Answer:
Explanation
Explanation:
28 of July 2012 was the day the Supreme Court upheld the constitutionality of the Patient Protection and Affordable Care Act (PPACA) in a 5 to 4 decision which was written by Chief Justice John G. Roberts. The court rightly ruled that the insurance which was provided by the Patient Protection and Affordable Care Act (PPACA) is in accordance with the legitimate use of the powers of taxation by the government and not just a certain mandate that is unconstitutional.
managerial accounting has the following characteristics? (check all that apply.) multiple select question. primarily focuses on past performance using historical information emphasis is on projects, processes, and divisions information is usually available only after an audit focus is on internal users includes mostly monetary and some nonmonetary information
Managerial accounting primarily focuses on past performance using historical information, emphasis is on projects, processes, and divisions. These four characteristics are the correct answers.
Managerial accounting is a type of accounting that concentrates on the provision of accounting information for use by internal stakeholders of an organization. It is also referred to as management accounting. Its characteristics are highlighted below:
Primarily focuses on past performance using historical information:
Managerial accounting focuses on the past financial transactions and their impact on the organization. This means that it uses historical data to help managers make informed decisions for the future.
Emphasis is on projects, processes, and divisions:
The primary aim of managerial accounting is to help managers to evaluate the financial performance of a division, project, or process. This means that it seeks to identify the profitability of different segments of an organization.
Information is usually available only after an audit:
To ensure that the information provided by managerial accounting is accurate and relevant, it often requires an audit. This means that the information is available only after an audit is performed.
Focus is on internal users:
Managerial accounting focuses on the information needs of internal stakeholders of an organization. This includes management and employees, who use the information provided to make decisions.
Includes mostly monetary and some nonmonetary information:
Managerial accounting provides both monetary and nonmonetary information. The monetary information refers to financial transactions and includes cash inflows and outflows, revenues, expenses, and profits. On the other hand, non-monetary information refers to non-financial measures such as customer satisfaction, employee satisfaction, and productivity.
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Which one of the following products would tend to have inelastic demand?
A) luxury sedans
B) candy
C) crude oil
D) Black Angus T-bone steak
Answer:
C) crude oil
Explanation:
Crude oil and its byproducts (gasoline, plastic, etc.) have a very inelastic demand, e.g. the price elasticity of gasoline is between -0.02 and -0.04.
On the other hand, luxury goods have a very elastic demand, totally opposite to oil. The same applies for the demand of candies. While the demand for beef tends to be unit price elastic (or near it).
if your paycheck provides enough to pay rent and buy groceries and necessities, you are probably eanring a
The possibility that a paycheck provides to cater for paying rent and buying groceries and necessities implies that you're probably earning a good salary.
What is a Paycheck?
Traditionally, a paycheck is a paper document delivered by an employer to compensate an employee for services performed or rendered.
The employee cashed the cheque to collect payment. The employee may also choose to have their salary instantly transferred into their bank account, ensuring that their money is there on payday.
A paycheck may be sent out or issued on a weekly or bimonthly basis. Thus, the possibility that a paycheck provides to cater for paying rent and buying groceries and necessities implies that you're probably earning a good salary.
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Answer:
b
Explanation:its b
an investor sells 150 shares of amazon (amzn) stock at $35.00 and pays a $7 commission. what is the total amount of money received by the investor?
If an investor sells 150 shares of amazon (amzn) stock at $35.00 and pays a $7 commission. The total amount of money received by the investor is: $5,257.
How to find the total amount of money?Using this formula to find the total amount of money
Total amount of money = (Number of shares sold × Stock price) + Commission
Let plug in the formula
Total amount of money = (150 shares × $35.00) +$7
Total amount of money = $5,250 + $7
Total amount of money = $5,257
Therefore the total amount of money is $5,257.
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GMR industries entered the airport space in early 2000's and is today 1
counted amongst the top 5 airports, private airport developer and operators
globally. GMR industries presently owns and operates Delhi International
Airport and Hyderabad International Airport. Apart from being the largest
airport company in India, GMR industries are the only Indian Airport
developer to have developed and operated airports outside India.
Identify the types of industry and its category being discussed in the above
case?
