A managerial accounting method used to assign all direct and indirect costs to a particular activity is.

Answers

Answer 1

The managerial accounting method used to assign all direct and indirect costs to a particular activity is called Activity-based costing (ABC).

Activity-based costing (ABC) is a managerial accounting method that assigns indirect costs to products and services based on the activities involved in producing them. ABC allows for a more accurate distribution of overhead costs, as indirect costs are assigned to specific activities rather than being allocated based on a predetermined percentage of direct labor or machine hours. ABC systems divide an organization's activities into a range of tasks and allocates costs based on the resources consumed by each task. Because ABC provides a more accurate and granular understanding of costs, it is useful for management when making strategic decisions about pricing, product mix, and operational efficiencies.

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Related Questions

a modification to the company charter that requires 80 percent shareholder approval for a merger is called a

Answers

Answer: Supermajority amendment.

Explanation: E

Systemic risk reflects the risk that a particular event could:A)cause losses at a firm due to inadequate management control.B)spread adverse effects among several firms or among financial markets.C)cause a loss in value due to market conditions.D)have a larger effect on the futures position than on the position being hedged

Answers

Systemic risk reflects the risk that a particular event could spread adverse effects among several firms or among financial markets. The correct option is B.

Systemic risk refers to the risk that an event or shock in a specific institution, market, or sector can spread and have adverse effects on other interconnected firms or the entire financial system. It goes beyond the risk associated with individual firms or market conditions and encompasses the potential for contagion and interconnectedness in the financial system. Systemic risk highlights the possibility of a domino effect, where the failure or distress of one entity can have far-reaching consequences, affecting multiple entities and markets. It emphasizes the interdependencies and linkages within the financial system that can amplify and transmit risks.

Systemic risk can arise due to a variety of factors, such as the interconnectedness of financial institutions, excessive leverage, lack of market transparency, and inadequate regulatory oversight, among others. To mitigate systemic risk, regulators often implement measures to increase transparency, reduce leverage, and improve capital requirements for financial institutions.

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when a grocery store accepts your $5 bill in exchange for bread and milk, the $5 bill serves as a

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When a grocery store accepts your $5 bill in exchange for bread and milk, the $5 bill serves as a,  medium of exchange.

What does medium of Exchange mean?

Any type of currency or asset that is widely accepted as a form of payment for goods and services is referred to as a medium of exchange. It is used to facilitate trade and is the primary means of conducting economic transactions. Examples of mediums of exchange include cash, checks, debit cards, and credit cards. Commodity money, representative money, cryptocurrency, and, most commonly, fiat money are the three types of exchange mediums.

What does Cryptocurrency mean?

Cryptocurrency is a virtual currency that is encrypted, making counterfeiting or double spending nearly impossible. Cryptocurrency is typically decentralised, which means it lacks a centralised governing authority such as a central bank or government. It is based on the blockchain, a distributed public ledger that records and verifies transactions using a secure cryptographic algorithm.

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An item has a weekly demand of 120 units throughout the year. The item has a unit value of $24 and the company uses 16% of the item value for the annual inventory cost. When ordered, the setup cost to produce an order is $600, and the production process is able to produce 300 per week and deliver them weekly as produced. What is the economic-order quantity?

Answers

The economic order quantity (EOQ) is approximately 1396 units.

To calculate the economic order quantity (EOQ), we can use the EOQ formula:

EOQ = √((2 * Annual Demand * Setup Cost) / Holding Cost per Unit)

Given:

Annual Demand = 120 units/week * 52 weeks = 6240 units

Setup Cost = $600

Holding Cost per Unit = 16% of Unit Value = 0.16 * $24 = $3.84

Plugging these values into the EOQ formula:

EOQ = √((2 * 6240 * $600) / $3.84)

EOQ = √((7488000) / $3.84)

EOQ ≈ √1948125

EOQ ≈ 1395.81

Therefore, the economic order quantity (EOQ) is approximately 1396 units.

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With the help of online research, write a short report on “glocalization.”

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The phenomena of Glocalization, which is best described as Thinking Globally, Acting Locally, is created when the two terms of globalisation and localization are combined.

To put it more properly, we may say that although if a single brand is produced, sold, and distributed globally, it is nevertheless personalised and customised to suit the tastes and preferences of customers in the many global marketplaces.

