Firms that seek to balance the need for local responsiveness and international integration will typically choose a transnational strategy. It enables companies to achieve a global presence while catering to the unique demands of local markets.
A transnational strategy is an approach that combines elements of both a global strategy and a multi-domestic strategy. It aims to achieve global integration by leveraging economies of scale, sharing knowledge and resources, and promoting standardization across different markets. At the same time, it also emphasizes local responsiveness by adapting products, services, and marketing strategies to meet the specific needs and preferences of local markets.
By pursuing a transnational strategy, firms can benefit from economies of scale and cost efficiencies while also maintaining a strong presence and competitiveness in local markets. This approach allows companies to tailor their offerings to local customers, respond to local regulations and cultural differences, and build strong customer relationships.
To implement a transnational strategy successfully, firms need to establish effective communication channels and coordination mechanisms across different locations, promote knowledge sharing and collaboration among various units, and develop a strong global corporate culture that encourages both local adaptation and global integration.
In conclusion, a transnational strategy is typically chosen by firms that aim to balance the need for local responsiveness and international integration. It enables companies to achieve a global presence while catering to the unique demands of local markets.
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have led to drastic changes in the ability to gather, analyze, and access
data for research.
O A. Global trends
B. Changing consumer attitudes and behaviors
C. Privacy laws
O D. Advances in technology
Answer:
d
Explanation:
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Advances in technology have led to drastic changes in the ability to gather, analyze, and access data for research. Thus the correct option is D.
What is research?Research refers to deep investigations of the data and information available to provide credentials with facts and figures to provide results that will utilize for the new research.
By adjusting their tactics and actions, today's culture is benefiting from the quick development of digital technologies. Generating creative ideas, it aids in the rapid resolution of problems.
Since information technology radically alters the connection between people and knowledge, businesses and governments are reshaping it in order to increase productivity, increase performance, and reduce operation.
Therefore, option D is appropriate.
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2. At the beginning of 2020 , Bonds Company had total assets of $650,000 and total liabilities of $370,000. Answer each of the following questions.
1. If total assets increased $60,000 and equity decreased $90,000 during the year, determine the amount of total liabilities at the end of the year.
2. During the year, total liabilities decreased $75,000 and equity increased $50,000. Compute the amount of total assets at the end of the year.
3. If total assets decreased $100,000 and total liabilities increased $55,000 during the year, determine the amount of equity at the end of the year.
1. Total liabilities at the end of the year: $430,000
2. Total assets at the end of the year: $345,000
3. Equity at the end of the year: $125,000
These figures are derived by analyzing changes in assets, liabilities, and equity throughout the year using the accounting equation.
1. To determine the amount of total liabilities at the end of the year, we need to consider the changes in assets and equity during the year.
The total assets increased by $60,000 and the equity decreased by $90,000, we can use the accounting equation:
Assets = Liabilities + Equity
At the beginning of the year, the equation was:
$650,000 = $370,000 + Equity
By the end of the year, the equation becomes:
($650,000 + $60,000) = Liabilities + ($370,000 - $90,000)
Simplifying this equation, we have:
$710,000 = Liabilities + $280,000
By rearranging the equation, we can find the amount of total liabilities at the end of the year:
Liabilities = $710,000 - $280,000 = $430,000
Therefore, the amount of total liabilities at the end of the year is $430,000.
2. To compute the amount of total assets at the end of the year, we need to consider the changes in liabilities and equity during the year.
The total liabilities decreased by $75,000 and the equity increased by $50,000, we can use the accounting equation:
Assets = Liabilities + Equity
At the beginning of the year, the equation was:
$650,000 = Liabilities + $370,000
By the end of the year, the equation becomes:
Assets = (Liabilities - $75,000) + ($370,000 + $50,000)
Simplifying this equation, we have:
Assets = Liabilities - $75,000 + $420,000
By rearranging the equation, we can find the amount of total assets at the end of the year:
Assets = Liabilities + $345,000
Therefore, the amount of total assets at the end of the year is $345,000.