Answer:
f
Explanation:swsw
What effect would reducing income tax rates have on the interest rates of municipal bonds? A. Interest rates would rise because the reduction in income tax rates would make the tax-exempt privilege for municipal bonds less valuable and reduce the demand for municipal bonds. B. Interest rates would fall because the reduction in income tax rates would make the tax-exempt privilege for municipal bonds less valuable and reduce the demand for municipal bonds. C. Interest rates would fall because Treasury securities are now less valuable and more people will want to hold municipal bonds. D. Interest rates would rise because Treasury securities are now less valuable and more people will want to hold municipal bonds.
Answer:
A. Interest rates would rise because the reduction in income tax rates would make the tax-exempt privilege for municipal bonds less valuable and reduce the demand for municipal bonds.
Explanation:
In the case when the income tax rate is decreased on the municipal bonds so here the interest rate would increase as there is a decrease in the income tax rate due to which there should be the tax-exempt for the municipal bonds also it is less valuable. In addition to this, it also decrease the municipal bond demand
hence, the correct option is A.
Which of these are considerations that go into pricing a company's product? (Select all that apply.)
Price of getting the product to the market
How much tax the consumer pays as an end user
Price of labor to make the product
Price of raw materials
Answer:
All EXCEPT How much tax the consumer pays as an end user
Explanation:
All the options except how much tax the consumer pays as an end user are considerations that go into pricing a company's product.
What is pricing?Pricing is the process by which a company determines the price at which it will sell its products and services. It may be part of the company's marketing strategy. When determining prices, the company will consider the cost of acquiring the goods, the manufacturing cost, the marketplace, competition, market condition, brand, and product quality.
Pricing is an important aspect of product management and one of the four Ps of the marketing mix, along with product, promotion, and place. Among the four Ps, price is the only one that generates revenue.
Therefore, price of getting the product to the market, price of labor to make the product, price of raw materials are the considerations that go into pricing a company's product.
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(Zaxbys)
select all the salads that are made with regular zalad base x (check all that apply).
Answer choices:fried caesar, buffalo blue, grilled caesar, blackened blue, grilled house, grilled cobb, fried house, fried cobb
Answer:
Fried Caesar, grilled Caesar, Buffalo blue, fried cobb
Explanation:
Salads are made with various vegetables and meat base. The regular salad is green salad which is most commonly used. There are many benefits of having salad with meal. Many people do not like vegetables so they add little meat with salad to consume it. Most regular salad base are fried Caesar and fried cobb.
What is the first thing the law requires you to do when you arrive at an intersection? Explain what you should do if there is an officer directing traffic.
Answer:
If a law enforcement officer if directing traffic where there are traffic lights, OBEY the officer – not the signals. You must yield the right-of-way to all other traffic and pedestrians at stop signs. Move forward only when the road is clear. At four-way signs, the first vehicle to stop should move forward first.
The very first action we do is stop at the junction as if it were a red light and waiting for police to notify you when it is safe to go.
Explanation:
If a police officer directs traffic in an area with traffic signals, respect the officer rather than the signals. At stop signs, you must surrender the right-of-way to all other cars and pedestrians. Only proceed when the road is clear. When approaching a four-way stop, the first car to halt shall proceed first.
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1. Despite the expense, why might a business choose to mail a catalog?
Answer:
Catalogs can promote a business's brand by displaying them in high-traffic areas and distributing them in stores. Customers often have an idea of what they want to buy after looking through a catalog. But, they'll likely find other items they want to buy when they go online or to a brick-and-mortar store to order.
Do you think every working American needs a 401(k) account or an IRA? Why or why not?
No links
Need ASAP
Answer:
Both 401(k) accounts and IRAs are retirement savings accounts that allow individuals to save for retirement on a tax-advantaged basis. Contributions to these accounts are tax-deductible, and the earnings on the investments grow tax-free until they are withdrawn during retirement.
There are some benefits to having a 401(k) account or an IRA. They allow individuals to save for retirement in a tax-efficient way, and can provide a significant source of income during retirement. In addition, many employers offer matching contributions to 401(k) accounts, which can be a valuable incentive to participate.
However, there are also some drawbacks to these types of accounts. For example, they are subject to market fluctuations and the investment risk is borne by the individual. In addition, there are limits on how much can be contributed each year, which may not be enough to provide for a comfortable retirement.
