Coca-Cola is a prime example of a brand that has achieved tremendous success in international markets by adopting effective marketing strategies, maintaining consistency, adopting a localized approach.
Market research: Brands must research the market in which they plan to launch their products. Understanding the cultural values, attitudes, and beliefs of the target market is essential. The research should cover the preferences of customers and competition in the target market.
Quality of products and services: The quality of products and services is crucial for any brand that intends to expand its business in international markets. Customers expect high-quality products and services that meet their expectations.
Marketing strategies: Marketing strategies can make or break a brand's success in international markets. Brands must adopt marketing strategies that resonate with the target audience.
To know more about marketing strategies visit:-
https://brainly.com/question/31854392
#SPJ11
What is defined as a budget surplus? (1 point)
O Spending exceeds income.
OA spending necessity.
OA spending desire or luxury.
O Take-home pay exceeds spending.
Take-home pay or income exceeds spending is defined as a budget surplus.
When income surpasses expenditure, there is a budget surplus. Since people often have "savings" rather than a "budget surplus," which is a sign that a government's finances are being handled well, the word is frequently used to describe the financial situation of the government.
A budget excess might be put to use for a purchase, debt repayment, or retirement planning. If a community has a budget surplus, it could utilize that money to make renovations, such reviving a run-down park or downtown. There is a budget imbalance when expenses go beyond revenues. Similar to when someone spends more than they make and pays interest on a credit card debt, deficits require borrowing money and paying interest. When spending and revenue are equal, a budget is balanced.
Learn more about Income here:
https://brainly.com/question/1810376
#SPJ1
f a company currently earns $5.00 per share, and has a risk-adjusted equity cost of capital of 9%, a share of common stock should theoretically sell for approximately: multiple choice $48.00 $0.45 $5.00 $55.55
The theoretical share price of the company's common stock can be calculated using the formula: Share Price = Earnings per Share (EPS) / Equity Cost of Capital (ECC).The correct answer is $55.55
Plugging in the values given, we get: Share Price = $5.00 / 0.09 = $55.55. Therefore, the correct answer is $55.55. This calculation assumes that the company's earnings and risk profile remain consistent over time, and that the market accurately reflects the value of the company's shares.
It is important to note that this is only a theoretical value and the actual share price may fluctuate based on various market and company-specific factors.
To know more about Share Price, refer to the link:
https://brainly.com/question/30324507#
#SPJ11
HELP QUICK PLEASE!!!!! William is not generally a risk-taker, but he knows he may need to step out of his comfort zone to make enough money for retirement. Which investment option would best meet William’s needs?
a US savings bond
a savings account
a commodity
a certificate of deposit
How can a company hide 2000$ of debts in a double entry journal accounting….. using debits and credits
Playing the Game
Answer the questions below to explore the effects of the free-market system.
1. Describe two benefits you enjoy because of the free-market system. Be sure to state why the
free-market system brings each of these benefits (10 points)
Benefit:
Connection to free market:
Benefit:
Connection to free market:
2. Explain why the free-market system brings efficiency as well as freedom. (10 points)
The two benefits you enjoy because of the free-market system are the freedom to produce whatever you want and the possibility to choose among many different options.
Why does the free-market system bring these benefits?Benefit:
People can become a business man or entrepreneurs and decide the kind of product or service they want to offer in the free market.
Connection to the free market:
This capitalist system allows people to decide what they want to produce in order to sell it to the market and charge for the amount of money they think is fair.
Benefit:
You can choose from many different options if you want to buy a product or service. There is no limit to options in the free market. You can go to as many supermarkets to get your groceries.
For instance, if you want to buy a shirt, you have plenty of options such as Nike, Under Armour, Reebok, Rawlings, Adidas, and so many more.
Connection to the free market:
The diversity of brands, products, and services is a true hallmark of the free market. The consumer has many options to choose from.
The free-market system brings efficiency as well as freedom. because this Capitalist system allows people to buy and sell from many different providers, companies, and sellers.