3. To determine the amount of equity at the end of the year, we need to consider the changes in assets and liabilities during the year.
The total assets decreased by $100,000 and the total liabilities increased by $55,000, we can use the accounting equation:
Assets = Liabilities + Equity
At the beginning of the year, the equation was:
$650,000 = $370,000 + Equity
By the end of the year, the equation becomes:
($650,000 - $100,000) = ($370,000 + $55,000) + Equity
Simplifying this equation, we have:
$550,000 = $425,000 + Equity
By rearranging the equation, we can find the amount of equity at the end of the year:
Equity = $550,000 - $425,000 = $125,000
Therefore, the amount of equity at the end of the year is $125,000.
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True or false: Budget planning is one of the 10 core principles of effective information technology planning.
It is false that Budget planning is one of the 10 core principles of effective information technology planning.
Every project boils down to money. If you had a bigger budget, you could probably get more people to do your project more quickly and deliver more. That’s why no project plan is complete until you come up with a budget
Budget planning is not one of the 10 core principles of effective information technology planning. The 10 core principles of effective IT planning, as identified by the National Association of State Chief Information Officers (NASCIO), are as follows:
Involve stakeholders
Link to business planning
Establish goals and objectives
Identify and prioritize opportunities and initiatives
Develop actionable plans
Establish governance structures and processes
Assign clear roles and responsibilities
Leverage enterprise architecture
Plan for resources and budget
Monitor, evaluate, and report progress
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Why does a monopolist face the market demand curve? group of answer choices presence of a large number of substitutes presence of a large number of buyers in the market barred entry of any new firm in the market produces a homogeneous product consumers have perfect knowledge of the market
A monopolist faces the market demand curve because of the presence of a large number of buyers in the market and the barred entry of any new firm into the market. Here option C is the correct answer.
In a monopoly, there is only one supplier of a product or service, and the supplier has the power to set prices without any competition. This is because there are no close substitutes available in the market, and consumers have to pay the price set by the monopolist if they want to purchase the product or service.
Since a monopolist is the only supplier of the product, it faces the entire market demand curve. The demand curve represents the quantity of the product or service that consumers are willing to purchase at different price levels. The monopolist can set the price of the product by considering the demand curve, which shows the maximum price that consumers are willing to pay for the product.
Therefore, a monopolist faces the market demand curve because it has the power to set the price of the product without worrying about competition from other firms. It can use its market power to set prices that maximize profits, which are typically higher than what would be possible in a competitive market.
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Complete question:
Why does a monopolist face the market demand curve? group of answer choices
A - presence of a large number of substitutes
B - the presence of a large number of buyers in the market
C - barred entry of any new firm into the market
D - produces a homogeneous product
E - consumers have perfect knowledge of the market
Ch 20 Ex 2 4 points eBook for Hint Print References Jasper Company has 59% of its sales on credit and 41% for cash. All credit sales are collected in full in the first month following the sale. The co
Jasper Company has 59% of its sales on credit and 41% for cash. All credit sales are collected in full in the first month following the sale.
The company's sales last month were $44,500, and its cash collections during the month were $28,305. What was the balance in Accounts Receivable at the beginning of the month?In this problem, we are given that:Sales = $44,500 Cash collections = $28,305 Credit sales = $44,500 x 0.59 = $26,255 Accounts receivable balance is given by:Beginning balance + Credit sales - Cash collections = Ending balance Beginning balance + $26,255 - $28,305 = Ending balance Beginning balance - $2,050 = Ending balance To find the beginning balance, we add $2,050 to the ending balance.
Therefore:Beginning balance = Ending balance + $2,050 Let's solve for the ending balance first:Ending balance = Sales - Cash collections Ending balance = $44,500 - $28,305 Ending balance = $16,195 Now, we substitute the value of ending balance into the beginning balance formula:Beginning balance = Ending balance + $2,050 Beginning balance = $16,195 + $2,050 Beginning balance = $18,245 Therefore, the balance in Accounts Receivable at the beginning of the month was $18,245.