Whether or not every working American needs a 401(k) account or an IRA depends on individual circumstances. For some people, these accounts may be a valuable tool for saving for retirement. For others, different types of retirement savings accounts or strategies may be more appropriate. Ultimately, it is up to each individual to determine the best approach for their own retirement planning.
Given the yield on a 3-year zero-coupon bond is 7% and forward rates of 6% in year 1 and 6.5% in year 2, what must be the forward rate in year 3?
The forward rate in year 3 must be 7.19%.
To calculate the forward rate in year 3, we can use the concept of bootstrapping. The yield on a zero-coupon bond represents the spot rate for that particular maturity. Given that the yield on a 3-year zero-coupon bond is 7%, we know that the spot rate in year 3 is 7%.
Now, let's calculate the implied forward rate in year 3. We can use the formula:
Forward rate in year 3 = [(1 + Spot rate in year 3)^(3) / (1 + Spot rate in year 1)^(1) * (1 + Spot rate in year 2)^(2)]^(1/3) - 1
Substituting the given values:
Forward rate in year 3 = [(1 + 7%)^(3) / (1 + 6%)^(1) * (1 + 6.5%)^(2)]^(1/3) - 1
Calculating the values within the parentheses:
Forward rate in year 3 = [(1.07)^(3) / (1.06)^(1) * (1.065)^(2)]^(1/3) - 1
Simplifying further:
Forward rate in year 3 = [1.225043 / 1.0606 * 1.1356225]^(1/3) - 1
Taking the cube root and subtracting 1:
Forward rate in year 3 ≈ 1.0719 - 1
Forward rate in year 3 ≈ 0.0719
The forward rate in year 3 is approximately 7.19%.
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An apparel company has introduced three different varieties of shoes at different price points. a company that produces shampoos have now introduced dishwashing liquids in the market. a shoe company sells its floaters at a price that does not even cover its production cost. a chocolate company introduces its new range of chocolates at a discounted price for limited stock only. loss leadership arrowRight promotional pricing arrowRight product line pricing arrowRight brand extension
Answer:
An apparel company has introduced three different varieties of shoes at different price points. [Product line pricing]
A company that produces shampoos have now introduced dishwashing liquids in the market. [Brand extension]
A shoe company sells its floaters at a price that does not even cover its production cost. [Loss leadership Pricing]
A chocolate company introduces its new range of chocolates at a discounted price for limited stock only. [Promotional pricing]
Explanation
Product Line Pricing: This strategy of separating products into various price categories may or may not have anything to do with their cost. It, however, achieves the effect of making one seem of a higher quality than the other.
Brand Extension:
Brand extensions serve the primary purpose of maintaining brand dominance and or relevance in the mind of the consumers.
Loss Leadership Pricing: This strategy is often used to attract the attention of customers. As customers compare the price of this product with similar/competing products, it can even create a mindset with customers that the business has very cheap products. This ultimately leads to more purchases and ultimately an increase in the bottom line of the business. This strategy is seldom used in isolation. The business almost always makes up for this loss relying on the increased volume of sales or by marking up other products slightly.
Promotional Pricing:
There are consumers who are very price sensitive. This strategy by the nature of its design almost always attracts their patronage. Depending on the creativity of the Marketing Officer, this can be used to increase consumer loyalty.
Cheers
Answer:
ANSWER IN FOTO
Explanation:
Pandora Manufacturing has 7.6 million shares of common stock outstanding. The current share price is $46, and the book value per share is $3. The company also has two bond issues outstanding. The first bond issue has a face value of $68.6 million and a coupon rate of 6.3 percent and sells for 109 percent of par. The second issue has a face value of $58.6 million and a coupon rate of 6.8 percent and sells for 107.5 percent of par. The first issue matures in 7 years, the second in 28 years.
The company’s stock has a beta of 1.3. The risk-free rate is 2.4 percent, and the market risk premium is 6.3 percent. Assume that the overall cost of debt is the weighted average implied by the two outstanding debt issues. Both bonds make semiannual payments. The tax rate is 22 percent. What is the company’s WACC?
the WACC for Pandora Manufacturing is roughly 9.96%. along with the ratios of equity and debt in the company's capital structure, must be determined in order to compute the WACC for Pandora Manufacturing.