It is carried out since each region of the world has its own unique culture, linguistic preferences, demands, and desires.

By adjusting their offerings and products to meet the needs of that specific market, businesses may effectively position and place their items, resulting in high revenues and devoted customers.

The following are all global brands, although they cater to the demands of their customers in various parts of the world while selling items.

Chips by Lays (They sell different flavours in different parts of the world, according to the taste preference and eating habits of that country).

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Pyschographic segmentation involves grouping people based on where they live.

Answers

Answer:

False

Explanation:

Psychographic segmentation involves classifying people by preferred activities, interests, opinions, social class,  personality, and lifestyle. Psychographic segmentation categorizes customers based on internal characteristics. Psychographic segmentation requires marketers to consider what customers value in life,  why they behave in specific ways, and the things they consider valuable.

Geographic segmentation is the strategy marketers use when you serve customers in the same area.

The Corner Market has fixed costs of $1,600, depreciation of $1,200, a tax rate of 35%, and a cost of capital of 12%. Variable costs represent 67% of sales. What minimum level of sales must the market obtain to avoid a net loss on its income statement?

Answers

Answer:

$8,484.85

Explanation:

Fixed costs = $1,600

Depreciation = $1,200

Tax rate = 35%

Cost of capital = 12%

Variable costs = 67% of sales

Desired sales = (Fixed cost + Depreciation) / Contribution ratio

Desired sales = ($1,600 + $1,200) / (1 - 67%)

Desired sales = $2,800 / 0.33

Desired sales = 8484.84848485

Desired sales = $8,484.85

The minimum level of sales that Corner Market must obtain to avoid a net loss on its income statement is $8,484.85.

Cameron is trying to decide whether to invest in real estate or in preferred stocks. What is TRUE about preferred stocks that might convince Cameron to choose these stocks over real estate?

Answers

Answer:

cameron will have a share of ownership in the company

Explanation:

plato/edmentum

A factor about preferred stocks is that B. Cameron will get a fixed dividend each year on preferred stocks, which provides consistent income, but real estate does not offer this

What are preferred stocks?

These are ownership claims in a company that have certain rights over the ordinary stockholders.

One such right is that the holders of preferred stock are guaranteed a fixed dividend every year which means that Cameroon will make stable income from preferred stocks as opposed to real estate.

Options for this question include:

A. The initial investment for preferred stocks is usually higher than real estate, but the returns are higher as well.

B. Cameron will get a fix dividend each year on preferred stocks, which provides consistent income, but real estate does not offer this.

C. Preferred stocks are almost always risk-free whereas real estate is the riskiest investment vehicle.

D. It takes a few days to see a return on real estate investment but preferred stocks can produce a return in just a few hours.

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Prepare a monthly and yearly budget for Bill and Maura Jones based on the following information. They plan
on putting $50 into a college fund.
Net paychecks total = $1,555 monthly
Average monthly expenses:
Rent
$450
Utilities
$ 80
Gasoline
$ 70
Insurance
$ 90
Clothing
$ 50
Groceries
$300
Car payment $190
Car Maintenance
$ 50
Telephone
$ 25
Entertainment and Recreation $100
Gifts and donations $ 10
Personal care
$ 25
Miscellaneous $ 50
Savings - To be determined

Answers

Answer:

it is c on usa

Explanation:

The Jones have monthly income of $ 3,110, expenses of $ 1,540, and savings of $ 1,570. In turn, the Jones have annual income of $ 37,320, expenses of $ 18,480, and savings of $ 18,840.

To establish an annual and monthly budget for the Jones, taking into account the expenses raised, the following calculation must be performed:

All the expenses must be added, and thus the monthly budget is obtained. It must be multiplied by 12 to obtain the annual budget.  50 + 450 + 80 + 70 + 90 + 50 + 300 + 190 + 50 + 25 + 100 + 10 + 25 + 50 = X 1,540 = X 1,555 x 2 = 3,110 3,110 - 1,540 = 1,570

Thus, the Jones have monthly income of $ 3,110, expenses of $ 1,540, and savings of $ 1,570.

3,110 x 12 = 37,320 1,540 x 12 = 18,480 1,570 x 12 = 18,840

In turn, the Jones have annual income of $ 37,320, expenses of $ 18,480, and savings of $ 18,840.

