 0
= $529
Calculation of the cash flow from assets The cash flow from assets can be calculated using the formula Cash Flow from Assets = Operating Cash Flow - Net Capital Spending - Changes in NWC Where; Operating Cash Flow = EBIT + Depreciation - Taxes
= ($13,750 - $12,382) + (5,274 - 5,162) + $505
= $1,133. Net Capital Spending = Ending Net Fixed Assets - Beginning Net Fixed Assets + Depreciation
= $5,305 - $5,062 + $892
= $1,135Changes in NWC
= Ending NWC - Beginning NWC
= ($10,140 - $10,506)
= $366. Therefore;Cash Flow from Assets = $1,133 - $1,135 - $366
= -$368.
Thus, the Cash Flow to Creditors is $617, Cash Flow to Stockholders is $529, and Cash Flow from Assets is -$368.
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A reduction in the interest rate would be likely to lead to which 2 of the following?
A. growth in the size of the economy
B. a fall in the rate of inflation.
C. a fall in the rate of unemployment
D. a rise in the value of the pound
please give me two letters
Answer:
A
Explanation:
cookiesamichael12345678
Answer: ?
Explanation:
Girl what does that mean, either you can count right or thats a username
How much would Software C cost
you in the long run?
80% . $0
$[?]
Satisfaction
Not Satisfied
20%. $20,000
$5,000
Software C
Software D
$8,000
85% $0
Satisfaction
Not Satisfied
15%. $15,000
Answer: $8,000
Explanation:
If you're satisfied, the cost of software C is:
= 5,000 + 0
= $5,000
If you are not satisfied, the cost is:
= 5,000 + 20,000
= $25,000
You can then use the probabilities to calculate the expected total cost:
= (Probability of satisfied * Cost if satisfied) + (Probability of unsatisfied * Cost if unsatisfied)
= (80% * 5,000) + (20% * 20,000)
= $8,000
What is the largest source of a income for banks
Answer:
Interest income
Explanation:
Answer:
goverment
Explanation:
they create the money from paper
The three variables that mostly directly affect your monthly payments for an installment loan are?
The three variables that most directly affect your monthly payments for an installment loan are: Loan Amount, Interest Rate, Loan Term.
Loan Amount: The principal amount you borrow is a significant factor in determining your monthly payments. A higher loan amount will result in larger monthly payments, while a smaller loan amount will lead to smaller payments.
Interest Rate: The interest rate on the loan directly impacts the cost of borrowing. A higher interest rate means higher monthly payments, as you are paying more in interest charges. Conversely, a lower interest rate will result in lower monthly payments.
Loan Term: The length of the loan term also affects your monthly payments. A longer loan term typically leads to lower monthly payments, as the total amount is spread out over a longer period. Conversely, a shorter loan term will result in higher monthly payments but allows for faster repayment and less overall interest paid.
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Please help!! This is for economics
Which type of market is the one in which a fast-food company buys the eggs to make a person's favorite breakfast sandwich?
Product market
Factor market
Financial market
Closed market
The market in which the business buys eggs to make the final product that is a sandwich is called as factor market. Thus, Option B is the correct choice.
What is a Factor market?A factor market is a marketplace wherein elements of manufacturing are bought and sold. Factor markets allocate elements of manufacturing, along with land, labor, and capital, and distribute profits to the proprietors of efficient resources, inclusive of wages, and many more.
Therefore, The market in which the business buys eggs to make the final product that is a sandwich is called factor market. Thus, Option B is the correct choice.
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How much sugar is in a can of Coke in tablespoons?
A can of Coke contains a significant amount of sugar. The exact amount of sugar in a can of Coke can vary depending on the size of the can, but a 12-ounce (355ml) can of regular Coke contains 39 grams of sugar, which is equivalent to about 9.75 teaspoons or approximately 2.44 tablespoons of sugar.