Let's begin by using the CAPM to determine the cost of equity:
Risk-Free Rate + Beta + Market Risk Premium = Cost of Equity Cost of Equity = 2.4% + 1.3 * 6.3%
Equity Cost = 10.29%
Let's now compute the cost of debt. We need to figure out the yield to maturity for each of the two outstanding bond issues:
Coupon for the initial bond issue: 6.3% * $4.3278 million x $68.6 million
Price = 109% * $74.794 million x 68.6 million
Maturity equals 7 years times 2, or 14 semiannual intervals.
YTM = 3.17%
Coupon for the second bond issue: 6.8% times $58.6 million=$3,988,850,000
Price = 107.5% * $63,055 million x $58.6 million
Maturity = 28 years x 2 = 56 semi-annual intervals
YTM = 3.46%
We must determine the share of each bond issue in the total debt of the corporation in order to determine the weighted average cost of debt:
Total Debt is equal to $127.2 million ($68.6 million plus $58.6 million).
$68.6 million / $127.2 million ($Initial Bond Issue) = 0.5396
Second Bond Issue Percentage = 58.6 million / 127.2 million = 0.4604
The formula for calculating the weighted average cost of debt is as follows: Weighted Average Cost of Debt = Percentage of First Bond Issue * YTM of First Bond + Proportion of Second Bond Issue * YTM of Second Bond.
Average Weighted Cost of Debt = 3.32%
Using the following formula, we can now determine the WACC:
WACC is equal to the product of the equity stake, cost of equity, and debt stake.
The expense of debt (1 - Tax Rate)
Market Value of Equity / Total Market Value equals the proportion of equity.
Market Value of Equity is equal to 7.6 million shares multiplied by $46 per share, or $349.6 million.
$349.6 million plus $74.794 million plus $63.055 million equals $487.449 million in total market value.
Equity as a percentage equals $349.6 million / $487.449 million, or 0.7166.
Percentage of Equity = 0.2834 - Proportion of Debt = 1.
WACC = 0.7166 * 10.29% + 0.2834 * 3.32% * (1 - 22%)
WACC = 7.37% + 2.59%
WACC = 9.96%
Thus, the WACC for Pandora Manufacturing is roughly 9.96%.
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are the costs related to the product that have to be paid regardless of the amount you sell.
A) Fixed cost
B) Opportunity costs
C) Variable costs
D) none of the above
Answer:
C) Variable costs
Explanation:
In a suit against Knut, Leon obtains an injunction. This is
a. an order to perform what was promised.
b. a payment of money or property as compensation.
c. the cancellation of a contract.
d. an order to do or to refrain from doing a particular act.
In a suit against Knut, Leon obtains an injunction. An injunction is an order to do or to refrain from doing a particular act. This means that Knut is prohibited from taking certain actions that may have caused harm or damage to Leon.
Injunctions are commonly used in cases of intellectual property, employment, and family law. It is important to note that an injunction is not a payment of money or property as compensation, nor is it the cancellation of a contract. It is simply a court order that requires the party to comply with the court's decision.
Injunctions can be temporary or permanent, and they are enforced by the court system.
Therefore, option d is the correct answer.
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How does a fixed exchange rate set the value for a currency?
A. By setting it at a specific value based on another currency
B. By adjusting the price based on the supply and demand for it
C. By comparing the terms of trade between multiple countries
D. By evaluating the overall economic health of different countries
A fixed exchange rate set the value for a currency by setting it at a specific value based on another currency. Thus the correct answer is A.
What is currency?A currency is referred to as a form of money that is utilized for buying and selling goods. This currency differs in value from country to country. A fixed exchange rate system is one in which the value of one currency is equal to the valuation of another common currency.
Two currencies from different countries will be shared at an equal price with the help of a fixed exchange rate, the prices of the currency will fluctuate based on the factors like demand and supply as well as inflation.
Therefore, option A by setting it at a specific value based on another currency is appropriate.
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Answer:
A. By setting it at a specific value based on another currency
Explanation:
Define planning, control, continuous improvement, and decision
making as used in cost accounting and give an example of each for a
University.