Efficiency in the handling and management of resources is a key element in the free market system. And freedom is your chance y chose the best option for you according to your economic possibilities and necessities.
In the free market system, people own businesses and willingly choose what to buy and sell with little state interference. In this economic system, people can invest their money to make a profit. The harder they work, the better their benefits.
We can conclude that in the free market system, many competitors participate in the business and consumers have many selections to choose from. People can get very rich by selling their products and services.
Learn more about the free market here:
https://brainly.com/question/4041151
#SPJ1
Rod Dall co. reports a net income of 75,000. the income ratios of the rod are 60%and dall is 40%.indicate the division of the net income to each partner, and prepare the entry to distribute the net income
The division of net income for Rod Dall Co. is based on the income ratios of the partners.
According to the question, the income ratio of Rod is 60% and Dall is 40%. Therefore, the division of the net income to each partner can be calculated as follows:
Rod's share of net income = 75,000 x 60% = 45,000
Dall's share of net income = 75,000 x 40% = 30,000
The entry to distribute the net income to the partners can be prepared as follows:
Debit: Income Summary 75,000
Credit: Rod, Capital 45,000
Credit: Dall, Capital 30,000
This entry debits the income summary account for the total net income and credits the capital accounts of the partners for their respective shares of the net income.
Learn more about net income : https://brainly.com/question/28390284
#SPJ11
Workplace diversity describes differences among workers in any of the following areas:
attitude
education
ethnicity
industry
Answer:
industry because here based the all the business in whole world
which account balance includes pending transactions?
The available balance of an account typically does not include pending transactions, while the current balance typically does include pending transactions.
A transaction refers to the transfer of funds, assets or any type of value between individuals or entities. Transactions can be physical, like cash transactions, or digital, like those made using credit cards or online payment systems. In the context of financial systems, transactions typically involve the exchange of money between bank accounts, the purchase of goods or services, or the transfer of funds between individuals.
Transactions are recorded and processed by financial institutions, and the information about each transaction is stored in a ledger, which is a database that keeps track of all financial transactions. This ledger can be maintained centrally, as in the case of a traditional bank, or distributed, as in the case of a blockchain.
To learn more about Transactions visit here:
brainly.com/question/24730931
#SPJ4
Investors minimize risk by investing money in __________. A. one specific company B. a variety of companies C. newly-formed corporations D. companies that are competitors Please select the best answer from the choices provided A B C D
Answer: B. a variety of companies
Explanation:
Investors minimize risk by investing money in a variety of companies. The reason for this is to minimize risk. Investing in one specific company isn't ideal because in the case of the company running at a loss, the investor loses all his or her money as well.
On the other hand, when the investor invest in different companies, the risk is minimized. When one company isn't doing well, others will probably be doing well.
discuss the problems faced by software developers trying to apply for protection under trade secret statutes.
The trade secret is protected as long as the secret is kept confidential. There are various problems that software developers face while applying for protection under trade secret statutes such as:
Inability to meet the requirement of "reasonably identifiable." To qualify for trade secret protection, the information must be reasonably identifiable. It should not be merely an idea, a desire, or a concept that has not been reduced to a tangible or concrete form. It must have some form of concrete expression. Therefore, it is difficult for developers to meet this requirement.
Determining whether something is confidential or not. To qualify for trade secret protection, information must be kept confidential. In the software industry, where information is constantly evolving and in demand, it can be challenging for developers to keep the information confidential.
Disputes over ownership. There are often disputes over who owns the software. This problem arises because developers often work on a project that is funded by a third party or is the property of the employer.
Reverse engineering. Reverse engineering can be used to determine the technical details of a software program. Reverse engineering is not illegal, and if the details of a software program are discovered using reverse engineering, it may not qualify for trade secret protection.
Preemption by patent laws. Trade secrets protection is preempted by patent laws. If a software program is eligible for patent protection, it may not be eligible for trade secret protection. Therefore, developers have to weigh the pros and cons of seeking patent protection vs trade secret protection in such cases.
for more such questions on software developers
https://brainly.com/question/17363186
#SPJ11
1 point
10. In reviewing your account statement, you see a Balance Transfer Fee.
Based on the information you see in the statement, what would be the fee
if you transferred $3,000 from another credit card? *
Answer:
Find attached statement and the question which question number 10.