It's important to note that the American Heart Association (AHA) recommends that men should consume no more than 9 teaspoons (36 grams) of added sugar per day and for women, no more than 6 teaspoons (25 grams) of added sugar per day. A single can of Coke contains almost the entire daily recommended limit of added sugar for women and more than a third of the recommended limit for men.
Excessive sugar intake can lead to a number of health problems, such as weight gain, high blood pressure, and diabetes. It is also linked to an increased risk of heart disease. Therefore, it's important to be aware of the amount of sugar in the foods and drinks that we consume, and to limit our intake of added sugars.
It's good to know that there are alternative options such as diet or zero sugar version of coke which does not contain any added sugar, but instead uses artificial sweeteners to provide the sweet taste. As well as drinking water or herbal teas which have 0 sugar content.
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Safeway Foods Corporation is involved in identifying and analyzing a target market. The firm then develops a marketing mix to satisfy individuals in that market to gain long-term competitive advantages. Based on this example, Safeway is creating a
Safeway Foods Corporation is creating a marketing strategy. A marketing strategy is a comprehensive plan that identifies and analyzes a target market and develops a marketing mix to satisfy individuals in that market.
The goal is to gain a long-term competitive advantage and increase sales and profits.The first step in creating a marketing strategy is market segmentation, where the market is divided into smaller groups of customers with similar needs and characteristics. The next step is targeting, where the company selects one or more segments to focus its marketing efforts on. After that, the company develops a marketing mix, which includes the product, price, promotion, and place, to satisfy the needs of the target market.By creating a marketing strategy, Safeway Foods Corporation can better understand its target market and develop a plan to reach and satisfy those customers, ultimately leading to increased sales and profits and a competitive advantage in the marketplace.
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Using information in the Table 4.1 below, calculate the expected return, variance and standard deviation of Primo share. (10) Table 4.1 Return of Primo share for various state of economy State of economy Probability of state Return for Primo’s share 1: Recession 0.3 -10% 2: Normal 0.4 10% 3: Boom 0.3 30% 4.2 Recently, ABC Company paid an annual dividend of R5.5 per share. The dividend per share is expected to grow at 10% per year for the next two years and then grow by 5% thereafter. Shares in other companies with a similar level of systematic risk to ABC yield 15% return on equity. What is the market value of ABC Company? (10)
The expected return of Primo share is 10.00%.the variance of Primo share is 8.00%. the standard deviation of Primo share is 28.28%. the market value of ABC Company is R53.24 per share.
4.1 Expected return:
The expected return formula is:
E(R) = Σ [P(R) × R]
where E(R) = Expected Return, P(R) = Probability of Return, and R = Return for Primo share
1. Recession (P(R) × R) = (0.3 × -10%) = -3.00%
2. Normal (P(R) × R) = (0.4 × 10%) = 4.00%
3. Boom (P(R) × R) = (0.3 × 30%) = 9.00%
Expected Return (E(R)) = -3.00% + 4.00% + 9.00% = 10.00%
Therefore, the expected return of Primo share is 10.00%.
Variance : The variance of the return measures the dispersion of the return values around the expected return. It is the square of the standard deviation of the return.
The formula to calculate variance is:
σ2 = Σ [P(R) × (R – E(R))2]
where σ2 = Variance of Primo share, P(R) = Probability of Return, R = Return for Primo share, and E(R) = Expected Return.
1. Recession (P(R) × (R – E(R))2) = (0.3 × (-10% – 10%)2) = 4.00%
2. Normal (P(R) × (R – E(R))2) = (0.4 × (10% – 10%)2) = 0.00%
3. Boom (P(R) × (R – E(R))2) = (0.3 × (30% – 10%)2) = 4.00%
Variance (σ2) = 4.00% + 0.00% + 4.00% = 8.00%
Therefore, the variance of Primo share is 8.00%.
Standard Deviation:The standard deviation of the return measures the dispersion of the return values around the expected return. It is the square root of the variance of the return.
The formula to calculate the standard deviation is:
σ = √σ2
where σ = Standard Deviation of Primo share and σ2 = Variance of Primo shareStandard Deviation
(σ) = √8.00% = 28.28%
Therefore, the standard deviation of Primo share is 28.28%.