Planning, control, continuous improvement, and decision making in cost accounting are key processes used to set goals, monitor performance, optimize efficiency, and make informed choices for cost-effective outcomes.
Planning in cost accounting refers to the process of setting goals, objectives, and strategies to achieve financial targets efficiently. Control involves monitoring and evaluating actual performance against planned targets to identify any deviations or variances. Continuous improvement focuses on making ongoing enhancements to processes and practices to optimize efficiency and reduce costs. Decision making involves analyzing relevant information and selecting the best course of action to achieve cost-effective outcomes.
In cost accounting, planning for a university involves setting financial goals and objectives, such as increasing revenue from tuition fees, optimizing the utilization of resources, and managing expenses effectively. This includes developing budgets for various departments and programs, projecting student enrollment, and determining the allocation of funds for different activities.
Control in cost accounting for a university entails monitoring and evaluating financial performance against the planned targets. This can involve analyzing actual revenue and expenses, comparing them to the budgeted figures, and identifying any significant variances. For example, if the actual revenue from a particular program falls short of the projected amount, the university may need to assess the reasons behind the shortfall and take corrective measures.
Continuous improvement in cost accounting for a university involves ongoing efforts to enhance processes and practices to optimize efficiency and reduce costs. This may include streamlining administrative procedures, implementing technology solutions to automate tasks, and identifying opportunities to consolidate resources. For instance, the university may introduce an online portal for student registrations and fee payments, reducing paperwork and administrative burden.
Decision making in cost accounting at a university involves analyzing relevant financial data and making informed choices to achieve cost-effective outcomes. For example, when deciding whether to invest in a new facility or renovate an existing one, the university would assess the projected costs, potential benefits, and long-term financial implications to determine the most financially viable option.
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Vertical Integration is when a company _____________.
Answer:
Vertical integration is when a company owns or controls its suppliers, distributors or retail locations to control its value or supply chain
suppose the risk-free return is 4%. the beta of a managed portfolio is 1.2, the alpha is 1%, and the average return is 14%. based on jensen's measure of portfolio performance, you would calculate the return on the market portfolio as:
Market Portfolio Return= 11%
A market portfolio is a theoretical collection of investments that includes every asset type available in the investment universe, with each asset weighted in proportion to its overall market presence. The anticipated return for a market portfolio is the same as the anticipated return for the market as a whole.
Alpha = R – Rf – beta (Rm-Rf)
Where:
R denotes the market portfolio return.
Rf is the risk-free rate of return.
A portfolio's systematic risk is represented by beta.
Rm denotes the market return as measured by a benchmark.
0.01 = R - 0.04 - 1.2 (0.14-0.04)
0.01 = R - 0.1
market portfolio return R = 0.01+0.1
market portfolio return R = 0.11
Market Portfolio Return= 11%
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The complete question is:
Suppose the risk-free return is 4%. The beta of a managed portfolio is 1.2, the alpha is 1%, and the average return is 14%. Based on Jensen's measure of portfolio performance, you would calculate the return on the market portfolio as Multiple Choice
16%.
11%.
14%.
15%.
Hector Company gathered the following reconciling information in preparing its March bank reconciliation: Cash balance per books, 3/31$12,000 Notes receivable collected by bank6,000 Outstanding checks9,000 Deposits in transit4,500 Bank service charge75 NSF check1,200 Using the above information, determine the adjusted cash balance for March. a.$7,500 b.$16,725 c.$15,500 d.$12,225
Answer: $16,725
Explanation:
Given the following :
Cash balance per books for March = $12,000
Notes receivable collected by banks = $6000
Bank service charge - $75
Non-sufficient fund (NSF) check - $1200
Therefore, Adjusted cash balance for March:
(balance per books + notes receivable - bank service charge - NSF check)
$(12,000 + 6,000 - 75 - 1200)
$(18000 - 1275)
= $16,725
What do you think of when you hear the words “product development”?
Answer: Product development is the complete process of delivering a new product or improving an existing one for customers. The customers can be external or internal within a company.The objective is to ensure that the new or enhanced product satisfies a real customer needs
Explanation:
similar to a stock split, a stock also distributes additional shares of stock to existing stockholders on a pro rata basis at no cost to the stockholders. (enter one word per blank.)