The correct option is C,$90
Explanation:
In the statement you would notice that the balance transfer from another credit card was $785,upon which balance transfer levy of $23.55 was charged(Section 7)
Intuitively, the percentage of balance transfer charge is $23.55 divided by the amount of balance transfer i.e $785
balance transfer charge(%)=$23.55/$785=3%
However, if the balance transfer were $3000,the charge is 3% of $3000 i.e $90 ($3000*3%).
The correct option then is C,$90
You hold currency from a foreign country. If that country has a higher rate of inflation than the united states, then over time the foreign currency will buy:.
If the foreign country has a higher rate of inflation than the United States, then over time the foreign currency will likely buy less than it did initially. This is because inflation erodes the value of a currency, causing prices of goods and services to increase over time.
This means that if you were to hold onto the foreign currency for an extended period, it may lose value compared to the US dollar. However, the exchange rate between the two currencies is also influenced by many other factors such as political stability, economic growth, and trade relations. Therefore, it is important to consider these factors as well before deciding to hold onto or exchange foreign currency.
Hi! If you hold currency from a foreign country and that country has a higher rate of inflation than the United States, over time, the foreign currency will buy less in terms of goods and services. This is because inflation erodes the purchasing power of a currency, making it less valuable. In other words, as inflation increases, you will need more of that foreign currency to buy the same amount of goods and services. Consequently, if the foreign country's inflation rate is higher than that of the United States, its currency will depreciate in value relative to the U.S. dollar.
For more information on inflation visit:
brainly.com/question/31635911
#SPJ11
operational planning is usually conducted by ________.
The answer is mid level management. Operational planning is generally conducted by mid-level management.
Management planning entail?Setting goals and choosing a strategy to get them are both part of the management task of planning. Managers must foresee future situations and be known of current environmental factors doing their firm.
What is it and how does it work?Choosing what to do and how to do something in before is planning. That is one of the most important managerial responsibilities. The management must decide how to handle a certain task before taking any action.
To know more about Planning visit:
https://brainly.com/question/30522410
#SPJ1
doi-jones, d. a. (2009). a novel approach to business ethics training: improving moral reasoning in just a few weeks. journal of business ethics, ,88(2), 367-379.
In the Journal, "A Novel Approach to Business Ethics Training - Improving Moral Reasoning in Just a Few Weeks" David Allen Jones studied and examined the impact of a novel pedagogical approach on students' moral reasoning in the context of business ethics.
What were his findings?The participants, consisting of freshmen business majors, underwent five classes and two assignments focusing on ethical reasoning skills.
Using an untreated control group design, the study found that the training group exhibited higher levels of principled moral judgment after the training, even when controlling for their pre-training moral reasoning levels.
Learn more about Ethics at:
https://brainly.com/question/2222369
#SPJ4
Full Question:
Although part of your question is missing, you might be referring to this full question:
Jones, d. a. (2009). a novel approach to business ethics training: improving moral reasoning in just a few weeks. journal of business ethics, ,88(2), 367-379.
What is the main idea of the above journal?
Need help with this question below? Question 1
Ella presented her master's thesis to her supervising professor. She had linked many data tables into her PowerPoint
presentation. A year later, she was asked to present her findings at a conference. When she tried to present her slides,
many of her links had broken. Which best explains what happened to her links?
Answer:Stolen
Explanation:somebody prolly stole her work for there own keep your digital stuff save
Answer:
She renamed a folder or file, and the link can no longer be found.
Explanation:
As a private limited firm dealing with garment manufacturing, you have little cash in hand but considerable business potential. You suddenly get an order to deliver 1,000 shirts at a price of $50 each. You have the entire infrastructure in place, but need $15,000 to procure the fabric and accessories for shirts. How will you raise money to serve this order? How will the answer differ if the business is a sole proprietorship?