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Prepare a monthly and yearly budget for Bill and Maura Jones based on the following information. They

The price of a Japanese-made pen in Japan is ¥500. If at the current exchange rate a German buyer can buy the pen in Japan for €100, then what is the exchange rate between the two currencies?

Answers

The exchange rate between the Japanese yen (¥) and the Euro (€) can be calculated by dividing the price of the Japanese-made pen in Japan (¥500) by the price at which a German buyer can purchase it in Japan (€100). The exchange rate would be ¥5 to €1.

To calculate the exchange rate, we divide the price of the Japanese-made pen in Japan (¥500) by the price at which a German buyer can purchase it in Japan (€100). Since the price in Japan is denominated in yen and the price for the German buyer is denominated in euros, we need to convert the price in yen to euros.

By dividing ¥500 by €100, we find that the exchange rate is ¥5 to €1. This means that one euro can be exchanged for ¥5. It indicates the relative value of the two currencies and how many yen are needed to purchase one euro.

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The Industrial Revolution marked the transition from doing things by hand to doing thm with machines. True False

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This is pretty much true! The industrial revolution was all about from having things hand me to using machines! Support my answer just look it up just in case!

which organization was designed to keep prices steady, fight inflation and ration foods

Answers

The Office of Price Administration (OPA) was established within the Office for Emergency Management on August 28, 1941, in order to control prices (and thus inflation) and rents after the outbreak of World War II.

When quantity supplied is not equal to quantity demanded?

Answers

In a market setting, disequilibrium occurs when the quantity supplied is not equal to the quantity demanded; when a market is experiencing a disequilibrium, there will be either a shortage or a surplus.

Disequilibrium is when external forces cause a disruption in a market's supply and demand equilibrium. In response, the market enters a state during which supply and demand are mismatched. Disequilibrium is caused due to several reasons, from government intervention to labor market inefficiencies and unilateral action by a supplier or distributor. Disequilibrium is generally resolved by the market entering into a new state of equilibrium.

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4. What is the law of demand?

Answers

Answer:

The law of demand states that quantity purchased varies inversely with price. In other words, the higher the price, the lower the quantity demanded. This occurs because of diminishing marginal utility.

Critically explain Robbins definition of economics?​

Answers

Answer:

In his landmark essay on the nature of economics, Lionel Robbins defined economics as. “the science which studies human behaviour as a relationship between ends and scarce means which have alternative uses”

Explanation:

the centerpiece of the marketing environment analysis framework is

Answers

Consumers are the centerpiece of the marketing environment analysis framework. Option E.

The marketing environment analysis framework is a tool utilized in marketing to comprehend the numerous elements that influence a company's capacity to sell its goods or services. Both internal and external aspects that affect a company's marketing choices and tactics are included in the marketing environment.

The consumer serves as the focal point of the framework for marketing environment analysis. This is so because consumers are the ones who actually use the goods or services that a company provides, and they are the ones who ultimately decide whether or not a company's marketing efforts are successful.

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The complete question is:

The centerpiece of the marketing environment analysis framework is _____.

(a) green marketing

(b) corporate partners

(c) culture

(d) competitive intelligence

(e) consumers.

Liang Company began operations in Year 1. During its first two years, the company completed a number of transactions involving sales on credit, accounts receivable collections, and bad debts. These transactions are summarized as follows.

Year 1:

Sold $1,346,200 of merchandise (that had cost $976,400) on credit, terms n/30.
Wrote off $20,700 of uncollectible accounts receivable.Received $670,500 cash in payment of accounts receivable.
In adjusting the accounts on December 31, the company estimated that 2.00% of accounts receivable would be uncollectible.

Year 2:

Sold $1,599,900 of merchandise (that had cost $1,304,800) on credit, terms n/30.
Wrote off $28,300 of uncollectible accounts receivable.
Received $1,219,300 cash in payment of accounts receivable.
In adjusting the accounts on December 31, the company estimated that 2.00% of accounts receivable would be uncollectible.

Required:
Prepare journal entries to record Liang’s Year 1 and Year 2 summarized transactions and its year-end adjustments to record bad debts expense.