4.2 Market Value of ABC CompanyABC Company paid an annual dividend of R5.5 per share and is expected to grow at 10% per year for the next two years and then grow by 5% thereafter. Other companies with a similar level of systematic risk to ABC yield 15% return on equity.The constant growth rate formula is:
Po = D / (r – g)
where Po = Price per share, D = Dividend per share, r = Required rate of return, and g = Growth rate in dividend. R = Required Rate of Return = Dividend Yield + Growth Rate in Dividend Dividend Yield = D / Po Growth Rate in Dividend = Next Year's Dividend per Share / Current Dividend per Share - 1 Dividend per Share = Current Dividend per Share × (1 + Growth Rate in Dividend)
First Year Dividend per Share = 5.5 × 1.1 = R6.05
Second Year Dividend per Share = 6.05 × 1.1 = R6.655
Growth Rate in Dividend = 5%
Required Rate of Return = Dividend Yield + Growth Rate in Dividend = 6.655 / Po + 5%
Price per share (Po) = 6.655 / (15% + 5%) = R53.24
Therefore, the market value of ABC Company is R53.24 per share.
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Suppose 2-year Treasury bonds yield 3.3%, while 1-year bonds yield 2.7%. r* is 1%, and the maturity risk premium is zero. Using the expectations theory, what is the yield on a 1-year bond, 1 year from now? Calculate the yield using a geometric average. Do not round intermediate calculations. Round your answer to two decimal places. % What is the expected inflation rate in Year 1? Year 2? Do not round intermediate calculations. Round your answers to two decimal places. Expected inflation rate in Year 1: % Expected inflation rate in Year 2: %
Answer:
3.90%
1.7%
2.9%
Explanation:
Give the following :
Yield on 2 years Treasury bond (Y2) = 3.3% = 0.033
Yield on 1 years Treasury bond (Y1) = 2.7% = 0.027
r* = risk free rate = 1%
Yield on 1 year bond, 1 year from now :
Compounded yield on yield 1 at 2.7% + Interest on return = compounded yield on 2 years bond :
(1 + 0.027) = yield on year 1
(1 + y) = yield one year from now
(1 + 0.027)¹ + (1 + y)¹ = (1 + 0.033)²
1 + y = (1 + 0.033)² / (1 + 0.027)¹
1 + y = 1.067089 / 1.027
1 + y = 1.0390350
y = 1.0390350 - 1
y = 0.03903
Yield = 0.039 * 100% = 3.90%
Inflation premium = yield rate - Risk free rate - maturity risk premium
Maturity risk premium = 0%
Hence,
For year 1
Inflation premium = 2.7% - 1% - 0% = 1.7%
For year 2:
Inflation premium = 3.9% - 1% - 0% = 2.9%
if dunkin donuts (dd) were to follow the actions of starbucks and copy all of their strategies and pricing, dd could be described as a(n
If Dunkin Donuts were to follow the actions of Starbucks and copy all of their strategies and pricing, Dunkin Donuts could be described as a(n) 'imitator'. An imitator is a company that copies another business's successful strategies, practices, and pricing models.
By choosing to mirror Starbucks' strategies and pricing, Dunkin Donuts would be adopting an imitation approach to compete in market. An imitator is a company that replicates the successful strategies, practices, and pricing models of another business in the same industry, without significantly innovating or differentiating their own offerings.
This could lead to potential benefits such as leveraging the success of Starbucks' business model and potentially attracting customers who prefer Starbucks. However, this approach may also have some drawbacks, as Dunkin Donuts would not be differentiating itself or offering unique value to its customers.
In the long run, it is essential for businesses to develop their own strategies, products, and pricing structures to maintain a competitive edge and to meet the specific needs of their target market.
While imitation can provide short-term gains, companies like Dunkin Donuts should focus on innovation and creating a distinct brand identity that sets them apart from competitors like Starbucks.
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