Answer:
A private limited firm refers to a corporation. A corporation’s internal sources of financing are mostly limited to its retained profits, and money realized from the sale of its assets. In case of the given example, because the company does not have enough cash on hand, it will have to rely on several external sources of financing. The most important source of procuring financing for the company is a bank loan. Thus, the company can raise money from institutions such as banks or other creditors in the form of loans. The company will need to repay loans in the future, and therefore the company will record this as a liability in its accounts. However, these ways of procuring money would help the company arrange $15,000 in order to purchase the fabric and other accessories.
The sources of financing will remain the same even in the case of a sole proprietorship; that is, retained earnings or loans from external sources such as banks. However, in the case of a public limited company, the answer would change. In the case of a public limited business, it has another option of raising financing through the issue of common or equity shares.
True/False. Sport management researchers are interested in questions relating to marketing, finance, communication, human resources, and policy.
Questions pertaining to marketing, finances, communication, human resources, and policy are of interest to sport management researchers. This statement is True.
Sport management research is the act of locating and analyzing particular phenomena or problems that are peculiar to the field of sport management. Any topic, such as organizational behavior and theory, ethics, sponsorship and sales, governance, facility, and event management, or economics and finance, maybe the focus of the study.
Sports researchers can learn more about sports management through study, which also helps them better comprehend the various potential occurrences in the sector. The knowledge they obtain will help them in their efforts to enhance the organization.
To learn more about Sport management research, please refer:
https://brainly.com/question/30820794
#SPJ4
Thinking about your office or college, what types of
information are conveyed through the grapevine? How
often is the information accurate?
Answer: I would experience a lot of cluster chains speaking on if someone was in trouble. An employee would be called to the back office if they were either in trouble or getting a promotion.
Explanation:
2. draw an arrow-pushing mechanism to show how we create our product (4-nitrobromobenzene, the ortho product)
True, An arrow-pushing mechanism to show how we create our product (4-nitrobromobenzene, the ortho product) nitration of toluene mechanism demonstrates ortho and para products are preferred than meta products.
Step 1: Nitric acid reacts with sulfuric acid to produce the nitrogenium lon NO*.
2NO,* + 2HSO, + H,0* + 2HNO, + H,SO
The creation of a nitronium ion looks like this:
Step 2: Electrophile formation
The electrophile is a nitronium ion that is produced. The nitronium ion is pulled to the ring as a result of the methyl group's potent electron-releasing action.
Meta products are preferred over ortho and para products because of the stability of the resulting carbocation. In this, the electrophile is introduced to the methyl carbon after the bond there is broken:
Third Step: Deprotonation Following the an arrow-pushing mechanism to show how we create our product (4-nitrobromobenzene, the ortho product).
Complete question:
2. draw an arrow-pushing mechanism to show how we create our product (4-nitrobromobenzene, the ortho product).True or false?
To know more about Nitration visit:
https://brainly.com/question/31113782
#SPJ4
help i'm desperate time is tight
which area represents the increase in producer surplus when the price rises from p1 to p2 due to new producers entering the market
The total surplus area represents the increase in producer surplus when the price rises from p1 to p2 due to new producers entering the market.
The red triangle inside the above graph represents producer surplus. Producer surplus exists while the fee items are sold for is greater than what it fees the companies to manufacture those goods.
Manufacturer surplus is defined by the vicinity above the supply curve, underneath the fee, and left of the amount offered.
As the rate increases, the motivation for producing extra goods will increase, thereby increasing the producer surplus. A manufacturer constantly tries to grow his producer surplus by way of seeking to sell increasingly at higher fees.
Learn more about total surplus here: https://brainly.com/question/15690421
#SPJ4
TRUE OR FALSE. Entrepreneurship refers to the identification, evaluation, and exploitation of opportunities.
True. Entrepreneurship refers to the identification, evaluation, and exploitation of opportunities. This involves recognizing a gap or need in the market, developing a solution to address that need, and creating a business model around that solution.
Entrepreneurs are typically risk-takers who are willing to invest their own time and resources into a venture in the hopes of achieving success .Entrepreneurship can take many different forms, from starting a small business to launching a new product or service within an existing company.