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The congress of the country of delta is debating budget issues and decides to cancel $5 billion worth of tax cuts in order to balance the budget. An argument against a balanced budget rule would be?
The congress of the country of the delta is debating budget issues and decides to cancel $5 billion worth of tax cuts in order to balance the budget. An argument against a balanced budget rule would be that benefits from the tax cut were forgone.
Governments enact discretionary fiscal policies when they pass new laws that specifically change the overall level of taxes and spending. In 2009, the U.S. government spent $1.4 trillion more on tax revenue than she did.
Tax cuts reduce government revenues and result in increased budget deficits or government debt. Critics often argue that tax cuts benefit the wealthy at the expense of those with fewer resources, as services are cut in favor of those with lower incomes.
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Sweet Leaf Tea,a Texas-based maker of bottled iced tea,is a small but fast-growing firm that has gained a loyal following for its use of fresh,organic ingredients in its beverages.Although beverage industry experts recommended that Sweet Leaf replace the organic cane sugar and honey it uses with less costly high-fructose corn syrup,Sweet Leaf refused because of the company's mission to provide a high-quality,organic beverage to consumers.The 11-year-old company has 50 employees,and its products are available in 30% of the U.S.market.Sweet Leaf Tea recently received multimillion dollar investments which will enable the business to expand its national presence. Which of the following,if true,would most likely undermine the argument that Sweet Leaf Tea should implement a corporate-level strategy of vertical integration?A) Sweet Leaf Tea lacks the facilities or knowledge to produce the raw ingredients for its beverages.B) Market research suggests that Sweet Leaf Tea customers primarily purchase only one flavor of tea.C) Most loyal customers of Sweet Leaf Tea purchase the beverage at neighborhood convenience stores.D) Sweet Leaf Tea has decided to lower its prices by replacing cane sugar with corn syrup in some of its beverages.
Answer:
Correct Answer:
A) Sweet Leaf Tea lacks the facilities or knowledge to produce the raw ingredients for its beverages.
Explanation:
Vertical integration is a strategy whereby a company owns or controls its suppliers, distributors or retail locations which helps to control its product value and supply chain associated with the product it is selling.
Also, vertical integration benefits companies by allowing them to control process, reduce costs and improve efficiencies of the product. Since Sweet Leaf Tea Company lacks the facilities or knowledge to produce the raw ingredients for its beverages, it would definitely undermine its ambition.
A wealthy customer is very satisfied with her registered representative. She approaches the representative to ask him if he would like to be appointed as trustee over a trust account that she is establishing for her 2 grandchildren. If he accepts, he would be paid a trustee fee. Which statement is TRUE about this?
A. The registered representative cannot act as the trustee because he already manages another account for the customer
B. The registered representative cannot act as the trustee because he cannot accept a trustee fee
C. The registered representative cannot act as the trustee because of the conflict of interest
D. The registered representative can act as the trustee without restriction
Answer:
C.
Explanation:
In this scenario, the statement that is true is that the registered representative cannot act as the trustee because of the conflict of interest. A registered representative is technically a fiduciary to the client, which means that they must always perform actions that are of the client's best interests. If the representative started getting paid a part of a client's asset's fee then it would be conflicting with his duties because he would also be benefiting from the financial actions he is performing which may lead to performing an action that is not necessarily in the client's best interest.
Technology allows firms to listen to customers' wants, track their purchases, provide them with better service, and give them more access to information.
Answer:
This is true
Explanation:
With the recent development in modern communication technologies, communication with customers is is now very easy and yet very sophisticated. The advent of modern day communication in business like the internet and online shopping had now made it possible for a customer to communicate their wants easily to the seller and also make purchase, track their purchase and easily access more information about their seller and their purchase all from the comfort of their homes.
which annuity has its income benefit payments related to an assumed interest rate (air)?
The annuity that has its income benefit payments related to an assumed interest rate (AIR) is a variable annuity. Variable annuities are a type of annuity contract that allows individuals to invest in various underlying investment options such as mutual funds.