Answers

Answer:

General Journal

Debit

Credit

a(1)

Accounts receivable

$1,349,100

Sales

$1,349,100

a(2)

Cost of goods sold

$977,100

Merchandise inventory

$977,100

b

Allowance for doubtful accounts

$18,100

Accounts Receivable

$18,100

c

Cash

$669,200

Accounts Receivable

$669,200

d

Bad Debt

Expense

[Refer working note 1]

$35,307

Allowance for doubtful accounts

$35,307

e(1)

Accounts receivable

$1,514,600

Sales

$1,514,600

e(2)

Cost of goods sold

$1,299,000

Merchandise inventory

$1,299,000

f

Allowance for doubtful accounts

$26,700

Accounts Receivable

$26,700

g

Cash

$1,110,700

Accounts Receivable

$1,110,700

h

Bad Debt

Expense

[Refer working note 2]

$36,507

Allowance for doubtful accounts

$36,507

.

.

Working note 1 - Computation of bad debt expense for the

year 1

Accounts receivables beginning balance

$0

Add: Credit sales

$1,349,100

Less: Collections

($669,200)

Less: Write-off's

($18,100)

Accounts receivables ending

balance

(a)

Does anyone have a perfect competition business example?

Answers

Answer:

Perfect competition is a type of market structure where products are homogenous and there are many buyers and sellers. ... Whilst perfect competition does not precisely exist, examples include the likes of agriculture, foreign exchange, and online shopping.

Explanation:

When a client engages in transactions involving derivatives, the auditor should:
A. Notify the audit committee about the risks involved in derivative transactions.
B. Develop an understanding of the economic substance of each derivative.
C. Confirm with the client's broker whether the derivatives are for trading purposes.
D. Add an explanatory paragraph to the auditor's report describing the risks associated with each derivative.

Answers

The correct option is Option B. When a client engages in transactions involving derivatives, the auditor should B. Develop an understanding of the economic substance of each derivative.

The correct option is Option B. Auditors have the responsibility to assess and understand the client's transactions involving derivatives. This includes gaining a clear understanding of the economic substance of each derivative. Understanding the economic substance involves comprehending the purpose, terms, risks, and accounting treatment of the derivatives.

By developing an understanding of the economic substance of each derivative, auditors can assess the appropriateness of the client's accounting policies and financial statement disclosures. It allows them to evaluate the client's risk management practices, internal controls, and the potential impact of derivative transactions on the financial statements.

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Cain Company reports net cash provided by operating activities of $35,000. It also reports the following information under “Adjustments to reconcile net income to net cash provided by operating activities” on its statement of cash flows (using the indirect method).

Cain Company reports net cash provided by operating activities of $35,000. It also reports the following

Answers

It can be seen from the solutions given that Cain's net income is $24,000.

Here is the solution:

Net income = Net cash provided by operating activities - Adjustments

= $35,000 - $6,000 - $10,000 + $4,000 + $7,000 + $4,000

= $24,000

Therefore, Cain's net income is $24,000.

Here is a breakdown of the adjustments:

To determine cash flow from operations, it is necessary to include the gain on equipment sales in the net income as it is a non-cash entry.

A rise in accounts receivable implies that customers are prolonging payment of their invoices, resulting in decreased cash flow from the company's activities.

The depreciation expense is classified as a non-cash expense, hence it must be included in the calculation of cash from operations by adding it back to the net income.

A decrease in inventory indicates that the company is experiencing faster turnover of its inventory, leading to increased cash flow generated by its operations.

A rise in prepaid expenses denotes that the company is channeling more funds towards prepaid expenditures like insurance and rent, implying a reduced cash inflow from its operational activities.

A decline in the amount of wages that the company owes indicates that it is not promptly compensating its workforce. Consequently, this implies that the company's operational cash flow is reduced.

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if a firm is earning zero economic profit, it group of answer choices is doing as well as the typical firm of that industry. has incentive to shut down and leave the market. is earning below the normal rate of return. is also earning zero accounting profit.

Answers

If a firm earning zero economic profit is not making any extra money above its opportunity cost, which is equivalent to the normal rate of return.

When a firm is earning zero economic profit, it means that its revenue is just enough to cover its explicit and implicit costs. In other words, the firm is not making any extra money above and beyond its opportunity cost.