Similar to a stock split, a stock dividend also distributes additional shares of stock to existing stockholders on a pro rata basis at no cost to the stockholders.
A stock split is a decision made by the board of directors of a firm to issue more shares to present owners in order to increase the number of shares outstanding.
A stock split is a division of issued shares in a ratio determined by the company, whereas a stock dividend is a dividend paid in the form of extra shares. While in a stock split, already issued shares are divided in accordance with a predetermined ratio, a stock dividend gives stockholders extra shares.
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A _______________ guarantees that if the contract owner of a variable annuity dies prior to annuitization the beneficiary will receive at least as much from the variable annuity as the owner paid in premiums.
Answer:
Guaranteed Death Benefit
Explanation:
A guaranteed death benefit may be defined as a benefit term which guarantees that a beneficiary will surely receive a \(\text{death benefit}\) if the annuitant expires or dies before the annuity begins paying the benefits.
It is a safety net where when the annuity dies while making the payments or the contract is in the accumulation phase.
Variable annuity is defined as an agreement or a \(\text{contract}\) between a person and the \(\text{insurance company}\), under which the \(\text{insurer agrees}\) to make \(\text{periodic payments}\) to the person, beginning either immediately or at some future date.
Thus, \(\text{Guaranteed Death Benefit}\) guarantees a beneficiary to receive payments from the variable annuity which is guaranteed by the Guaranteed Death Benefit when the contract owner of the variable annuity dies before annuitization.
a government minister in country X recently said: "the secondary sector of the industry will always be more important than the tertiary sector to our economy." do you agree with this view? justify your answer.
Answer:
Explanations yes i agree with this view since raw material are must for every sector. If there is no product, then service sector will have no work.
tertiary sector provide services for primary and secondary sector also secondary sector depent on pramiry sectorfor the input
5) Si tuvieras que hacer un presupuesto de Ingresos y uno de Gastos ¿Cuál harías primero y que te sirva de base para hacer el otro? Explica tu respuesta
Answer:
Si tuviese que hacer un presupuesto de ingresos y uno de gastos, primero haría el de ingresos. Así, podría tener en cuenta la cantidad de dinero que mes a mes ingresa en mi patrimonio y de esta manera organizar mis gastos teniendo en cuenta no gastar mas dinero del que gano mensualmente.
Si, en cambio, organizara mis gastos antes que mis ingresos, me vería limitado posteriormente a realizar algunos gastos dado que no habría contemplado mi liquidez financiera mensual.
How is a debit card different from a credit card?
A. A debit card is usually issued by a financial institution.
B. A debit card provides a way for people to make large purchases.
C. Spending on a debit card is limited to the funds available in an
account.
D. Spending can occur via a digital payment method.
Answer:
C
Explanation:
because thats wat ist is.- limited funds
when choosing a career, having set goals is the most important consideration.
true or false
Answer:
yes of course
Explanation:
you need to have some ides of what you wanna do if youre choosing a career
Answer:
yes
Explanation:
What. Can a cover letter explain that a resume cannot
Cover letters can also grant perception and clarification into touchy records that your resume cannot, such as lapses in employment, career changes and layoffs. Just hold an upbeat tone and stay fine in your explanation.
How does a cover letter range from a resume?Resumes are like a formal record that summarizes your skills, work trip and qualifications in sections. Cover letters are a documented letter structured in paragraphs which explains in detail why you're the high-quality healthy for the job and company.
You have to always opt for sending a cover letter and resume as separate documents; however, be flexible enough to do something the situation requires. Check the employer's directions and attempt to follow them to the letter.
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The term that best describes a new addition to the market or a novel change in an existing product or service is "innovation". So, the correct answer is b. innovation
Innovation refers to the introduction of new ideas, methods, or products that provide a better solution to existing problems or needs. Unlike invention, which refers to the creation of a completely new product or idea, innovation often involves improving on an existing product or service to make it more efficient, effective, or user-friendly.
Advancement, on the other hand, refers to the overall progress or improvement of a particular industry or field, while a market addition is simply a new product or service that has been added to an existing market.
In summary, innovation is the key driver of progress and growth in today's rapidly changing business landscape, and it is crucial for companies to stay innovative in order to stay competitive and meet the evolving needs of their customers.
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