Unlike fixed annuities, which provide a guaranteed income stream, variable annuities offer payments that fluctuate based on the performance of the underlying investments. The assumed interest rate (AIR) is used to calculate the income benefit payments in variable annuities. The AIR represents the expected rate of return on the investments within the annuity contract. It serves as a benchmark against which the performance of the investments is evaluated. The higher the assumed interest rate, the higher the projected income benefit payments. However, it's important to note that the actual returns on the underlying investments may vary, and the income benefit payments can go up or down based on the performance of the investments. Variable annuities provide the potential for growth and investment flexibility but also carry investment risk. By linking the income benefit payments to an assumed interest rate, variable annuities offer individuals the opportunity to participate in the potential investment gains of the underlying assets while also providing a level of predictability in the income stream based on the assumed rate of return.
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Introduce the term of notice in two sentence
.WHAT ARE THE MERITS AND DEMERITS OF MNC
Explanation:
Merits1. it has created a competition through which large varieties of a single goods is available in the market.
2. for the home country, it has lessens the dependence on import and lead to economic development by providing new jobs opportunity .
Demerits1. in some host Nation, the appearance of MNC can regulate competition and main event create a monopoly .
2. workers in the MNCs are paid on an irregular bases and they are often laid off without any payment during the time of recession .
A loan to a company or government that pays investors a fixed rate of truth over a specific timeframe is known as:
1. 401k
2. Tax shelter account
3. Stocks
or 4. Bonds
Answer:
4. Bonds
Explanation:
Bonds are debt instruments used by corporates and governments to raise capital. Bonds are long-term sources of capital for a business and government and also an investment option to investors.
When the government or corporate issues bonds, they promise to pay the principal amount when the bond matures. Maturity ranges from 5 to 30 years. The bond issuer also commits to pay interest on regular intervals until the bonds mature. The interest to be paid is based on the coupon rate or interest rate as specified by the bond.
During last month, your beginning inventory was $19,500, your ending inventory was $14,063. If there were no additional purchases, what percent of inventory was sold?.
Inventory was sold at 28% if no more purchases were made.
What is the difference between beginning inventory plus acquisitions and ending inventory?Beginning inventory plus net purchases minus COGS equals ending inventory, according to the basic formula. The ending inventory of the previous period is your starting inventory. The products you have purchased and added to your inventory count are the net purchases.
Net acquisitions added to beginning inventory is what?An sum referred to as the cost of products available for sale is equal to the cost of beginning inventory plus the cost of net purchases for the period. Net purchases are the total cost of the items plus the cost of shipping less any discounts, allowances, and returns.
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omeone who likes building, designing, or creating things probably has a(n) _____. a. naturalistic learning styles b. bodily/kinesthetic learning style c. logical/mathematical learning style d. visual/spatial learning style Please select the best answer from the choices provided A B C D
Answer:
D. Visual/spatial learning style.
Explanation:
Someone* have a great day<3
Answer:
I assume D
Explanation:
A is a maybe but when it comes to buildings, It tips me off of the idea from an naturalist style,
b doesn't seem to be the answer as if " learning takes place by the students carrying out physical activities, rather than listening to a lecture or watching demonstrations."
C logical and mathicals ways is different from designs and the artistic way of building this seems to be in a career for maybe a bank teller or a teacher
Sparkling Water, Inc., expects to sell 3.7 million bottles of drinking water each year in perpetuity. This year each bottle will sell for $1.46 in real terms and will cost $.82 in real terms. Sales income and costs occur at year-end. Revenues will rise at a real rate of 1.8 percent annually, while real costs will rise at a real rate of 1.1 percent annually. The real discount rate is 7 percent. The corporate tax rate is 25 percent. What is the company worth today?