Moreover, when a firm is earning zero economic profit, it is also earning below the normal rate of return, which is the minimum return required by investors to compensate for the risk they have taken.

Lastly, it is important to note that earning zero economic profit doesn't mean that a firm is earning zero accounting profit.

In conclusion, it is doing as well as the typical firm in that industry, but it is not providing enough compensation to its investors.

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Two shops are owned by two business owners who are brothers valued at BD 3,000. It was estimated that there is a 5 percent chance in any year that each delivery truck will be damaged due to either collision or wear and tear. (loss to either of the delivery truck are independent). The brothers decided to share the risk and agree to pay equal amount of share in case of a loss.

Requirements;

-Use appropriate technique to determine the expected loss for each of the parties involved and the objective risk as a result of the pooling.

Answers

The expected loss for each party is BD 150.

The objective risk as a result of pooling is approximately BD 33.54.

To determine the expected loss for each party involved and the objective risk as a result of pooling, we can use probability calculations.

Value of the two shops = BD 3,000

Chance of truck damage in any year = 5%

Loss to each delivery truck is independent

Brothers share the risk equally

Calculate the expected loss for each party:

Since the loss for each delivery truck is independent, the expected loss for each party can be calculated as follows:

Expected loss per party = Value of the two shops * Chance of truck damage = BD 3,000 * 5% = BD 150

Therefore, the expected loss for each party is BD 150.

Calculate the objective risk as a result of pooling:

Objective risk is a measure of the variability or uncertainty in the outcomes. In this case, since the brothers are sharing the risk equally, the objective risk can be calculated using the concept of variance.

Variance = Chance of truck damage * (Loss per truck - Expected loss per party)^2

= 5% * (0 - BD 150)^2

= 5% * (-150)^2

= 5% * 22,500

= BD 1,125

Objective risk = Square root of Variance

= √1,125

≈ BD 33.54

Therefore, the objective risk as a result of pooling is approximately BD 33.54.

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the simplest circular model of the united states economy depicts the economy as a cycle in which resources flow between which two entities?

Answers

The simplest circular model of the United States economy depicts the economy as a cycle in which resources flow between households and firms.

The circular flow model is an economic model that shows how income moves between households and businesses in a market economy. It depicts how money flows between businesses and individuals. In a market economy, the primary role of a business is to create goods and services, while households consume them.In the model, households own the primary factors of production such as labor, land, capital, and entrepreneurship.

Households offer these inputs to businesses in exchange for payment, which can be in the form of wages, rent, or interest. Households are the ultimate buyers of goods and services. The income from work and other sources is used to pay for these goods and services. The model depicts the economic cycle in which businesses produce goods and services and then sell them to households.

Households then use the products and pay the businesses for them. Businesses, on the other hand, pay households for their inputs. This cycle continues, with the goal of increasing the wealth and well-being of households and businesses within the economy.

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1. Which of the following is an impact of increase in income tax of an individual?
A. Rise in disposable income
B. Increase in the ability to invest
C. Increase in the level of savings
D. Decrease in the purchasing power​

Answers

Answer:

A

Explanation:

the answer is a because you get more free money with your income taxes therefore making more money that you can use on personal things

Rise in disposable income

How would a two percent rise in interest rates most likely affect new housing?​

Answers

A two percent rise in interest rates would most likely affect new housing by making the price of the houses fall in the long run.

As the interest rate of possessing a mortgage rises, many individuals would not afford a house with a mortgage.

Subsequently, as people are shying away from possessing mortgages with high-interest rates, home investors and sellers need to reduce their house prices to attract buyers.

Hence, in this case, it is concluded that a two percent rise in interest rates would most likely affect new housing by making the price of the houses reduce in the long run.

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which process is undertaken to reduce the probability of negative consequences associated with project risks?

Answers

The process that is undertaken to reduce the probability of negative consequences associated with project risks is called risk management.

This process involves identifying potential risks, assessing their likelihood and potential impact, and implementing strategies to mitigate or eliminate those risks.

This may include activities such as risk avoidance, risk transference, or risk acceptance. Additionally, risk management plans are regularly reviewed and updated throughout the project to ensure that potential risks are identified and addressed in a timely manner.