The key to successful entrepreneurship is being able to identify and capitalize on opportunities that others may have overlooked. This requires a combination of creativity, strategic thinking, and a willingness to take calculated risks.
In summary, entrepreneurship is a process that involves identifying, evaluating, and exploiting opportunities. Successful entrepreneurs are able to recognize gaps or needs in the market and develop innovative solutions to address them. While entrepreneurship can be risky, it also offers the potential for significant rewards for those who are able to navigate the challenges and seize the opportunities that arise.
To learn more about Entrepreneurship click here :
brainly.com/question/29978330
#SPJ11
A $1,000 par value bond has 7.5% semiannual coupons and matures on July 1, 2027 at $1,050. Find the actual selling price of this bond on November 15, 2013 and the price that would be quoted in a financial newspaper on the same date, based on a nominal annual yield rate of 5.80% compounded semiannually. Use the actual number of days to compute the accrued interest.
The actual selling price of the bond on November 15, 2013, taking into account the accrued interest, would be $1,006.69. The quoted price in a financial newspaper on the same date, based on a nominal annual yield rate of 5.80% compounded semiannually, would be $984.07.
To calculate the actual selling price on November 15, 2013, we need to determine the accrued interest. Since the bond has semiannual coupons and matures on July 1, 2027, the number of days between the last coupon payment date and November 15, 2013, is 135 days.
Accrued Interest = Coupon Rate × Face Value × (Days/Total Days in the Period)
Accrued Interest = 7.5% × $1,000 × (135/182)
Accrued Interest = $56.32
The actual selling price is obtained by adding the accrued interest to the bond's face value:
Actual Selling Price = Face Value + Accrued Interest
Actual Selling Price = $1,000 + $56.32
Actual Selling Price = $1,006.69
To calculate the quoted price, we use the present value formula for a bond. The bond has semiannual coupons and a maturity date on July 1, 2027. The nominal annual yield rate is 5.80%, compounded semiannually. Let's assume the number of periods is 28 (56 semiannual periods until maturity).
Quoted Price = Coupon Payment × [1 - (1 + Yield Rate)^(-Number of Periods)] / Yield Rate + Face Value / (1 + Yield Rate)^Number of Periods
Quoted Price = ($1,000 × 3.75% × (1 - (1 + 2.90%)^(-56))) / 2.90% + $1,050 / (1 + 2.90%)^56
Quoted Price = $37.61 + $946.46
Quoted Price = $984.07
For more questions like Bond click the link below:
https://brainly.com/question/28489869
#SPJ11
how do product managers manage their product mix
Answer:
sorry if this dosent help
Explanation:
Considering the leap from being a product manager to a leadership role, but not sure what’s involved in managing product managers? You’re smart to look into this. The responsibilities of product leadership and the skills required, are very different those of a product manager.
Managing product managers can be an exciting and rewarding career. But before we jump into the details, here’s one key point that might change your perspective.
To determine the scope of a bookkeeping clean-up engagement, you are reviewing the client overview tab for a potential client. You notice that there is a large amount in the opening balance equity account.
To determine the book-keeping clean-up engagement the clients' inventory set-up process, current asset account, and importing customer data are reviewed.
How do you determine the scope of a bookkeeping clean-up engagement?To figure out how big a bookkeeping clean-up job is, do the following:
1. During the setup procedure, the opening balance for an inventory item was entered.
2. When creating an Other Current Asset account, the client entered an Opening Balance.
3. When utilizing the Import data tool to import customers, opening balances were included.
Check out the link below to know more about clean-up engagement;
https://brainly.com/question/16613282
#SPJ1
A benefit that is sought by an interest group and that once achieved cannot be denied to a nonmember is called a ________. group of answer choices
The correct option is (B) Collective good.
A benefit that is sought by an interest group and that once achieved cannot be denied to nonmembers is called a collective good.