Answer:
$39,345,664.93
Explanation:
The computation of the company worth today is as follows:
Present value of revenues after tax is
= $3,700,000 × 1.46 × (1 - 0.25) ÷ (0.07 - 0.018)
= $77,913,461.54
And, Present value of costs after tax is
= $3,700,000 × 0.82 × (1 -0.25) ÷ (0.07-0.011)
= $38,567,796.61
So, the company worth today is
= $77,913,461.54 - $38,567,796.61
= $39,345,664.93
When fire alarm sounds. Why should you evacuate children immediately even if you do not see flames?
Answer: because even if there is no fire there could be an explosion, fire and gasoline WILL make an explosion. So Basically it can start with fire but soon turn into an explosion. If it's a fire DRILL then it's for practice if that actually does happen.
Major variables used to segment consumer markets include which of the following? Geographic, demographic, psychographic, and behavioural.
Major variables used to segment consumer markets include geographic, demographic, psychographic, and behavioural.
What are consumer markets?
Retailers sell products and services to consumers for their own use or consumption in a consumer market. The consumer market is distinct from the corporate market because consumers acquire goods and services for their own consumption rather than to resell for profit. Because of this, the consumer market is supplied with commodities and products that individuals use on a daily basis, including food, personal care items, footwear, apparel, accessories for grooming, and personal digital gadgets like computers and smartphones. The consumer market is accessible to everyone, regardless of wealth, in contrast to other markets that have higher entrance barriers. You can be considered an active consumer in the market as long as you have the means and the desire to purchase goods or services for your own consumption.
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kindly assist with research
my topic
The newly implemented e-payslip is not inclusive to all employees of the government.
what is the problem?
why is it the problem?
3 things that should be done to solve the problem?
The problem in the topic is the newly implemented e-payslip is not inclusive to all employees of the government. The reason why this is a problem is because it can cause dissatisfaction and confusion among employees who do not have access to the e-payslip.
Also, the e-payslip system may not be accessible or user-friendly for all employees who are supposed to use it.
Here are three things that should be done to solve the problem:
1. Conduct research: Research should be conducted to find out which employees are not included in the e-payslip system and why. This can help identify any technical or logistical problems that may be preventing some employees from using the system.
2. Increase accessibility: Steps should be taken to increase the accessibility of the e-payslip system so that all employees can use it. This may involve providing training and support to employees who are not familiar with using digital systems.
3.Improve communication:
Clear communication should be provided to all employees about the e-payslip system, including how to access it, how to use it, and how it benefits them. This can help address any confusion or dissatisfaction among employees who are not currently using the system.
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Identify the socio-economic issues affecting KB Trading in EACH statement below. 1.5.1 Some of the employees of KB cannot read letters and emails. 1.5.2 KB uses water treatment technologies due to lack of rain. QUESTION recycling
1.5.1 Socio-economic issue: Lack of access to education and literacy skills among KB Trading employees.
1.5.2 Socio-economic issue: Dependence on water treatment technologies due to the lack of rainfall.
How might limited access to educational opportunities for employees of KB Trading impact ?1.5.1 Additional socio-economic issues:
Limited access to educational opportunities for KB Trading employees Potential communication barriers that could impact job performance and productivityPotential negative impact on business operations and efficiency due to employee literacy challengesHow can KB Trading address the challenges posed by the scarcity of water in their production process ?1.5.2 Additional socio-economic issues:
Dependence on a scarce resource (water) in the production process, which could lead to increased costs or potential disruptions to operationsThe need to invest in water treatment technologies to address the lack of rainfall, which could be costly and impact profitability Potential impact on the local community's access to water, which could have wider socio-economic implications. Which could lead to additional costs for KB Trading and may also impact the surrounding community's access to clean water. There is no mention of recycling as a socio-economic issue in either statement.Learn more about Socio-economic
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3
what is not example of an Internal Stakeholder?
-
O
Owner
Customers
Manager
Employees
None of the Above
Answer:Imagine you’re Charlie in Willy Wonka and the Chocolate Factory.
This whole business is all yours! Run around it, eat all the free snacks, enjoy all of the delicious, owning-your-own-business feelings. And then get into work the next day and realize…
Who actually does all of the stuff here? Who’s actually running this place?