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You deposit $400 today, $600 one year from now, and $800 five years from now into an account that earns 4% compounded annually. How much money will you have 11 years from now? (Round to the nearest whole dollar) $2,429 $2,516 $1,872 $2,384 $3,316

Answers

Answer:

Total money = $2,516 (Approx)

Explanation:

Given:

Amount deposit = $400 (For 11 year)

Amount deposit = $600 (For 10 year)

Amount deposit = $800 (For 6 year)

Rate of interset = 4% = 0.04

Find:

Total money.

Computation:

For 11 year

\(Amount =400[1+0.04]^{11}\\\\Amount = 615.78\)

For 10 year

\(Amount =600[1+0.04]^{10}\\\\Amount = 888.14\)

For 6 year

\(Amount =800[1+0.04]^{6}\\\\Amount = 1,012.25\)

Total money = $615.78 + $888.14 + $1,012.25

Total money = $2,516 (Approx)

Metro, Inc. Sells backpacks. The Company's accountant is preparing the purchases budget for the first quarter operations. Metro maintains ending inventory at 20% of the following month's expected cost of goods sold. Expected cost of goods sold for April is $70,000. All purchases are made on account with 25% of accounts paid in the month of purchase and the remaining 75% paid in the month following the month of purchase. Sales January February March Budgeted cost of goods sold $ 40,000 $ 50,000 $ 60,000 Plus: Desired ending inventory 10,000 Inventory needed 50,000 Less: Beginning inventory (8,000 ) Required purchases $ 42,000 Based on this information the total cash paid in March to settle accounts payable is

Answers

The total cash paid in March to settle accounts payable is $10,500 + $11,250 = $21,750.

To calculate the total cash paid in March to settle accounts payable, we need to consider the purchases made in February and March.

In February, the purchases were $42,000 * 25% = $10,500. This amount is paid in the month of purchase, so there is no outstanding payment for February purchases in March.

In March, the purchases were $60,000 * 25% = $15,000. Since 75% of accounts are paid in the month following the month of purchase, we need to calculate 75% of March purchases that are paid in March. 75% of $15,000 = $11,250.,the total cash paid in March to settle accounts payable is $10,500 + $11,250 = $21,750.

The purchases budget is prepared to estimate the amount of inventory that needs to be purchased during a specific period. It takes into account the expected cost of goods sold and the desired ending inventory. In this case, the expected cost of goods sold for April is given as $70,000. By subtracting the beginning inventory and adding the desired ending inventory, the required purchases for the first quarter are calculated.

The payment terms for the purchases are also considered in the budget. It is stated that 25% of accounts are paid in the month of purchase and the remaining 75% is paid in the following month. This means that a portion of the purchases made in February is paid in February itself, while the remaining portion is paid in March. Similarly, a portion of the purchases made in March is paid in March.

To determine the total cash paid in March to settle accounts payable, we need to calculate the amount of purchases that are paid in March. This includes the 25% of March purchases that are paid in March itself and the outstanding payment for the remaining 75% of February purchases. By adding these two amounts, we can find the total cash paid in March. In this case, the total cash paid in March to settle accounts payable is $21,750.

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Now create a sample business model to describe how you expect to make a profit from this business.


Include these topics in your answer:


pricing


marketing


• location


• costs


profit

Answers

Business model: Online Personal Shopping and Styling Service

Pricing:

The service offers different packages for different needs, ranging from a one-time styling session to a full wardrobe overhaul. The pricing structure is based on the level of service provided and the time required to complete the job.

Marketing:

The business will be marketed through social media platforms, targeted advertising, and partnerships with fashion influencers and bloggers. The company will also use referral and loyalty programs to incentivize customers to spread the word about the service.

Location:

As an online business, the location is not as important. However, it would be advantageous to have a physical office or showroom in a trendy area or a location close to high-end retailers and fashion boutiques.

Costs:

The primary costs include salaries for stylists, marketing expenses, website hosting, and operational expenses. There may also be costs associated with travel, client consultations, and styling materials.

Profit:

The company aims to achieve a healthy profit margin by targeting high-end clients and charging premium prices for its services. By providing personalized styling services, the company can differentiate itself from other online retailers and fashion sites.

The focus on quality and exceptional customer service will drive repeat business and referrals, ultimately leading to increased revenue and profitability.