What is the meaning of collective good?A good or service that is provided to all members of a society is referred to in economics as a public good, also known as a social good or collective good. These services are typically provided by governments, and taxes are used to cover all of their costs. The rule of law, national defense, and law enforcement are a few examples of public goods.
Public goods are significant because they are intended to be accessible to the broader public and have particular characteristics that prohibit some individuals or groups from being unable to use them.
What is the public goods theory?The goal of the public goods theory is to explain why the private sector of the economy cannot supply public goods effectively, leading to market failures that imply the need for government intervention in the production of those products.
To know more about public goods, visit: https://brainly.com/question/14664702
#SPJ4
The complete question is:
“A benefit that is sought by an interest group and that once achieved cannot be denied to a nonmember is called a ________. group of answer choices
(A) Free rider
(B) collective good
(C) solidary benefit
(D) purposive benefit”
Omar and Patrick sell magazine subscriptions by telephone. Omar is paid $1.00 for every 5 calls he makes, while Patrick is paid $1.00 for every subscription he sells. Omar is paid on a __________ schedule while Patrick is paid on a __________ schedule.
This means that Omar is paid on a fixed ratio schedule while Patrick is paid on a variable ratio schedule.
What are fixed ratio and variable ratio?Fixed Ratio refers to a reinforcement schedule, which make use of reinforcement after the completion of number of responses. This means that each time a response is received, there is reward for each of the completed task.
For Variable ratio, there are unpredictable responses even when the responses have been reinforced. Each time a person performs a behaviour, the reinforcement is not distributed.
Hence, Omar is paid on a fixed ratio schedule while Patrick is paid on a variable ratio schedule.
Learn more about fixed and variable ratio here : https://brainly.com/question/24957967
In order to have money for their son's college education, a young couple started a savings plan into which they made intermittent deposits. They started the account with a deposit of $2,000 (in year zero) and then added $3,000 in years two, five and six. The amount they had in the account in year ten if they earned interest at 12% per year was nearest to: a. $23,647 b. $20,913 c. $17,320 d. $15,170 e. none of the above
The closest value for the amount they had in the account in year ten if they earned interest at 12% per year is 20,913
So, the answer is B.
We will calculate the interest earned on each of these amounts. We will then add the interest earned on each amount to the amount itself to get the total amount in the account in year ten.
Amount in the account in year ten = Amount in year two + Interest earned on amount in year two + Amount in year five + Interest earned on amount in year five + Amount in year six + Interest earned on amount in year six
Amount in the account in year ten = $13,199.34 + $5,256.04 + $13,456.55 + $4,716.97 + $14,745.94 + $4,404.05
Amount in the account in year ten = $55,778.89
Hence, the answer is $20,913 (option b).
Learn more about interest rate at:
https://brainly.com/question/13324776
#SPJ11
Which of the following statements is CORRECT?a. Diversifiable risk can be reduced by forming a large portfolio, but normally even highly-diversified portfolios are subject to market (or systematic) risk.b. A large portfolio of randomly selected stocks will have a standard deviation of returns that is greater than the standard deviation of a 1-stock portfolio if that one stock has a beta less than 1.0.c. A large portfolio of stocks whose betas are greater than 1.0 will have less market risk than a single stock with a beta = 0.8.d. If you add enough randomly selected stocks to a portfolio, you can completely eliminate all of the market risk from the portfolio.e. A large portfolio of randomly selected stocks will always have a standard deviation of returns that is less than the standard deviation of a portfolio with fewer stocks, regardless of how the stocks in the smaller portfolio are selected.
Answer:
a. Diversifiable risk can be reduced by forming a large portfolio, but normally even highly-diversified portfolios are subject to market (or systematic) risk.
Explanation:
Diversifiable risk can as well as be regarded as unsystematic risk, it is specific risk of a firm which impacts the price of the stock of individual rather than affecting the industry as a whole or sector where the the firm is carrying out it's operation. It a risk whereby there is possibility that change in the price of a security will be experienced because of the specific characteristics that the security have. It should be noted that Diversifiable risk can be reduced by forming a large portfolio, but normally even highly-diversified portfolios are subject to market (or systematic) risk.