Well you, of course. But not just you. Many people have personal and financial interests in your business, and those people are called stakeholders.
What types of stakeholders do you need in business? In this post you get to learn:
The 10 types of stakeholders you meet in business
Stakeholder vs. shareholder – have you been referencing the wrong one?
What types of stakeholders are there?
No, that’s not a typo. Each of the types of stakeholders in a business are categorized in 3 ways:
Internal or external
Primary or secondary
Direct or indirect
Internal stakeholders are, as the name suggests, stakeholders that exist inside a business. These are stakeholders who are directly affected by a project, such as employees.
External stakeholders are those who have an interest in the success of a business but do not have a direct affiliation with the projects at an organization. A supplier is an example of an external stakeholder.
Explanation:
Under what category of expense do manufacturing wages fall?
Answer:
Direct expenses
Explanation:
Manufacturing expenses are categorized into direct and indirect expenses.
Direct expenses are the costs that can be traced to a specific product or service. There are the expenses that relate to the production or provision of a particular good or service. Direct expenses include the cost of material, direct labor, and direct factory overhead costs.
Indirect expenses consist of operating expenses such as rent, administrative salaries, insurance, telephone, internet , and computer costs. These costs cannot be linked to a particular product.
Post-Assessment
Question 2 of 5
Why is buying a car considered "bad debt"?
It decreases in value over time
It increases your net worth as it build equity
It gives you transportation to and from your job
It is worth more than any other investment
Submit
Continue
E
The reason why buying a car considered "bad debt"is that It decreases in value over time. option A
What is bad debt?The term bad debt can be described as the amount of money that a creditor must write off as a result of a default on the part of the debtor in a case whereby the creditor has a bad debt on the books, then things turn to uncollectible and is recorded as a charge-off.
It should be noted that a case can be regarded as bad debt because the value of the asset you receive from the loan depreciates quickly however in some cases interest charges increase how the amount that is been paid for the vehicle. and in thius case cost is higher compare to what it would be if you'd purchased the car outright with cash.
Hence, option A is correct.
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When making decisions, managers often must decide between doing what is beneficial for the firm in the short term, and what is beneficial for both the firm and society in the long term. To address this conflict, a firm must
When making decisions, managers are often faced with a conflict between what is beneficial for the firm in the short-term and what is beneficial for both the firm and society in the long-term.
This conflict arises because the actions that benefit the firm in the short-term may not necessarily align with the interests of society as a whole, which can lead to negative consequences for both the company and society in the long-term.
To address this conflict, a firm must adopt a long-term orientation and consider the broader social and environmental impacts of its decisions. This means looking beyond immediate financial gains and recognizing that actions taken today can have far-reaching implications for the company's reputation, customer loyalty, employee morale, and overall sustainability.
Firms that prioritize social responsibility and sustainable business practices are more likely to build strong relationships with stakeholders, including customers, employees, investors, and regulators. They are also better equipped to weather economic downturns and other disruptions, as they have diversified their risk and invested in building resilient supply chains and communities.
Ultimately, the key to addressing the conflict between short-term gains and long-term benefits is a commitment to corporate social responsibility (CSR) and sustainable business practices. By prioritizing the needs of society and the environment alongside those of shareholders, firms can create value for all stakeholders over the long-term, ensuring their continued success and impact.
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Brazil has 85.9 million people officially employed, 76.4 million people are out of the workforce, and 14.8 million people are officially unemployed. What is the official unemployment rate in Brazil
The official unemployment rate in Brazil is 14.7%. This indicates that 14.7% of the labor force, which includes individuals who are either employed or actively seeking employment, are currently unemployed.
The official unemployment rate in Brazil can be calculated using the following formula: Unemployment Rate = (Unemployed People / Labor Force) x 100. In this case, there are 14.8 million officially unemployed people. The labor force consists of both employed and unemployed individuals, so we need to add the number of employed people (85.9 million) to the number of unemployed people (14.8 million).