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The _____ is a management policy decision about whether a firm wants to pay above, at, or below the going rate for labor in the industry or the geographic area.

Answers

The  wage level decision is a management policy decision about whether a firm wants to pay above, at, or below the going rate for labor in the industry or the geographic area.

What is labor market equilibrium?

The labor market is in equilibrium when supply equals demand. This means that workers are employed at a certain wage rate.

In equilibrium, all persons who are looking for work at the going wage can find a job. Here, firms decide whether or not to pay wage above certain rate.

Hence, the  wage level decision is a management policy decision about whether a firm wants to pay above, at, or below the going rate for labor in the industry or the geographic area.

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In what type of personal letter formatting are all the paragraphs indented a halfinch?full block styleOsimplified block stylehalf block stylemodified block style 14 Fotunado iS a. character. a.Round -a lot of detail b.Static-no significant change in the story c.Flat -very little detail d.Dynamic- significant change in the story write a sentence that compares the reactants and products of photosynthesis with the reactants and products of cellular respiration name four beaches of india and also mention the states where they are located Explain the importance of Great Awakening George Whitefield Enlightenment Benjamin Franklin Jonathan Edwards John Locke Why do you think Washington was so concerned about these two issues? (foreign nations/political parties) "I'm holding on to pieces of us, That I just can't let go" Where is this line from? What song? What artist? What is the equilibrium expression for the reaction below?2N(g) + O(g)2NO(g) Twice the price of a scooter is equal to thrice the price of a television. If the price of a scooter is 600$ more than the television, what is the cost of the television?A. 1800$B. 1500$C. 1200$D. 2400$ What is the slope of the line that passes through the points (4,5)(4,5) and (7,8)(7,8)? Al respirar el aire con el oxgeno, este entra por dos orificios llamados ____________________ recubiertos de vellosidades con clulas que secretan moco. b) Despus el aire pasa a la ______________. (tubo que comunica adems con la boca). c) Enseguida el aire atraviesa por un conducto llamado _____________ el cual es exclusivamente respiratorio. La entrada del aire est regulada por una vlvula llamada ____________. d) De aqu pasa a un conducto llamado____________________ que es un tubo de 10 centmetros de largo el cual se ramifica en dos tubos llamados bronquios. e) El aire contina por los ______________ que penetran en la parte posterior de los ______________que son los principales ___________respiratorios. f) Dentro de cada pulmn los bronquios se dividen en dos tubos ms pequeos llamados _______________ los cuales se ramifican en estructuras llamadas _________________. g) En ellos el aire entra en contacto con la sangre, se produce un intercambio de gases: el oxgeno circula por el cuerpo y se expulsan el __________________ y el ______________ recorriendo el sistema respiratorio y saliendo nuevamente por las fosas nasales. Management may be described as science, art or craft. Briefly discuss how decisions are likely to be made under each approach. How many Joules of energy in 3565 calories? Triangle P Q R is shown. Angle P Q R is a right angle. The length of hypotenuse P R is q, the length of P Q is r, and the length of Q R is p.,Which cosine ratios are correct for PQR? Check all that apply.cos (P) = StartFraction r Over q EndFractioncos (P) = StartFraction p Over q EndFractioncos (Q) = StartFraction r Over p EndFractioncos (R) = StartFraction r Over p EndFractioncos (R) = StartFraction p Over q EndFraction Please help me! thank uuu :) Which best describes the antagonist character type?Group of answer choicescharacters who are described in detail and can often seem very real to readerscharacters who react to experiences and events in a storycharacters who remain the same and are not affected during the course of the storycreates a conflict for the main character, intentionally or unintentionally. 1. How did coffeehouses help spread the ideas of the Enlightenment?2. How was the consumption of coffee related to the transatlantic slave trade?3. Are modern day coffeehouses still places for the exchange of political and cultural ideas among people or just for social encounters? kindly answer this please as soon as possible im totally tired Every meter is 100 centimeters. Write an equation to express the total number of centimeters (Z) in (y) meters. Question 3(Multiple Choice Worth 3 points) (05.03 MC) A glass of juice at 20 C was kept in the open. After 30 minutes, the temperature of the juice remained the same. Which statement is correct? If you double the force on the object what is the result on the acceleration?