This gives us a total labor force of 100.7 million people. Now we can calculate the unemployment rate: (14.8 million / 100.7 million) x 100 = 14.7%. This statistic helps us understand the overall health of the job market and the economy in Brazil.
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Think about the items and services that you and your family buy or consume. What causes you to pay the prices that you do for these goods and services? What determines the price that's on the price tag? What goes into determining, or setting. that price? Consider all the possible elements that could influence the prices you pay.
The prices that I pay for the goods and services that I consume are influenced by various factors. The most important factor is the supply and demand of the product or service. If there is high demand for a particular product and the supply is limited, the price tends to be higher. On the other hand, if there is an excess supply of a product and low demand, the price tends to be lower.
The cost of production is another factor that influences prices. The cost of raw materials, labor, overhead, and other production-related expenses determine the price of a product or service. The level of competition in the market also influences prices. If there are many competitors offering similar products or services, companies may lower their prices to attract customers. Other factors that may influence prices include government regulations, taxes, and tariffs, transportation and logistics costs, marketing and advertising expenses, and the company's profit margin. Ultimately, the price that is set for a product or service reflects a balance between the costs of production, market demand, and the company's objectives.
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Alexa hoped that a good outline will accomplish which of the following for her presentation
Alexa hoped that a good outline will accomplish to help her distinguish between main topics and subtopics.
What is the presentation?A presentation refers to conveying information from a speaker to an audience. It includes an introduction, demonstrations, speeches, or lectures.
The missing options in the question are
help her distinguish between main topics and subtopics.Let her find how competing theories disagree with her ideas.Encourage her to describe in length the information on her slides.Enable her to use media more efficiently.Alexa hoped that a good outline needs to accomplish for her presentation is to help her distinguish between main topics and subtopics.
Therefore, A is the correct option.
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True or False: You should calculate your regular monthly pay based on your Gross Pay.
Answer:
False
Explanation:
The gross pay refers to the salary you earn before taxes and other deductions are subtracted. Because of that, the answer is that the statement that says that you should calculate your regular monthly pay based on your Gross Pay is false because this amount is not equal to the amount you actually get when you are paid as the deductions have to be taken out and you receive less money.
A person should calculate his regular monthly pay based on his Gross Pay is the false statement.
What is Gross Pay?The gross pay means the amount of salary that the assesses earn before taxes and other deductions under the section of Income Tax.
A person should calculate his regular monthly pay based on his Gross Pay is the false statement because this amount is not equivalent to the amount
that the asses actually get when he is paid, as the deductions assesses receive less money assesses receives the amount of salary after the deductions.
Therefore, the above statement is false.
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Roger is a 38 year old man who lives with his father. He wants to move out but needs to figure out how much he needs to save a month to be able to move in. He has found the apartment he wants but needs to come up with the Deposit which is first and last month’s rent. Currently he makes $2000 a month at his job. His current expenditures living with his father is $800 a month. He figures he can comfortably afford this apartment which costs $1200 a month. How long in his current situation will it take Roger to save for his Deposit and finally move out?
it will take Roger 2 months to save for the deposit and be able to move out.
To determine how long it will take Roger to save for his deposit and move out, we need to calculate his monthly savings based on his income and expenses.
Monthly savings = Income - Expenditures
Roger's income: $2000
Roger's current expenditures: $800
Monthly savings = $2000 - $800
Monthly savings = $1200
Now we can calculate the time it will take for Roger to save for the deposit.
Deposit amount = First month's rent + Last month's rent
Deposit amount = $1200 + $1200
Deposit amount = $2400
Time to save = Deposit amount / Monthly savings
Time to save = $2400 / $1200
Time to save = 2 months
In his current situation, it will take Roger 2 months to save for the deposit and be able to move out.
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Discuss the role of the father in attachment theory
Explanation:
Both parents are considered attachment figures in attachment theory, and the child-father attachment is autonomous from the child-mother attachment. Whereas mothers are commonly involved in caregiving and providing emotional refuge, fathers are particularly involved in play and exploratory undertakings.